CNBC's Jim Cramer thinks AT&T is a very smart company and Exxon Mobil has been overlooked.
Greg Ip, CNBC contributor, and Laurence Meyer, Macroeconomic Advisers, share their thought on when the Fed will likely begin to taper. Meyers says there may be enough data to make a case for tapering in March.
I think Dodd-Frank had to declare victory and moved on, says Charles Plosser, Philadelphia Federal Reserve president, commenting on bank regulations. I think the Fed needs to get out of the business of bailouts, Plosser added.
Charles Plosser, Philadelphia Federal Reserve president, discusses what will likely happen to the Fed's balance sheet if interest rates normalize.
Charles Plosser, president of the Philadelphia Federal Reserve, explains his concerns about how the Fed's tapering will affect the economy.
I look long-term, says Charles Plosser, Philadelphia Federal Reserve president, sharing his views on delaying tapering and explaining why he is not a "fan" of quantitative easing.
CNBC's Rick Santelli reports on the Chicago purchasing managers index for October.
CNBC's Jim Cramer weighs in on whether Facebook is a "dead horse," and why he prefers alternative energy plays to Exxon Mobile.
Axel Merk, President and Chief Investment Officer, Merk Investments deconstructs what the Fed decision says about the future path the central bank intends on taking.
CNBC's Jackie DeAngelis talks about the upcoming release of the Fed's policy statement, with Jeff Kilburg, KKM Financial CEO and Todd Gordon, Tradinganalysis.com founder.
CNBC's Rick Santelli and Eugene Fama, University of Chicago, professor of finance, discuss interest rate volatility and when the Fed may pull back on tapering.
There is no other place to look for yield outside the U.S. says Kyle Harrington, Harrington Capital Management, providing his outlook on the markets. Michael Gayed, Pension Partners, weighs in.
CNBC's Rick Santelli discusses the latest action in the bond market, and the U.S. dollar index.
CNBC's Jim Cramer explains why this was a breakout quarter for Apple.
CNBC's Steve Liesman provides a look at how the government shutdown and the looming debt debate impacted growth.
CNBC's Steve Liesman provides a look at the Fed's likely timeline for tapering its asset-buying program.
I've been unimpressed with the revenue beats, says David Darst, Morgan Stanley Wealth Management, discussing the outlook on the markets when the Fed begins to trim its bond-buying program.
Richard Steinberg, Steinberg Global Asset Management, and David Berson, Nationwide Insurance, provide perspective on whether it's time for investors to stay bullish or take profits.
Milton Ezrati, Lord Abbett, predicts the great rotation will push markets higher in 2014. Money will move into equities when investors feel confident about the economy, he says.
CNBC's Rick Santelli and Matt Maley, Miller Tabak, weigh in on the Fed's bond-buying program and its likely impact on the markets.