Jesse McWaters, World Economic Forum financial innovation lead, discusses the bank disruptors and how big tech could be a risk to the big banks. » Read More
By: Scott Wapner
The “Fast Money Halftime Report” traders discuss which sector is the better buy for investors. Chris Hyzy, Bank of America Global Wealth and Investment Management CIO, gives his take. » Read More
Our data partners at Kensho look at what happens after the end of a second quarter buyback period ends. The numbers show when bought six weeks after the deadline and then sold ten weeks later, consumer discretionary scores best, followed by financials and industrials. » Read More
Mark Astley, Millennium Global CEO, discusses the uncertainty in the markets as the UK votes on leaving the EU or not, and the potential currency impact on a Brexit scenario.
Discussing the play on stocks in the financial sector, with John Rogers, Ariel Investments Chairman, and Kourtney Ratliff Gibson, Loop Capital President.
Dominic Johnson, CEO of Somerset Capital Management and chairman of New City Initiative, explains the difficulties of launching a fund in Europe.
Shares in National Bank of Abu Dhabi (NBAD) and First Gulf Bank (FGB) soared on Sunday after they confirmed discussing a possible merger.
CNBC's Bob Pisani looks at weakness in European markets, banks leading to the downside and new highs in gold names in the U.S. market.
The Fed is the only institution in D.C. supporting economic growth, but its low-rate policy could be backfiring, Richard Fisher says.
VTB Chief Executive Andrey Kostin said the Russian bank's privatisation would probably take place in 2017 rather than this year.
Russia should be part of Europe in the mid-to-long term, the head of a leading Russian commercial bank told CNBC on Thursday.
Discussing the challenges facing banks, and which names are a buy here, with Steve Massocca, Wedbush Equity Management, and Erik Oja, S&P Global Market Intelligence.
CNBC's Bob Pisani looks ahead at banks, Brexit, sectors and the CBOE Volatility Index.
Financials have tumbled to become the worst-performing sector on the market, and they may drop even lower.
On June 23, the U.K. will vote on whether to leave or remain in the European Union. What would actually happen on June 24 if the U.K. does indeed vote for a “Brexit” from the EU?
Kim Forrest, Fort Pitt Capital, and Gina Sanchez, Chantico Global, discuss financials with Melissa Lee.
CNBC's Rick Santelli and Andy Brenner, National Alliance Securities, discuss financials, the consequences of negative rates and Brexit.
CNBC's Bob Pisani looks ahead at European financials, banks, energy stocks and the bull argument.
Citigroup has warned staff it might rebalance operations away from the U.K. if the country votes to leave the EU, according to the Guardian newspaper.
Tom Lee, head of research at Fundstrat, talks about oil, dividend stocks and bonds.
Discussing performance in financials with John Manley, Wells Fargo Funds, and Robert Luna, Surevest Wealth Management.
Dan Werner, Morningstar, and Mark Luschini, Janney Montgomery Scott, discuss investing in the banking sector right now.
CNBC's Bob Pisani looks ahead at bank stocks, sectors and market trends.
China has pitched its mammoth "Belt and Road" initiative comes with risks.
Bank employees are attempting to minimize the scope of job losses as the government pushes for consolidation, says Sasha Riser-Kositsky of Eurasia Group.
Banks are making what could turn out to be an expensive bet that interest rates will stay low for several more years.