CNBC’s Gemma Acton takes a look at how hedge funds performed during the course of 2016, and what the outlook is for 2017.
Thanos Vamvakidis, head of European G10 FX strategy at BofA Merrill Lynch, remains “constructive” on the U.S. dollar for 2017, yet adds that there are some short-term risks.
Frost & Sullivan Industry Principal, Martyn Briggs talks about the latest challenge facing the autos sector: Donald Trump and his criticism of imported cars.
Senior management at Volkswagen allegedly authorized the concealment of emissions cheat devices, according to criminal charges unsealed by U.S. prosecutors. CNBC’s Nancy Hungerford reports.
At the Detroit Auto Show, while it should be all about the new models, it’s what Donald Trump thinks of the automakers that’s really grabbing the spotlight. CNBC’s Phil LeBeau reports.
JPMorgan Global Market Strategist, Nandini Ramakrishnan, talks about how markets and investors have reacted to Trump’s presidential win and what it means for business.
Michael Cohen, head of energy commodities research at Barclays, discusses the demand side of the commodity debate, and its outlook.
JPMorgan Global Market Strategist, Nandini Ramakrishnan, talks about emerging market currencies, with specific comment on the Turkish lira’s moves.
A rise in oil prices and gains in equities, coupled with a Fed rate hike, helped hedge funds finish 2016 on a positive note. CNBC’s Gemma Acton has more.
Verisk Maplecroft Head of Americas Jimena Blanco talks about the current relationship between the U.S.’s President-elect and Mexico, while commenting on Mexican assets.
Bourses in Europe started Tuesday's session moving slightly higher despite concerns over the Italian banking system and the implementation of an OPEC deal.
Goldman Sachs Chief Economist, Jan Hatzius talks about the U.S. Federal Reserve’s strategic rate path over the course of 2017.
Francesco Garzarelli, co-head of global macro and markets research at Goldman Sachs, takes a look at Italy and its banks heading into 2017.
Francesco Garzarelli, co-head of global macro and markets research at Goldman Sachs, talks about ‘transatlantic divergence’ being a top trade for 2017.
Goldman Sachs Chief Economist Jan Hatzius takes a look at the U.S. economic growth story and where it’s heading in 2017.
JPMorgan Oil and Gas Analyst, Christyan Malek, takes a look at what the latest OPEC output deal means for European oil majors.
Francesco Garzarelli, co-head of global macro and markets research at Goldman Sachs, talks French elections, his outlook following Brexit, and how Europe’s markets are performing overall.
European bourses open lower on Monday despite gains seen in the U.S. and Asian markets.
Investec Wealth Divisional Director Charles Newsome takes a look at how the recent inflation discussion in markets impacts European retailers at present.
Geoffrey Yu, head of the U.K. investment office at UBS Wealth Management, talks about forecasting, Brexit and sterling heading into 2017.
Geoff Cutmore is co-anchor for CNBC’s flagship programme Squawk Box in EMEA; the three-hour show bookends the opening of European equity markets.
Based in London, Tso co-anchors CNBC flagship show in EMEA, Squawk Box, a show that sets the news agenda every trading day.
Steve Sedgwick co-anchors CNBC's flagship program Squawk Box Europe and is also CNBC's OPEC reporter covering major meetings.