As third-quarter earnings season gets underway next week, traders are bracing for more volatility in a range-bound market.» Read More
David Marcus, Evermore Global Advisors, has been a long-time investor in European stocks. "There is a crisis and everyone is in panic mode," he says. "But when we run into that burning building, we're finding that investors have dumped good ones with bad ones."
Here are eight stocks cited by S&P Capital IQ as being poised for long-term gains based on North America’s booming oil production, arranged in inverse order of analysts’ most positive ratings.
The FMHR traders share their top trades of the day.
The FMHR crew weigh in with their top trades of the day, and David Palmer, UBS, explains why shares of Starbucks may move sideways in the near term.
Mike Harris, Campbell & Company, checks the charts for a technical play on natural gas and how to trade the energy space, with the FMHR crew. Paul Forward, Stifel Nicolaus analyst, explains why it is "time to be cautious" on coal stocks and the best way to play the sector.
Insight on stocks making the biggest moves in the market today, with the Fast Money traders.
The FMHR traders weigh in on this weekend's Greek elections and how to play the outcome, including the trade in commodities. CNBC's Bertha Coombs reports the latest details on the guilty verdict from the Gupta insider trading trial. Marko Papic, BCA Research, provides perspective on what to expect in the markets after the Greek elections.
Apple’s revolutionary retail experience has played a key role in turning the iPhone maker into the largest technology company in the world. Now, Tesla Motors is looking to emulate its Silicon Valley neighbor in the auto industry.
Are Carl Icahn and Mark Rachesky pals or rivals when it comes to Navistar?
A look at how to hedge investments with the precious metal and discussing whether gold is on the verge of a major comeback, with Frank Holmes, U.S. Global Investors CEO & CIO.
Our special report, "ETF Strategist," gives investors a better understanding of the wide world of exchange traded funds, providing the pros and cons of investing in various asset classes and sectors: fixed income, commodities, emerging markets, technology and currencies.
Despite a near record number of companies in the pipeline, the post-Facebook drought in initial public offerings may last all through the summer, say analysts.
CNBC's David Faber reports funds are flowing out of equities and going into bonds, and also a look at top IPOs in the pipeline.
CNBC's Rick Santelli discusses the latest action in the bond market and U.S. dollar.
U.S. stock index came off their highs Friday following the New York Fed's "Empire State" manufacturing data, but still held gains following reports major central banks were ready to provide further monetary stimulus measures following Greece's elections over the weekend.
CNBC's Rick Santelli breaks down the metrics on the manufacturing survey, with William De Vijlder, BNP Paribas Investment Partners.
Take a look at some of Friday’s morning movers:
Where can investors find buying opportunities amid Europe's current financial crisis? David Joy, Ameriprise Financial chief market strategist, and Cliff Corso, Cutwater Asset Management CEO & CIO, provide insight.
You say the name of a stock, and Mad Money's Jim Cramer tells you whether to buy or sell.
Check out which companies are making headlines after the bell Thursday: