Richard Madigan, JPMorgan Private Bank chief investment officer, discusses the stock market correction he is seeing, and his play on Japan and Europe, amid selling in U.S. markets.» Read More
Digging into the market selloff, and global economic factors weighing on the U.S. economy, with Joe LaVorgna, Deutsche Bank and CNBC's Bob Pisani.
The FMHR traders react to the Super Bowl win for the Denver Broncos, and reveal their final trades of the hour.
The number one biotech analyst Mark Schoenebaum, Evercore ISI pharma analyst, weighs in on the selloff in the space, and which stocks have the potential to go higher this year.
Canaccord Genuity's Tony Dwyer, changes his bullish tune on the markets. Dwyer's 2016 S&P 500 target is now 2,175.
The FMHR traders discuss stocks extending losses from Friday, and what can bring some of these names back.
CNBC's Simon Hobbs reports on a broad-based decline in European stocks today, including beaten-down European banks.
AdWeek Executive Editor James Cooper and Event Solutions Chief Marketing Officer Mike Jackson talk about advertisements aired during the Super Bowl.
RBC Capital Markets Managing Director and Banking Analyst Gerard Cassidy talks about what's hitting big bank stocks and creating opportunities for investors.
Wunderlich Securities Chief Market Strategist Art Hogan and Raymond James President of Fixed Income Capital Markets Kevin Giddis discuss major factors impacting the market including oil prices, European bank concerns and gold prices.
CNBC's Jim Cramer explains why he is watching Brixmor Property Group.
CNBC's David Faber reports Energy Transfer Equity has replaced its CFO Jamie Welch. ETE is involved in a potential merger with Williams.
Jim Cramer explains what to watch ahead of the open, including Morgan Stanley downgrading Baker Hughes.
Don't start your trading day without finding out what CNBC's Jim Cramer is watching ahead of the opening bell.
Matt Porzio, Intralinks, shares his predictions on M&A activity in 2016.
Some of the names on the move ahead of the open.
Tobias Levkovich, Citi, and Jim McCaughan, Principal Global Investors, share their thoughts on what's driving volatility in the markets. There's no fundamental reason why weaker oil means weaker equities, says McCaughan.
Baird's Patrick Spencer, discusses stock performance from the tech sector, considering recent market volatility.
Simon Quijano Evans, chief emerging markets strategist at Commerzbank, explains why a reversal of emerging market debt flows is natural.
BofA Merrill Lynch Global Research's Michael Widmer, says gold will go to $1250 by the end of 2016, while discussing the commodity market.
JP Morgan Asset Management Michael Bell, says the chances of ECB President delivering more stimulus are “extremely high” at the March meeting.