ETF Street

  • Talking Numbers: Trading the Fed

    Robert Sluymer, RBC Capital, discuss what the charts have to say about Treasury yields ahead of the Fed announcement.

  • Trading Volatility with ETFs

    Using ETF's to manage risk and volatility, with Nick Cherney, VelocityShares, and CNBC's Bob Pisani. Also, Scott Nations, NationsShare explains why he thinks these products are too expensive.

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    I'm in Hollywood, Florida for the 5th Annual Inside ETF Conference, the largest exchange-trade funds conference in the world, with a record 1,200 attendees. Here are the hot topics.

  • In turn, the "Mad Money" host thinks global prospects look brighter.

  • Options Action: FXI

    An options strategy on China's FXI, with Bonawyn Eison, FGC Securities.

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    By putting "hundreds of billions" in currency in circulation, the central banks "can produce reflation—that's why we’re seeing the pop in oil, gold" and other commodities, Pimco's founder told CNBC.

  • Pimcos Gross: 'Very Worried' About U.S. Economy

    In this excerpt from a live interview on CNBC, Pimco's Bill Gross explains why he's 'very worried' about the U.S. and global economies.

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    A new research report from Goldman Sachs finds that trading in exchange-traded funds does impact individual stocks, but not equally.

  • Broker works the trading floor at the New York Stock Exchange.

    Wall Street strategists may expect the S&P to increase by 7 percent this year, but it appears individual investors are anticipating something else.

  • According to the latest data from OCC, over 4 billion contracts cleared in 2011, a 17 percent increase over the prior year and the ninth consecutive year of gains. Exchange Traded Funds and index options dominated the trading with three large-cap stocks among the top ten most actively traded contracts of the year.

  • Cramer Goes Off the Charts on GLD

    Mad Money's Jim Cramer turns a technical eye on GLD to get a read on what the charts indicate for gold, as interpreted by Caroline Boroden,, and to figure out if the precious metal is ready to bottom.

  • What's the Treasury Trade?

    Sharing insight into how the winning trade of the year could carry itself into 2012, with Macneil Curry, Bank of America Merrill Lynch. "We have moved into a two year flattening trend and it looks like the long end is going to be doing the heavy lifting," he says.

  • Market Outlook: S&P 500, Euro and Gold

    Weighing in on what factors are impacting the markets, with Keith Springer, Springer Financial Advisors and Mark Tepper, Strategic Wealth Partrners.

  • Gold Declines Sixth Straight Day

    Breaking down the current state of the gold market as it precious metal declines for the sixth straight session today, with Rich Ilczyszyn, iiTrader founder and chief market strategist.

  • Did Santa Deliver an Economic Rebound?

    A four day winning streak for stocks and reports are showing recent improvement in the job and the housing market. Sharing defensive predictions for 2012, with David Darst, Morgan Stanley Smith Barney and James Lowell, Adviser Investments.

  • The “Mad Money” host recommends this REIT ETF over individual stocks.

  • Cramer Goes Shopping for REITS

    Mad Money's Cramer explains why buying a 1 year REIT ETF over individual stocks, gives investors a safety play through diversification.

  • As yields on U.S. Treasurys have dropped to the lowest levels since October, the "Fast Money" traders looked for yield elsewhere.

  • Gold bars

    In just three months, gold has gone from the trade that works in every kind of market to the trade that doesn’t work in any market.

  • Cramer: Oil Services 'Spinal Tap' Bottom?

    Mad Money's Jim Cramer turns a technical eye on the OIH charts for investment opportunities in the oil services sector, as interpreted by Scott Redler,

Latest Special Reports

  • Financial advisors stress that now is the time for investors to get serious about year-end financial planning checkup.

  • The Edge explores the limitless potential of innovation.

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    A fixed-income strategy is key for investors who are retired or are approaching retirement. This special report details the range of tools and strategies used to manage a fixed income portfolio.