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Technical Indicators

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  • Market worries right now  Tuesday, 20 May 2014 | 1:30 PM ET

    Discussing the market's reaction to the Fed's decision to taper back its bond buying program, with CNBC's Bob Pisani, and Len Tannenbaum, Fifth Street Management CEO.

  • Santelli: Always been equity story  Tuesday, 20 May 2014 | 1:30 PM ET

    CNBC's Rick Santelli provides insight to the current action in the bond market.

  • Ralph Acampora: Still a secular bull  Monday, 19 May 2014 | 3:40 PM ET

    Ralph Acampora of Altaira Investment Solutions, reveals how bad it could get for stocks and explains what he needs to see to change his perspective.

  • Very powerful market, we'll move forward: Pro  Friday, 16 May 2014 | 1:09 PM ET

    Discussing signals from both the bond and stock markets, and the fear among investors, with Kristina Hooper, Allianz Global Investors, and Rob Lutts, Cabot Wealth Management.

  • Apple-Beats about wearables: Pro  Monday, 12 May 2014 | 3:40 PM ET

    Pandora is gaining today after MKM upgraded the stock from buy to neutral. Andrew Keene, KeeneOnTheMarket.com, thinks there is huge value in Pandora. Rich Tullo, Albert Fried & Company, says lackluster earnings and slowing mobile growth could hurt the stock.

  • Psychology of Twitter stock  Tuesday, 6 May 2014 | 11:46 AM ET

    Youssef Squali, Cantor Fitzgerald global head of Internet & media research, discusses Twitter's lock-up expiration and explains why he needs to see it pull back even more to get positive on the stock.

  • Santelli Exchange: When the market will top  Tuesday, 6 May 2014 | 10:50 AM ET

    CNBC's Rick Santelli speaks to Thomas DeMark, DeMark Analytics founder & CEO, about when the next correction is coming. DeMark says the next big move in the market will be to the downside.

  • 'Sell in May' here to stay?  Thursday, 1 May 2014 | 2:40 AM ET

    Dhiren Sarin, director of technical strategy at Barclays, discusses whether there is any solid evidence behind the "Sell in May" adage.

  • EM investing: Where this pro goes overseas  Tuesday, 29 Apr 2014 | 3:50 PM ET

    Lisette Cooper, Athena Capital Advisors CEO, discusses the U.S. recovery and where she is placing her bets in emerging markets.

  • Technicals in perspective  Monday, 28 Apr 2014 | 11:42 AM ET

    Mark Newton, Greywolf Execution Partners chief technical analyst, breaks out the charts and reveals what the technicals are saying about the major indices and the potential for a sell-off.

  • Cashin: 'Baby bears' may put S&P 500 on road to 1,900  Thursday, 24 Apr 2014 | 11:53 AM ET

    Art Cashin, UBS director of floor operations, discusses indecisiveness in Thursday's equity markets and what investors need to watch to gauge geopolitical rumors.

  • Einhorn sees tech bubble, traders disagree  Wednesday, 23 Apr 2014 | 1:04 PM ET

    Hedge fund manager David Einhorn wrote a letter to clients saying "now there is a clear consensus that we are witnessing our second tech bubble in 15 years." Jim Iuorio, TJM Institutional Services, and Jeff Kilburg, KKM Financial, discuss.

  • YUM will grind higher: Analyst  Wednesday, 23 Apr 2014 | 10:09 AM ET

    David Palmer, RBC Capital Markets managing director, breaks down Yum! Brands' Q1 earnings that missed on their top line and discusses the company's China business.

  • Technical work suggests down draft: Pro  Tuesday, 22 Apr 2014 | 3:58 PM ET

    Stephen Wood, Russell Investments chief market strategist, and Terry Dolan, Benjamin & Jerold Brokerage CEO, discuss if the market is approaching a double top.

  • Reasons to buy Yum! Brands  Monday, 21 Apr 2014 | 3:28 PM ET

    Debating if investors should be betting on Yum! Brands ahead of tomorrow's earnings report, with Peter Saleh, Telsey Advisory Group senior research analyst, and Andrew Keene, Keene on the Markets founder.

  • Think market will consolidate: Analyst  Monday, 14 Apr 2014 | 1:18 PM ET

    Dan Fitzpatrick, StockmarketMentor.com president & technical analyst, explains what the technicals are telling investors about the S&P 500 and explains why sees the market consolidating.

  • Market a bad risk-reward trade: Strategist  Monday, 14 Apr 2014 | 11:34 AM ET

    Bill Strazzullo, Bell Curve Trading partner & chief market strategist, discusses the "major" fundamental issues he sees in the market and explains why he is warning clients the rally is basically over.

  • Global consumer banking weak: Pro  Monday, 14 Apr 2014 | 10:38 AM ET

    Erik Oja, S&P Capital IQ U.S. banks equity analyst, explains what contributed to Citi's better-than-expected earnings and why he lowered his price target on the bank.

  • Industrial stocks' mixed year  Friday, 11 Apr 2014 | 1:52 PM ET

    CNBC's Bob Pisani looks at the action in some core industrial stocks including Cummins and Honeywell, as well as the mild panic in some transport stocks.

  • Cashin's rumormonger checklist  Friday, 11 Apr 2014 | 1:38 PM ET

    How traders are digesting the market selloff, and where it might break, with Kenny Polcari, O'Neil Securities, and Art Cashin, UBS.