European markets opened higher on Friday after getting hammered the day before as crude oil prices saw a rebound.» Read More
Discussing the volatile trading day and the price action on the 10-year, with Peter Andersen, Congress Asset Management, and Tim Leach, U.S. Bank.
Discussing weak economic data and how long investors will remain bearish, with Jack Bouroudjian, Index Financial Partners; and CNBC's Bob Pisani and Sheila Dharmarajan.
Discussing Wal-Mart's quarterly miss, with Burt Flickinger, Strategic Resource Insight Group, who explains how the company's lack of leadership is to blame. CNBC's Courtney Reagan provides perspective.
CNBC's Jackie DeAngelis discusses the day's activity in the commodities markets. Gold was down on the day and oil was down slightly, but nat gas moved up after the weekly storage report, even though the number was bearish.
Bruce Richards, Marathon Asset Management co-founder, reacts to today's market sell-off and explains the dynamics of the credit market.
Dominic Chu looks back at billionaire hedge fund manager David Tepper's past market moving calls.
How the bond market is signaling the U.S. economy is not as strong as Wall Street thinks it is, with David Molnar, HighTower; Greg Ip, The Economist; and CNBC's Rick Santelli.
Discussing which economic data is driving the market, with Dan Greenhaus, BTIG, and Bryan Piskorowski, Wells Fargo Advisors.
CNBC's Herb Greenberg says Cisco has a tremendous amount of stealth inventory that's backing up its supply chain.
CNBC's Bob Pisani reports many are saying the U.S. is still the best place to invest, despite the weakness in Europe. He also looks at AT&T trading higher.
Insight to current action in the 10-Year Treasury and the stock market, with David Nelson, Belpoint Asset Management, and Lou Brien, DRW Trading Group strategist.
Discussing billionaire hedge fund manager David Tepper's caution on the market, with CNBC contributor Michael Farr, and Kenny Polcari, O'Neil Securities.
The FMHR traders reveal their final trades.
Ben Willis, Princeton Securities, discusses overall market sentiment and explains how China GDP was one of the keys that ignited a "genteel" rotation out of high beta names.
CNBC's Bob Pisani looks at what's driving today's sell-off and explains if the market is experiencing modest economic growth or accelerated growth.
Gary Kaminsky, Morgan Stanley, discusses the market's reaction to David Tepper's cautious turn on the market and why investors find his comments so galvanizing. CNBC's Kate Kelly and Melissa Lee provide perspective.
CNBC's Simon Hobbs reports on all the market moving events in Europe today, including ECB forecasters cut their outlook for inflation in 2016 and a decline in Italian financials.
Selling in stocks and a surge of buying in bonds accelerated after negative reports on two key legs of the economy—manufacturing and housing.
CNBC's Steve Liesman breaks down how the market is reacting to today's mixed economic data.
Mark Mahaney, RBC Capital Markets, provides his outlook for the Internet sector and reveals what he is buying right now.