FM traders Tim Seymour and Brian Kelly debate the best way to play high-yield bond funds.
CNBC's Patti Domm talks about the week traders have been talking about all summer!
CNBC's Jeff Cox and Michael Farr of Farr, Miller and Washington, take a peek into the state of retail investors.
John Browne, Euro Pacific Capital, explains why it is not even the beginning of the end of conflicts between Russia and Ukraine.
Discussing the impact of geopolitics on the markets, with Michael Santoli, Yahoo Finance; Natali Morris, tech reporter; "Fast Money" trader Brian Kelly; and CNBC's Kate Kelly.
Discussing catalysts that will move the markets next week, with Michael Block, Rhino Trading Partners, and Peter Costa, Empire Executions.
Amid global uncertainty, David Garrity, GVA Research, and Brian Jacobsen, Wells Fargo Advantage Funds, pick stocks that perform well despite geopolitical risk.
How Ukraine's attack on a Russian convoy impacted global markets, with Gerard Fitzpatrick, Russell Investments; Ken Mahoney, Mahoney Asset Management; and CNBC's Michelle Caruso-Cabrera.
Ted Parrish, Henssler Financial Principal, says to stick with long-term growth stories like Apple. Brent Wilsey of Wilsey Asset Management, provides perspective on playing the current market volatility.
What Russia means to stocks, with John Stoltzfus, Oppenheimer and Company.
The 10-year yield is taking a sharp drop as investors flee to bonds fearing the worst in Eastern Europe. CNBC contributor Ron Insana, explains what the drop means for the global economy and if it could lead to a worldwide recession.
Art Cashin, UBS director of floor operations, and Kenny Polcari, O'Neil Securities director, discuss why traders are having a problem handicapping today's events in Eastern Europe today.
"The Expendables 3" opens today. CNBC's Julia Boorstin reports after it was leaked online 3 weeks ago the movie has already been illegally downloaded 5 million times.
CNBC's Scott Wapner speaks to Doubleline Capital CEO Jeff Gundlach, about the value of Treasury bonds amid today's turmoil in Eastern Europe.
Discussing how investors should play continued weakness in Europe, with Scott Wren, Wells Fargo Advisors senior equity strategist, and Carmine Grigoli, Mizuho Securities chief investment strategist.
Traders jumped into a defensive posture before the weekend, selling stocks and adding to bond positions after Ukrainian artillery destroyed part of a Russian armored column.
Paul Christopher, Wells Fargo Advisors chief international investment strategist, discusses Ukraine's economic incentive to finding a solution to its conflict with Russia.
Discussing how the markets are responding to today's geopolitical events in Ukraine, with Nick Colas, ConvergEx chief market strategist.
CNBC's Kate Kelly reports on George Soros' huge bearish position on the S&P 500, suggesting he thinks the market may be in for a drop.
Jeff Cioletti, Beverage World, discusses Coca-Cola's stake in Monster Beverage. Cioletti explains why it makes sense for Coke to get involved with Monster.