Todd Colvin of Ambrosino Brothers is a bond market bull. He discusses the Treasury trade with Brian Sullivan.
The energy sector takes it on the chin. Jonathan Krinsky of MKM Partners and Eddy Elfenbein of the Crossing Wall Street blog discuss with Brian Sullivan.
Todd Gordon of TradingAnalysis.com bets on the CBOE Volatility Index.
Torsten Slok, chief international economist at Deutsche Bank, discusses economic expectations and what it could all mean for stocks with Brian Sullivan.
The CBOE Volatility Index has plunged. Craig Johnson of Piper Jaffray and Max Wolff discuss what that means for stocks with Brian Sullivan.
Raoul Pal, publisher of the Global Macro Investor newsletter, discusses the markets with Brian Sullivan.
Jeffrey Saut, chief investment strategist at Raymond James, discusses why the market may be nearing a trading ‘peak’ in a wide-ranging interview with Brian Sullivan.
Todd Gordon of TradingAnalysis.com breaks down the charts and explains why he's beginning to sell his stocks.
Tony Dwyer of Canaccord Genuity says stock have become overbought. He discusses with Brian Sullivan.
Gina Sanchez of Chantico Global and Boris Schlossberg of BK Asset Management discuss the surging materials sector with Brian Sullivan.
Erin Gibbs of S&P Global and Chris Verrone discuss the tech giant with Brian Sullivan.
What’s the best stock to buy ahead of earnings? Erin Gibbs of S&P Global and Chris Verrone give their picks, in conversation with Brian Sullivan.
How much longer can the economic expansion continue, and what will the future bring for U.S. stocks? Ed Yardeni of Yardeni Research discusses with Brian Sullivan.
The S&P 500 has traded in a mere 1.6% range this month, the narrowest in decades. Ari Wald of Oppenheimer and Dennis Davitt of Harvest Volatility Management discuss with Brian Sullivan.
Todd Gordon of TradingAnalysis.com sees rallies ahead for two big Nasdaq stocks.
Edward Mills of FBR Capital Markets discusses Fed policy with Eric Chemi.
Gina Sanchez of Chantico Global and Larry McDonald of ACG Analytics discuss politics and the markets with Eric Chemi.
Michael Pachter of Wedbush says Netflix remains extremely overvalued. He discusses his bearish take with Brian Sullivan.
The large-cap index is working on 68 sessions without a drop of 1 percent or more. Boris Schlossberg of BK Asset Management and Matt Maley of Miller Tabak discuss with Brian Sullivan.
Julian Emanuel, equity and derivative strategist at UBS, discusses sentiment and the markets with Brian Sullivan.