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Hosted by Melissa Lee and a roundtable of top traders, “Fast Money” breaks through the noise of the day, to deliver the actionable news that matters most to investors. Fast Money airs weeknights at 5p ET on CNBC. Visit http://fastmoney.cnbc.com for additional information.
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Nvidia leading the tech sell off as China’s cheaper AI model DeepSeek sparks investor concerns. What it means for U.S. leadership in the artificial intelligence race, and the details surrounding DeepSeek. Plus Another key Fed rate decision due out Wednesday. And with President Trump sounding off on interest rates, all eyes on the central bank’s next move. How it will all impact equities and the broader market.
Stocks jumping in Trump’s 1st week of his 2nd term, and tech stocks are leading the charge. The big spending that’s fueling that trade, and if the mega cap tech names can keep leading the market higher. Plus Crews still battling the California wildfires, and the economic impact keeps rising. The losses tied to the blaze, and what it means for the state of housing in the state.
Stocks back to record highs as strong earnings and optimism around the Trump trade boost equities, but not everyone’s buying the hype. The concerns from top CEOs that are throwing cold water on the market surge. Plus A subscriber surge from Netflix. The streaming giant posting a big hike in subs, as well as one in prices. The results pushing that name to record highs, and what it means for the streaming wars.
Netflix on the move as the streaming giant reports results. The headlines from the conference call, and where one top analyst sees the stock heading next. Plus Another bruise for Apple, as the tech giant gets hit with more Wall St. downgrades, while iPhone sales in China plummet. What all the bad news means for the stock, and if there’s any reason to still believe in the name.
Drugmakers in the red, as CMS releases its drugs that are subject to medicare price negotiations. The names getting hit the hardest, and how its impacting the weight loss drug race. Plus Is Intel on the market? M&A rumors helping boost the stock, but who could be the buyer? What a deal could mean for the beaten down chipmaker, and the impact on the tech space.
Apple’s decline continues as iPhone sales in China plunge for its worst yearly decline ever. And with tariffs dangling overhead, could there be even more trouble ahead for the tech giant. Plus A Bitcoin Bond ETF the latest addition to the crypto craze. What it is, and how proxies like MicroStrategy play a role in its performance.
Bank stocks surging as the group kicks off earnings season on a positive note. How their financials are faring, and the setup for the rest of earnings. And It wasn’t just the banks in the green. Stocks surging across the board as core inflation slows in December. What the data means for the central bank’s next move, as we count down to another Fed rate decision.
Shares of Eli Lilly taking a hit, as the pharma giant cuts its sales outlook. But could the dip be a buying opportunity? The latest out of JP Morgan’s Health Care Conference in San Francisco. And speaking of JP Morgan… the big bank and its peers kicking off earnings season tomorrow. What to expect from those results and why one top bank analyst says it’s all about the yield curve for the group.
Some of the most popular names in the market seeing some major moves. How the recent drops in Nvidia, Tesla, and Bitcoin fare from here, and how banks are setting up ahead of earnings season. Plus The prognosis on the health care space, as the industry’s top execs convene at the JPMorgan conference in San Francisco. How our traders are handling the moves in the space’s biggest names.
Stocks selling off as investors digested this morning’s stronger than expected jobs report. And with nearly all of the post-election gains fading, with next week’s inflation data cause even more volatility? Plus Obesity drugs expected to be in focus at this year’s JPMorgan Health Care conference. How the industry’s biggest names are handling competition, and the next-generation of weight loss drugs.
Rates on the rise, as investors brace for what President-elect Donald Trump’s tariff plan could do to inflation. The trouble brewing under the surface.. And the sections of the market feeling the pressure. And A check on the middle market. What a new report out of a private credit powerhouse is saying about the landscape.
Meta scrapping its third-party fact-checking program, as the social giant moves closer towards an ‘X’ style platform. Why CEO Mark Zuckerberg is calling the recent election a ‘tipping point’ for the move, and how users will respond to the changes. Plus From Leaders to laggards. Why Katie Stockton sees big opportunity in some beaten down spaces as a rotation gets underway.
Shares of Nvidia closing at a record high, as CEO Jensen Huang gets ready to take the stage at the Consumer Electronics Show in Las Vegas. What he’ll say about the company’s next move, and if this stock can keep hitting records. Plus President-elect Donald Trump reportedly changing his tune on tariffs. The stocks seeing the biggest impact, and the inflation risk that comes with a universal tariff.
Markets closing out the week with a bang, as the S&P 500 and Nasdaq snap 5 day losing streaks. What the start of January could say about 2025 trading, and the latest comments from one Federal governor. Plus China targeting dozens of U.S. companies with new sanctions.The impact on markets, and what it means for U.S.-China relations.
The new year kicking off with a Magnificent 7 Meltdown, with Apple leading the losses. How the decline brought down the broader market on the first trading day of 2025, and what it could say about how stocks will fare the rest of the year. Plus Mortgage demand dropping to close out 2024. Why buyers are staying on the sidelines, and what it means for the homebuilder stocks.
A big 2024 for stocks as the S&P 500 notches it’s best 2-year gain since 1998. And with the MAG7 stocks doing most of the heavy lifting, will tech continue to carry the weight in 2025? Plus Global opportunities in the new year. Where your money could do the most traveling, and the markets that could ring in the new year with some strong growth.
Stocks paring early losses but still closing in the red, and with just one trading day left in 2024, the supposed Santa Claus rally seems virtually out of reach. So will stocks start the new year with the same lump of coal? Plus The potential impact from the Bird Flu virus. What we know, and what an outbreak could mean for millions of Americans.
Markets still searching for a Santa Claus rally, as stocks sell off to close out the week. And with just a few days left to go in 2024, are markets setting up for a painful start to the new year? Plus How you should play 2024’s biggest gainers and laggards. The traders make their picks with a good old fashioned game of “Trade It or Fade It”.
Shares of Apple at record highs, and nearing a major milestone. What the elusive $4 trillion market cap means for the tech giant, and if the stock can keep climbing in 2025. Plus Netflix’s Christmas Day NFL double feature. How the live games fared over the holidays, and what it means for a potential ad-tier.
Consumer staples stocks struggled on an otherwise strong day for markets, as yields and the dollar rose. What’s that say about the strength of stocks in the new year? Plus semis surge on a new probe into China’s chip industry, Zillow lays out its forecast for housing in 2025, and what to expect from FinTech and M&A.
Stocks bouncing back after a rough week, as investors digest encouraging inflation data, as well as dovish rate commentary from Chicago Fed President Austan Goolsbee. So could a Santa Claus rally still be in the cards? Plus 2024 nearing an end, and it’s been a big year for stocks. And our traders are picking out the one chart that blew them away.
Two big risks facing the market, as rates and the dollar both continue to climb. What the rise means for equities, and where the 10-year yield is heading from here. Plus A slew of health care headlines impact the space. The pressure on insurers, a weight-loss shortage update, and the disappointing study results pushing one pharma stock lower.
Stocks selling off after the Federal Reserve slashed interest rates by a quarter point. Why Powell is indicating less rate cuts in 2025… and what it means for markets. Plus the momentum trades losing a ton of steam late in the day. What it all means for stocks into year-end.
Could the 10-year yield climb as high as 6%? The bold rate call out of one Wall Street firm, and what it would mean for this year’s rally. Plus A new funding round from one of the most valuable private companies, and what the CEO says could be next for the AI startup.
Bitcoin hitting another record high, as MicroStrategy jumps on news it will be added to the Nasdaq 100. Why the CEO is calling the crypto a “cyber Manhattan”, and the price tag he’s putting on Bitcoin. Plus Markets hovering near record highs, and Wall Street expectations are for another solid year. But could the new year ring in a 10% sell off? How one market strategist is forecasting 2025.
A rough prognosis for the health care sector, as new reports about RFK Jr’s allies point to a major overhang for vaccine makers. How names like Pfizer, Morderna, and Sanofi will fare under the new administration, as the entire health space comes into focus. Plus One more rate decision before the new year… and with expectations of another cut, could the Fed’s easing cycle be nearing an end? How next week’s rate decision will impact markets going into year end.
Another record close for Apple as the tech titan’s rally continues. The driving factors behind those gains, as the company’s market cap nears the $4 trillion mark. Plus Make Crypto Great Again? President-Elect Donald Trump weighing in on the crypto space as Bitcoin hovers near $100K. The future of crypto under Trump, and why the founder of the world’s first institutional Bitcoin fund says the rally is just getting started.
The Nasdaq reaching new heights, as the index surpasses 20,000 for the first time ever. The tech surge that brought it there, and if the rally has more room to run. Plus Nuclear energy taking off, as power hungry AI data centers drive fuel demand. An inside look at one uranium mine in Canada that’s 1600 feet underground.
Shares of Alphabet surging as Google unveils a ‘breakthrough’ quantum computing chip. What it means for the future of coding, and the areas of tech that could benefit. Plus A spotlight on the health insurance space, as the suspect in the UNH CEO murder investigation heads to his first court appearance. The latest details on his motives, and how it could all impact other players in the health insurance space.
Some of this year’s hottest stocks staging a major reversal to start the week. The Tech, restaurants, and asset manager stocks in the red, and if there’s more pain to come. Plus Major developments in the UnitedHealthcare CEO’s murder investigation, and the slaying has the whole insurance space under a spotlight. How AI may be behind a slew of claim denials… and what it means for the future of the industry.
Social stocks gaining momentum as an appeals court upholds the law requiring a ban or sale of TikTok. What it means for the likes of Meta and Snap… and when the social media platform could get blocked. Plus UNH notches its worst week since before the pandemic. The fallout from the company’s CEO’s murder… and how the company will move forward from here.
All eyes on tomorrow’s November jobs report, as stocks take a breather from their recent rally. The pockets of strength in today’s trading, and what tomorrow’s employment data could mean for the markets next move. Plus Bitcion finally breaking through the elusive $100,000 level. What the milestone means for the crypto space, and where retail investors are putting their money to work.
Big tech taking the lead, and driving the S&P 500 and Nasdaq to fresh record highs. How semis, software, and other sections of the tech trade can fuel your portfolio. Plus Fast Money’s Obesity Week coverage continues. Eli Lilly’s Chief Scientific Officer breaks down how the company’s obesity drug Zepbound performed in its first head-to-head clinical trial against Novo’s Wegovy, and what the results could mean for the weight loss drug wars.
Tariff threats and trade restrictions are the latest irritations in rising U.S/China tensions. But the Chartmaster Carter Worth says now could be the time to get in. What he’s seeing in the technicals, and how your money can fare in the China trade. Plus Fast Money’s special coverage of the weight loss drug space continues. How one biotech company is standing out from the competition, and how its obesity drug could do more than trim your waistline.
Intel CEO Pat Gelsinger stepping down, as the chipmaker looks to bounce back from a tumultuous couple of years. What the turnaround plans may look like now, and how Intel can keep up with competition. Plus Fast Money’s Obesity Week kicks off. The emerging players in the weight-loss drug battle, and what industry leaders see next for the space.
A check on the health of the consumer, as buyers gear up for Black Friday shopping. How gas prices, inflation, and mortgage rates are helping paint the picture for what to expect out of retailers this season. And will stocks keep powering higher into year end? The bullish case for equities to keep charging, and where there’s still opportunity in the market.
Listen to our traders take you behind the money...how to play the volatility...pops and drops and the movers you missed.
Retailers making some major moves as holiday shopping kicks into high gear. So after a volatile 2024, can the group end the year in good spirits? Plus Health care, Biotech, and Pharma all in focus as investors digest President-Elect Donald Trump’s FDA chief pick. How the new chief will impact those spaces, and the weight-loss drug race.
Two tales of Tech playing out, as software and semi stocks diverge in the second half. The names leading the rip and dip, and if the trend will continue into year end. Plus How retail will fare this holiday season. Record holiday spending expected this year, as companies up their credit card interest. How it will all shake out ahead of the holidays.
Shares of Alphabet getting hit as the Department of Justice looks to have Google divest its Chrome.browser. What it could mean for Search… and how the proposed break-up would impact the tech giant. Plus Bitcoin keeps surging. How $100K could change the crypto landscape, and how Bitcoin proxy MicroStrategy is betting big on the continued climb.
All eyes on Nvidia as the AI chip darling reports results. How to trade that name, and how those earnings will impact the whole semi space. Plus Target ringing the alarm bells ahead of the holiday season. Could consumer spending habits be slowing down? And is this just a Target-specific problem?
Nvidia and Walmart both trading near record highs, as the retailer raises its sales forecast, and investors brace for the AI chip darling’s earnings report tomorrow. How our traders are handling both names, and if there’s still more upside ahead. Plus President-elect Donald Trump selecting more nominees to fill key admin positions. How the market is reacting, and the impact those picks could have on various industries.
Retailers gearing up for a big week of earnings reports, and all eyes are on the space as consumer spending comes into focus ahead of the holiday season. What to expect out of the biggest names, and where the retailers expect consumer strength to head next. Plus Tesla surging on reports President-elect Donald Trump could speed up the self-driving process, but don’t take your hands off the auto trade wheel just yet, not everyone is coming along for the ride.
AI darling Nvidia gearing up to report results next week, and expectations are through the roof. What Wall Street is expecting out of those numbers, and how you can trade the chip giant. Plus Biotech, pharma, and all things healthcare related taking a dip as President-elect Donald Trump appoints Robert F. Kennedy Jr. to lead the Department of Health and Human Services. And a look into some of his previous advisors could give some insight on what to expect when he takes the helm.
Stocks taking a leg lower as Fed Chair Jerome Powell gives updates on economic growth and the plans for the central bank’s next rate decision. How his comments are impacting markets. Plus Shares of Hims & Hers notching their worst day ever as Amazon makes a push into the telehealth space. How the increase in competition could keep pushing Hims to the sideline.
Stocks back in the green as this morning’s CPI data meets expectations. But as the dollar keeps climbing, and rates keep rising, can the post-election rally keep surging? Plus Ditching semis for software? Investors rotating into the space, but will the trend continue? The Chartmaster lays out what he’s seeing in the technicals.
Stocks taking a breather from its post-election rally as President-elect Donald Trump begins shaping his administration’s leadership team. The names taking key roles, and the impact it could have on foreign relations. Plus All eyes on tomorrow’s CPI data, as investors await the next read on inflation. What it could mean for stocks as they hover near record highs, and how the numbers could impact the Fed’s last rate decision this year.
The crypto boom is back, as Bitcoin surges to a record high. How a Trump White House could pave the way for even more gains in the crypto trade. Plus markets surging since election day… but will the rally need a breather? Where stocks could be heading next, and where there’s still opportunity into year end.
The S&P 500 notching its best week of the year as stocks benefit from a post-election surge. How a new administration could impact the markets, while the Fed continues its easing policy. Plus China Challenges on the horizon. Stocks selling off after a disappointing stimulus package failed to impress investors, and with tariffs likely in store, one China expert is faring an all-out trade war. The huge challenges he sees ahead.
The Central Bank cutting interest rates by a quarter point, as the Fed’s easing policy unfolds. What the move means for mortgages, credit cards, auto loans, and more. Plus Super Micro still reeling after its accounting and filing woes. But were the red flags hiding in plain sight? How the warning signs started emerging, and how AI helped raise the alarm bells..
A historic day on Wall Street after the Presidential election results. The “Fast Money” traders dive into the market winners and losers. And, how much power may be left in the Tesla surge.
Stocks climb as Wall Street awaits the Presidential election results. How the markets will fare when a winner is called, and how it could impact your money. Plus Ark Invest’s Cathie Wood weighs in on how the election will impact tech, the growth trade, and much more.
Warren Buffett’s Berkshire Hathaway slashing its positions in a number of big names. So Is the Oracle of Omaha’s recent moves a warning sign for where these stocks are heading? Plus The pill that’s getting easier to swallow… as Viking Therapeutics announces new data on its weight loss drug. The impact on the space, and why the stock reversed course from its initial jump.
Stocks climbing on the back of this morning’s weaker-than-expected jobs report. How the unemployment rate is holding up, and what the latest data means for next week’s Fed decision. Plus China stocks in focus, as lawmakers gear up to meet about the country’s next stimulus measures. Why one China expert says this could be a big opportunity for the regulators to restore confidence.
Big Tech results continue to filter in… with Apple and Amazon reporting results. How our traders are handling the after-hours moves, and what the latest batch of earnings mean for the broader tech landscape. Plus We’re just days away from the U.S. Presidential Election… and investors are getting the latest read on the economy with tomorrow’s jobs report. How that data could impact voters.
Meta and Microsoft in focus, as the big tech names report results. How our traders are handling the moves, and what it means for entire tech trade. Plus Eli Lilly getting hit, as the pharma stock misses estimates and slashes guidance. So are the disappointing results a sign the weight loss drug boom is slimming out?
Alphabet on the move after reporting results. How the tech giant fared this quarter, and the impact on the stock. Plus One week to go until the big day, and both candidates are making their final push to the White House. The State of the race, and the latest voting and polling numbers with just 7 days to go.
Retail, airlines, and more consumer-facing spaces already feeling the holiday spirit. How the gains in these spaces could point to a resilient consumer heading into year end. Plus A little over 1 week to go until Election Day, and some stocks are on the move. Where investors are piling into ahead of the big decision.
Nvidia’s record rally continues, as the AI darling trades near all-time highs, and briefly overtakes Apple in market cap. But are next week’s Big Tech earnings a moment of truth for the AI trade? Plus Rates, Equities, and Inflation ahead of the U.S. Presidential election. How one market trader is positioning ahead of the big night.
The traders lay out the most important charts in the market right now, as the Dow notches its fourth straight day of losses. Why you need to keep an eye on rates, semis, transports, and more. Plus A biotech boom… as Viking Therapeutics surges as it inches closer to a weight loss drug pill. The cash they have on hand, and why investors believe it can help tip the scales in the obesity drug race.
Tesla on the move after reporting results. The numbers out of that quarter, and where the EV maker is heading next. Plus Vuori gaining steam in the athleisure space. Where the CEO sees growth opportunities… and why he says competitors don’t need to fail for them to succeed.
Metals, Rates, and Crypto all moving higher as the November elections draws nearer. What one legendary investor is saying about the deficit no matter who wins the presidency. Plus Boeing machinists set to vote on the new wage proposal tomorrow. And the Union President isn’t so sure it’s a done deal. How close he says this vote could be, and what it means for Boeing if the vote falls through.
Interest rates heading higher, jumping significantly since the Fed cut its target rate last month. What the surge means for the broader market.. And if the central bank’s next decision will keep yields climbing. Plus AI’s copyright concerns. News outlets going after Perplexity AI, citing copyright issues from the search engine company. How the new suit will impact the entire AI space.
Stocks notching a sixth straight week of gains… as market uncertainties from mideast tensions, to economic worries, to the outcome of the presidential election all seem a bit clearer. What investors are seeing that’s keeping them buying in. Plus China stocks rebounding after a stronger-than-expected GDP report. But one expert is questioning the longevity of the mainland rally. Where he sees the overseas equities heading next.
Netflix on the move as the streaming giant reports a beat on the top and bottom line. What the quarter says about where that stock is heading, and how it holds up against the competition. Plus Investors unenthused after China’s latest stimulus efforts. The housing headache they’re facing… and why the measures fell short of expectations.
Stocks near record highs, as banks, industrials, and utilities all trade higher. Where investors are seeing opportunity outside of the Mag7. Plus a major warning sign out of the auto space, as underwater car loans grow. The numbers being reported, and what it could mean for the space.
Chip stocks pulling back after a big run up, as ASML plummets after warning of weaker china sales. So has the semi surge seen its peak? Or are there still opportunities hiding in the tech trade? Plus UnitedHealth having its worst day since the start of the pandemic, after posting disappointing profit forecasts for 2025. The rising medical costs impacting that stock.
Nvidia notching a record close, as the broader indices hit new records of their own. How the AI darling can keep climbing, and if stocks can continue their rally as earnings season gets underway. Plus
Venture investor Bradley Tusk weighs in on tech, crypto, AI regulation, and more. The spaces he’s seeing the most opportunity in, and how markets will fare into year’s end.
The S&P and Dow both recorded new all-time highs today, and the Nasdaq got as close as its been to a record in three months. The strength coming from big moves higher in JPMorgan and Wells Fargo, which reported this morning. But it wasn’t all good news – Tesla shares sank after the highly anticipated reveal of the Cybercab failed to impress investors.
Earnings season is back, and the bank stocks are kicking things off. But after a nice run this year, can results help fuel the financial trade even higher? Plus The State of commercial real estate. How the Fed’s recent rate cut is impacting deals, and if there’s any opportunity left in the space.
The Justice Department may be looking to break up Google after the ruling on its monopoly. The business recommendations they’re suggesting… and if the tech giant could actually be forced to split up. Plus Ozempic Underworld. An in depth look into the counterfeiting of the widely popular weight loss drugs. How the drugs are being altered, and the implications for the entire weight loss space.
After a cruel summer for Nvidia, the chip giant is making a comeback. And with shares already up nearly 30% over the past month, can the AI darling keep the good times going? Plus GM giving updates on its EV plans. What CEO Mary Barra told analysts, and if the automaker can stay charged up in the EV race.
The yield on 10-year Treasurys hit their highest level since early August ahead of Thursday’s CPI print. Meanwhile, the prospect of a strike on Lebanon sent U.S. equity markets sharply lower midday. All the headlines on investors’ minds tonight.
A major AI move from Google that could seriously impact the digital ad space, and the billions of dollars in liquidity access OpenAI just secured. Plus A both bitter and sweet side of the port strike. The commodities being hit the hardest, and what it means for your breakfast and dessert.
The China rally keeps ripping, as the country’s Hang Seng index sees its biggest gain in nearly 2 years. The stocks seeing the largest moves, and if there’s any juice left in this trade. Plus Investors unplugging from Tesla after the EV maker disappoints on deliveries. What it means for the company, and the next catalyst for the stock.
Stocks dropping as Iran launches a ballistic missile attack on Israel. The impact across the board from the mideast conflict, and how you should position if things get worse. Plus S&P overbought? How one hedge fund manager is loading up on cash as the markets nears a key level.
A potential Port strike that could impact trade across the eastern seaboard. The massive economic impacts it could have, and the spaces that could get hit the hardest. Plus Stocks wrapping up a strong month and quarter… as Fed Chair Powell weighs in on the Fed’s next move. How the central bank’s new monetary policy will impact markets heading into year’s end.
One trading day left in September, and stocks are looking to close out a winning month.Where investors are putting their money to work, and how they’re shrugging off the traditionally weak month. Plus GE Vernova on a wild run ever since spinning off from GE Aerospace. Where one analyst sees that stock heading next, and if you can still capture some gains in the name.
A big day for the China trade, as stocks surge on the back of the government’s economic stimulus. And with so many U.S. companies with a reach into the mainland, is this the all clear to get in? Plus Airlines taking off as Southwest holds its investor day. How one activist firm is looking to make some big changes, and what it could mean for the stock.
Analysts pumping the brakes on old school auto stocks, while Tesla electric surge continues.
How it’s fairing against the rest of the Mag7, and if investors will keep plugging into the stock. Plus The latest read on investor sentiment. Why market participants are feeling so optimistic, and the biggest concerns on their minds.
Chinese stocks rise as the country announces a major economic stimulus package. The sectors and ETFs seeing the biggest moves, and how broader markets digested the news. Plus Is there a real estate boom coming? How rate cuts could push the sector out of its rut, and the outlook for office space.
Shares of Meta hitting fresh record highs, and with a new VR event on deck, could it be the next catalyst for another move higher? How the social giant stacks up against the Mag7… and what to expect from its Connect event on Wednesday. Plus Shop Till You Drop. The luxury retail consumer seems to have done just that. Why analysts are warning of a luxury slowdown… and the slowdown they’re pointing to that’s impacting the space.
Listen to our traders take you behind the money...how to play the volatility...pops and drops and the movers you missed.
Investors piling back into the growth trade as stocks rally on the back of the Fed’s big rate cut. Does the central bank’s policy shift give the all clear for marktes? And will the tech trade lead the charge once again? Plus Former president Donald Trump interested in credit card interest. The cap he’s calling for… and how some other policies from both sides are raising some eyebrows.
The Fed slashing interest rates for the first time since the pandemic. What the change in policy will mean for all stocks, rates, and your money. Plus One area of the market remaining particularly high. How the central bank’s new cutting campaign will impact mortgages, builders, and the entire housing trade.
Stocks, rates, housing, all making moves ahead of tomorrow’s key Fed decision. The latest read on the size of the cut, and how investors are positioning. Plus The tried and true areas of the market that could brave the market volatility. And where the traders are placing their bets.
Intel jumping after hours after the company announced an expanded partnership with AWS and new plans for its foundry business. What the CEO had to say about the news. Plus shares of Apple in the red, as weakening demand for iPhones weigh on the tech giant. How shorter shipping times are a signaling trouble for the company, and how it could impact their upgrade cycle.
After the worst week of the year, the S&P 500 and Nasdaq bounce back to notch their best week of 2024. What the market action means ahead of next Wednesday’s key Fed decision. Plus The White House targeting China-linked discount retailers, as a trade loophole comes into focus. The companies skirting the fees, and the impact the new rules will have on U.S-China relations.
Top tech execs meeting with White House officials to discuss the future of AI energy usage. What the Nvidia CEO had to say about production, chip delays, and more. Plus Not so jolly tidings ahead of the Christmas season, as a new report point to weak sales. What it says about the consumer, and the retailers that could be seeing a lump of coal this season.
August inflation declining to its lowest level since February 2021, but some components of CPI don’t seem to be budging. Why housing is so sticky, and how it could impact the Fed decision. Plus Summit Therapeutics surging nearly 100% this week on the back of new lung cancer treatment data. What it could mean for patients, and how it stacks up against the competition.
Big banks in the red, with JPMorgan leading the drop, as top execs lower expectations for results. How the financial warnings could be a sign for broader pain ahead. Plus Lawmwakers passing the Biosecure Act… targeting Chinese firms. What it could mean for drug prices, and the impact on U.S.-China relations.
Apple’s AI ambitions center stage as the tech giant debuts its new iPhone 16 alongside other new updates. What it could mean for the company, and where they stand in the AI race. Plus Brian Niccol’s first day. The former Chipotle CEO starting his new role as the Starbucks chief. The changes that could be coming to the coffee chain, and if share can stay caffeinated.
Stock dropping across the board as investors digested a weaker-than-expected jobs report. And with the Fed decision less than 2 weeks away, what will the new economic data mean for their next rate decision? Plus Low energy in the oil space, as Crude notches its worst week in more than a year. So will the oil slick continue?
All eyes on tomorrow’s big jobs report, as investors await another key read on the U.S. economy. What it could mean for markets, and the Federal Reserve’s next rate move. Plus The wheels are turning for auto stocks. Stellantis, Ford, and GM all making headlines. What you need to know, and why analysts are pulling a U-turn on one automaker in particular.
Shares of U.S Steel plunging as the Biden Administration prepares to block the merger deal with Japan’s Nippon Steel. What the fallout means for U.S. Steel’s future, and the job cuts that could follow. Plus Microsoft’s AI snag. Customers of the company’s Office AI assistant pushing back as performance and cost issues arise. The mixed results, and what it means for the tech giant.
Stocks dropping to kick off September trading, with investors seemingly taking risk off the table to close out the summer. So as semis slump, and bonds bump, is this the trend to follow into autumn? Plus Berkshire Hathaway is sitting on a record pile of cash. So with all that money, are there any companies worth scooping up? Our traders give their picks for who could be bought.
August trading is in the books, and after a rough start to the month, stocks managed to rebound. But with a big week on deck, can the bounce back continue? Plus Biotech company Emergent Bio getting FDA approval for its smallpox vaccine to treat mpox. What it could mean for Emergent’s future and the space as a whole.
Stocks losing steam late in the day, as Nvidia’s results weighed on the tech space. How the semi giant’s drop is impacting… or not impacting… the markets. Plus… Dollar General plummeting after cutting guidance. What the retail drop says about the state of the consumer, and if the same fate is in store for other retailers.
Nvidia shares on the moves after its latest earnings report. We dig in on the numbers for the AI darling and what the potential impact might be for the broader market. And shares of Foot Locker and Abercrombie both sinking after their reports this morning. What they say about the strength of the consumer.
Investors are cautiously optimistic ahead of a make-or-break earnings report from what could be the market’s most important stock. Plus, a new competitor enters the global EV market with a bang – and a price point that could spell big trouble for Tesla.
Temu’s parent company PinDuoDuo is flashing major warning signs about the country’s economy as the Dow hits a record intraday high stateside. Plus, all-in on Nvidia – from options to technicals and beyond – ahead of the chipmaker’s massive earnings report.
Markets ending the week on a very high note as investor optimism surrounding a September rate cut grows thanks to Fed Chair Powell’s remarks from Jackson Hole. Plus, tech is back in the spotlight as the market gears up for what could be a make-or-break earnings report from Nvidia.
Listen to our traders take you behind the money...how to play the volatility...pops and drops and the movers you missed.
Target giving investors a positive sign on the consumer as the retailer’s profits rise.
Plus Activist investment firm Elliott Management having a very busy year. So with high-profile stakes in companies like Starbucks, Southwest, Etsy, and more… what changes can we expect out of these names?
The market rally stalling out, but that didn’t stop Netflix and Eli Lilly from hitting fresh all-time highs. Why the streamer and pharma stock jumped, and if there’s more gains in store. Plus Boeing losing altitude yet again… as the plane maker pauses testing of one of its fleets. And with new CEO Robert Kelly Ortberg at the helm, how will the company handle the latest setback?
Stocks continuing their rally, as the S&P 500 and Nasdaq notch 8-day win streaks. What that milestone could signify for markets, as investors await more earnings and the Fed’s symposium at Jackson hole. Plus Google celebrating 20 years since its IPO. And after a powerhouse couple of decades for the tech giant, what can we expect for their future as regulators ramp up pressure.
Stocks notching their best week of the year, and it starts all over again on Monday. From the Fed’s Jackson Hole meeting, to more retail earnings… how you can position ahead of all the market moving events. Plus Home buying and selling could look a whole lot different, as the NAR settlement goes into effect impacting realtor commissions.
Shares of Walmart jumping on the back of a strong earnings report. What the retailer is saying about the state of the consumer, and why they see sales improving. Plus The Biden Administration unveiling drug prices subject to Medicare negotiations. The names being impacted, and how the pharma space will fare.
Starbucks notching its best day ever as Chipotle CEO Brian Niccol steps in to lead the company. So can he revive the beaten down coffee chain? Plus The latest read on what’s top of mind for investors. Volatility, rates, and an upcoming election… How they’re putting their money to work in an uncertain environment.
A big week for the U.S. consumer as fresh economic data and retail earnings filter in. How those numbers will paint the picture for consumers, and how it could impact the Fed’s next move. Plus Trimming China. Foreign investors pulling record amounts of cash out of China as worries over its weakening economy continue. What it means for Chinese stocks and your portfolio.
A big week for the U.S. consumer as fresh economic data and retail earnings filter in. How those numbers will paint the picture for consumers, and how it could impact the Fed’s next move. Plus Trimming China. Foreign investors pulling record amounts of cash out of China as worries over its weakening economy continue. What it means for Chinese stocks and your portfolio.
Stocks closed out a volatile week with solid gains on Friday, with the Nasdaq 100 even eking out a gain since Monday. But with CPI and big box earnings coming next week, can the turnaround last? Plus we’re looking at the big moves in Intel, the Trade Desk and more, and whether its time to buy Exxon.
The S&P notching its best day since November 2022, as stocks surge after this morning’s better than expected jobless claims data. But could there be some magnificent trouble brewing under the rally’s surface? Plus office demand turning a corner. Manhattan office buildings seeing a big uptick. How the latest data is pointing to a comeback in the space.
Stocks losing steam late in the day, as markets attempted to continue their rebound. Where stocks are heading next, and the impact from the move in rates. Plus A retail reduction. Why one analyst is sounding the alarm on a weakening consumer, and the impact it could have on retail stocks.
Stocks bounce back after Monday’s big sell off, with the major indexes recouping most of yesterday’s losses. But will the rebound hold? Plus How volatility plays into the market action. How you can navigate the swings, and the areas seeing the biggest impact.
Stocks continue their slide, with the Dow dropping more than 1,000 points. How to navigate the sell-off, volatility, and rate moves. Plus Japanese stocks also plummeting, notching their worst day since the 1987 Black Monday crash. How the surge in the Yen is impacting the ‘carry trade’.
Stocks dropping to close out the week after this morning’s weak jobs report. What the major sell off on Wall Street could mean for the Fed’s next rate decision. Plus Intel’s biggest drop in 50 years. How the plunge impacts the broader market.
Apple and Amazon report results as earnings season continues. What the big tech results will mean for broader market. And speaking of the broader market, stocks plunging across the board as the Dow logs its worst day of the year. How you can navigate the volatility, plus some safe haven picks from the Chartmaster.
Meta shares higher after reporting results. The details from the conference call, and what you can expect from the social stock next. Plus Stocks surging as the Fed leaves rates unchanged, and Jerome Powell is pointing to September for a possible rate cut. What the rate change could mean for your money.
Microsoft shedding more than $200b in market cap after reporting results. All the highlights from the company conference call. And what you can expect from the tech titan going forward. Plus Another key Fed decision on deck. How tomorrow’s rate update will impact the bank space.
McDonald’s locking in its best day since 2020, despite a rough earnings report this morning. How investors are still lovin’ it, even as consumers pull back. Plus… Rates taking a leg lower as the U.S. Treasury announces a borrowing update. So how will that move will impact stocks?
Markets took a tumble earlier this week after the first two Mag7 names reported their latest earnings reports, but with Microsoft, Apple, Amazon and Meta all on the calendar for next week, will investors get some relief? And what will semiconductor stocks watch from in those reports?
Shares of Lululemon hit their lowest level in more than four years after a downgrade at Citi and trouble with one of its hotly-anticipated products. What its weakness says about the state of the consumer and how you should play the space. Plus in part two of our Big Short Week spectacular, Neuberger Berman’s Steve Eisman reacts to Wednesday’s sell-off and gives us his strategy for the back half of 2024.
The Nasdaq plunged more than 3% and the S&P ended its longest streak without a 2% pullback in more than 17 years. It this the sign that the great rotation is fully underway? And how should you position yourself now? Plus we dig in to the latest earnings reports from Ford, Chipotle and more.
Alphabet and Tesla are the first of the mega cap stocks to report earnings this quarter. We dive into the numbers and get you all you need to know behind the trades. Plus a trio of stocks that reported earnings this morning are seeing vastly different years than their biggest rivals. Did the latest results do anything to change the fates for these names?
Seawolf Capital’s Porter Collins and Vincent Daniel join Moses Ventures’ Danny Moses to give their thoughts on the markets, the election, and their top picks for the second half of the year. Plus Alphabet and Tesla kick off mega cap earnings season tomorrow. We sit down with one top analyst for his thoughts on what to expect from these reports.
Shares of Crowdstrike sinking after it’s identified as the cause of a major tech outage that impacted industries across the globe. We dig into the effects and the next steps for guarding the U.S. tech infrastructure. Plus Alphabet, Tesla, Chipotle just some of the names reporting earnings next week. What you should expect from these reports.
Shares of Netflix on the move after the company beat earnings and revenue expectations and added more subscribers than forecast. What’s next for the streamer and where are shares going from here? Plus signs that tensions are escalating between Taiwan and China as both presidential candidates ramp up the rhetoric on the region. What it means for U.S. policy and the markets.
Shares of ASML, Taiwan Semi and Nvidia sinking today as the SMH semiconductor ETF sees its worst day in over four years. Will rising geopolitical tensions mark the end of this recently red-hot trade? Plus positive trial results on Roche’s weight-loss pill sending those shares higher and those of competitors lower. We dive in on the latest developments in the GLP race.
The industrial average posted its biggest point gain since November 2022 as investors rushed out of the red-hot tech trade and into the tried but true. Is this the sign that the Great Market Rotation has taken hold? And where does it go from here? Plus China sales weighing on luxury retail results recently. Is this a sign that that consumer is under real stress? And how will shifting China policy impact that economy?
Stocks and sectors that would be buoyed by a Trump victory in November soared today on expectations for a GOP win. How you should play the moves, and what a Trump presidency could mean for the markets and the economy. Plus shares of Burberry sinking after a CEO shake-up. We’ll dive into the company’s struggling turnaround and the impact on the high-end retail sector.
Is there a market rotation or broadening taking place? Areas of the market that have underperformed so far this year are on a tear, so is tech’s tear finally rippling across the market? Plus Earnings season is underway. And the options pits are lighting up as investors look ahead to next week’s big reports. The names to watch, and how to trade them using options strategies.
Yields dropping to their lowest level in months, as this morning’s inflation report boosted hopes of a rate cut. So is the rate retreat the greenlight for investors to rotate into the laggards? Plus Pfizer’s getting in on the weight loss drug battle. How the pharma giant is moving forward with an obesity pill after encouraging data.
Shares of Apple keep climbing, and analysts are giving the tech titan the thumbs up as shipment estimates reportedly grow. But can you count on the comeback, or should you stick with the big AI winners. And speaking of AI… the tech revolution taking center stage at Allen & Company’s Sun Valley conference. How players from across various industries are aiming to use AI to boost their companies.
Banks heading higher ahead of the group kicking off earnings season this Friday. The move in rates, and what Fed Chair Powell had to say on the hill. Plus No glut in the housing space. How inventory and prices are at a disconnect, and the impact on the housing in the 2nd half.
Consumer cracks starting to form, as fast food, gaming, and retail stocks all continue their decline. What the drops in these spaces could mean for consumers. Plus Presidential pressure adding up. As more calls out of Washington for President Biden to step aside. What the election volatility could mean for markets.
Tech stocks rallying as Meta, Alphabet, Apple, Microsoft, and Amazon all closing at all-time highs. How today’s jobs report could impact tech’s tear, and the Fed’s next move. Plus Energy in the second half. How oil and energy stocks will play out for the rest of the year. And why price action may be lumpy as the summer wears on.
Eli Lilly and Novo Nordisk getting hit as President Biden says they’re “ripping off Americans”.
The rising costs of weight loss drugs, and the political impact on the pharma space. Plus Tesla charges higher. The EV maker reporting strong delivery numbers, extending the stock’s recent win streak. But could shares be nearing a key resistance level? How the technicals are looking in this name.
Shares of Apple nearing record highs as reports of a China iPhone rebound helps fuel investor optimism. But not everyone’s believing the reversal. What analysts are saying about the recovery in the mainland. Plus Hedging into the second half. After a strong first half, here’s how you should position for the rest of the year.
Shares of Nike plummeting after reporting results, as the sneaker giant warns of a major sales slowdown. But one of our traders is using the plunge as an opportunity. Plus the fast food price wars are heating up, but could the payment stocks be getting burned in the process. How that space is being impacted.
Nike swooshing lower after reporting a revenues miss. The details out of the company’s conference call, and how you should play the retailer. Plus Presidential impact. A look at the economic records under President Biden and Former Presiden Trump, as the two go head-to-head in tonight’s presidential debate.
Nvidia leading a semi selloff, as the company’s shareholder meeting sheds light on growing competition. What the moves mean for the chip trade. Plus Bank stocks in focus after the Fed’s stress test results. Why one investment firm’s CEO says the group is in great shape.
Shares of FedEx soaring after its latest earnings report. The numbers behind the move and all the details out of the conference call. Plus, all things housing taking a hit, as economists forecast a “stuck” market for the next few years. And it’s not just the builders feeling the pain. The related names seeing some losses.
Nvidia notching another day of losses, but the broader markets aren’t taking it too hard. How investors are handling the semi slide. Plus A big jump for one biopharma stock as Alnylam delivers promising new heart drug results. What the CEO had to say about the data, and the impact it could have on the space.
Has the fever broken for the high momentum stocks? Nvidia running out of steam this week, as some other high fliers also pull back. Is this just a bump in the road or the beginning of a summer slowdown? Plus Sarepta’s big surge. The biotech company getting expanded approval from the FDA for its muscular dystrophy drug. What the CEO says is next for the company.
Some of this year’s red hot stocks have seemed to hit a wall. Nvidia, Chipotle, Netflix… all taking a leg lower in today’s session. Is the pullback temporary? Or could there be more downside ahead. Plus Gilead’s big boost. Shares jumping after the biotech company’s latest trial results. What the data could mean in the fight against HIV.
There’s a new biggest bull on Wall Street, as Evercore’s Julian Emanuel ups his year-end price target on the S&P by 25% to a whopping 6,000/ What’s going to drive those returns and how should you play the market? Plus Industrials have been struggling so far in 2024, but one top technician says these names are about to witness a turnaround. We go off the charts to get the details.
There’s a new biggest bull on Wall Street, as Evercore’s Julian Emanuel ups his year-end price target on the S&P by 25% to a whopping 6,000/ What’s going to drive those returns and how should you play the market? Plus Industrials have been struggling so far in 2024, but one top technician says these names are about to witness a turnaround. We go off the charts to get the details.
Apple and Netflix both having strong weeks as the stocks trade near record highs. What’s next for the names and what could their rise mean for the rest of the markets? Plus long-struggling Gilead getting a boost today on early results of its experimental obesity pill. Can it effectively compete with the likes of Eli Lilly and Novo Nordisk?
Tesla shareholders voting on CEO Elon Musk’s pay package. The billions that could come his way, and if the EV maker’s incorporation will stay in Delaware or head to the lone star state. Plus Media stocks in the red as the future of television and streaming continue to evolve. What the stock moves could be telling us about the media landscape.
Another pause out of Powell, as the Federal Reserve leaves rates unchanged, noting some progress on inflation. What the central bank is forecasting for rate cuts this year. Plus The rate decision’s impact on financial stocks. Why one top bank analyst says it could be a boost for the group.
Shares of Apple jumping to record highs just a day after falling flat on its new AI announcements. The turnaround for the tech titan, and what it means for the market. Plus The weight loss wars rage on… and we’re honing in on oral version of GLP-1’s. How one pharma stock is faring in the space, and how their results stack up against the competition.
Apple upping the AI wars with their latest announcement: Apple Intelligence. How the new tech titan’s new push into AI will stack up, and how they’re incorporating ChatGPT. Plus European elections skewing to the right, all while investors here at home await a key Fed decision. How it all will impact markets.
Rates surging after this morning’s stronger-than-expected jobs report. How the hot data is impacting the likelihood of a Fed rate cut. Plus Gamestop taking a big leg lower, as the company plans a big stock sale. What they could do with the money, and how Roaring Kitt’s livestream didn’t seem to help shares.
Commodities rising across the board, as oil, metals, and agricultural prices all climb. But as those all head higher, rates continue to fall. What the moves could be saying about the market. Plus Eli Lilly’s Alzheimer’s treatment raising some eyebrows at the FDA. What regulators are flagging, and how it could impact the future of the drug.
Listen to our traders take you behind the money...how to play the volatility...pops and drops and the movers you missed.
The traders lay out the one chart telling the real market story. How the levels and price action in these areas could detail where stocks head next. Plus One telehealth company launching a weight loss drug tracker, as the surge in popularity causes shortages. How they’re tipping the scales in the obesity drug wars.
Barrels, builders, and the big semi trade. Three areas of the market with major moves today. How you should play oil, homebuilders, and the chip stocks. Plus India and Mexico markets heading in very different directions as election results impact stocks. What the divergence means for your money.
May trading in the books, and after a tame inflation read this morning, investors are honing in on June trading. How to position, and where your money can get the best bang for its buck. Plus A crude reality for oil, as the commodity notches its worst month of the year. And with the latest OPEC meeting kicking off Sunday, will energy be able to turn things around?
Stocks tumbling as investors eye tomorrow’s key inflation read. But will the PCE data show the Fed’s finally getting on top of inflation. Plus… Foot Locker kicking higher after earnings. How the sneaker company is implementing their turnaround plan… and if this name can keep running.
Rates continue their climb higher, and besides a powerhouse move in Nvidia, stocks have been feeling the pain. Will the rising rate environment continue to be a headwind for companies? Plus… Retailers rising after results. Dicks Sporting Goods, Chewy, and Abercrombie & Fitch all soaring after reporting. But will those same rising rates put pressure on the consumer? Why a former retail exec says the shopper can handle it.
Is there more trouble brewing in the office real estate space? The shocking stat that could mean big problems for lenders, and why the government may need to get involved. Plus Insmed’s incredible day. The pharma stock surging as new drug trial results blow past expectations. What it could mean for the future of the company.
The Nasdaq closed at a record, as did a slew of stocks across sectors. But should you buy into these names now? Plus, Burger King following McDonald’s lead in offering a $5 menu, but will it be enough to draw in customers and drive up sales?
Shares of Nvidia surging after earnings and its 10-for-1 stock split announcement, but after another big jump, is the stock still a buy? If the chip giant’s rally can keep running. Plus More headwinds for Boeing. The company announcing it expects to burn cash this year, and that deliveries won’t be getting any better. The latest Boeing bruise, and if this stock can turn things around.
Shares of the semi giant jumping after it reported a big beat on earnings and revenue and announced a 10-for-1 stock split. It also raised its dividend by 150% percent. So did the company just give the green light for the AI trade? Plus two very different reads from retail stocks and where Ether is going from here.
Potential homebuyers are feeling the pain as housing affordability hits a staggering new milestone. The data keeping Americans out of the real estate market. Plus Could Lululemon’s business be getting strained? The stock’s biggest bear lays out why he sees this company going downward dog next year.
Shares of JPMorgan losing steam in the session after CEO Jamie Dimon’s comments on owning the bank, and his own succession plans. Where the financial heavyweight is heading next. Plus Telehealth provider Hims & Hers surging after announcing it will offer GLP-1 injections. How they’re hoping to tip the scales in the obesity drug wars.
Tech in focus as Microsoft and Nvidia both gear up for big events next week. How Microsoft’s AI ambitions are being received, and if Nvidia can beat expectations when results cross the wires. Plus China’s central bank to the rescue. How regulators are hoping to get consumers spending again.
The Dow Jones Industrial Average hitting 40,000 for the first time ever as the surge in Walmart boosts the group. But could the retailer’s strength be short-lived? Plus A housing market divided. Commercial and residential real estate showing signs of stress, but there’s one area of housing seeing a boom. How luxury real estate is building a strong foundation.
The S&P, Dow, and Nasdaq all hitting fresh record highs after this morning’s lighter-than-expected CPI data. How the new inflation data could impact the Fed’s rate cut timeline. Plus Banks breaking out. The KBW index hitting a 52-week high, and Chris Verrone is hitting the charts to find out where the group could be heading next.
Volatilty at multi-month lows as investors brace for tomorrow’s big CPI data. Are investors just holding their breath before the key inflation report? Plus Lionsgate out with a roar. The studio debuting on the nasdaq today, as one of the largest pure play content companies in the world. So how will the studio stand out from competition?
Chinese stocks staging a stealth rally as EV tariffs loom. How U.S - China relations will impact the space, and the names that could get hit the hardest. Plus The Kitty Comeback. Shares of Gamestop soaring as the trader behind 2021’s meme-stock mania makes his online return. What it could mean for Gamestop and the other stocks rallying on the hype.
McDonald’s rolling out a new low-priced meal as cash-strapped customers tighten their purse strings. The latest signs of the consumer crunch, and the sentiment at its lowest level of the year. Plus China stocks rebound. Mainland momentum picking up, as China’s FXI outperform the S&P 500 this year. How the overseas opportunities could help boost your portfolio.
Stocks jumping as investors await another big round of economic data, so where are traders waiting things out? Their highest conviction trades, and if the names are right for your portfolio. Plus Media companies looking to make the shift into streaming. But they better get a move on…as Netflix’s recent comeback proves why it’s currently the king of streaming.
Earnings keep rolling in, and different stories are being told about the consumer. The areas seeing strength, and the groups raising the red flag. Plus… A check on chips. From a U.S-China license revoking… to the names that could keep surging. Where one semi analyst sees this trade heading next.
Shares of Disney tumble as the media giant looks to make its streaming business profitable.
The hurdles they face, and how a consumer under pressure will impact the company. Plus relying on Nvidia. Can the AI trade continue its run? Or does a pullback in the name spell trouble for the broader market?
10-year yields are down about 25 basis points from their recent highs, but are they falling for the right reasons? And what does the move mean for the markets? Plus, former Starbucks CEO Howard Schultz weighing in on the company’s latest earnings report and the leadership of the man he chose to replace him. How will his comments impact the company now?
Shares of Apple surging after the company announced the biggest share buyback in history, but was the news just a bit of financial engineering to distract investors from slowing sales? Plus Starbucks continued to drop after its disappointing earnings report. Is this stock actually so bad it's good?
Apple on the move after its results. We’re diving into the numbers and the call from the iPhone maker. Plus shedding the pounds and the prices. Novo Nordisk lowering prices for its blockbuster weight loss drugs. How an increase in competition is tipping the scales in the space.
Stocks losing steam late in the day after the central bank leaves rates unchanged. What Jerome Powell is saying about the Fed’s next rate move. Plus Grinding into Starbucks. The coffee store chain sinking after reporting, as the company slashes its forecast. What the CEO had to say about the results, and if analysts are still sipping on the stock.
Amazon jumping after posting better-than-expected results. How the e-commerce giant’s report stacks up against its big tech peers. Plus All eyes on the Fed as the central bank gears up to make their next interest rate decision. And our next guest says two cuts may not be enough. How tomorrow’s decision could determine the market moves in May.
Apple bucking the mega cap trend lately, rising today after an analyst upgrade. But with just 3 trading days left before the tech titan reports, will the stock follow its peers with an earnings report drop? Plus Tesla all charged up. Shares of the EV maker electrified in today’s session, as the company clears a major hurdle for its Full Self-Driving software. Why CEO Elon Musk made a surprise visit to the country, and what the deal means for the future of Tesla.
Despite a slew of negative economic data, markets notched a positive week ahead of a key Fed decision. So do the AI-fueled gains in big tech mean more to the market than the central bank? Plus Intel’s post-earnings slide. The chipmaker’s results disappointing investors as forecast falls short. But there’s still some bulls on Wall Street betting on a comeback.
Earnings season rolls on, and all eyes are on big tech. How Alphabet, Microsoft, IBM, and Snap did in their latest quarters. Will it be enough to reverse the market’s losses from today and get the rally back on track. Plus two gold miner stocks soar and a look at this morning’s earnings movers.
Meta dropping after-hours as guidance disappoints. So has the social stock’s recent climb come to an end? Plus Investors plug into Tesla post-earnings, as CEO Elon Musk gives updates on the EV maker’s new models and robotaxi plans. What he’s saying about the timeline and if these promises can deliver.
Tesla on the move after reporting a miss on the top and bottom line. What it means for the EV maker, and if these results could hit the brakes on its recent downhill slide. Plus Goldman Sachs’ record close. The bank continuing its run since earnings last week, but will the goldman glow keep shining?
Stocks getting a reprieve after last week’s tech-led selloff as investors gear up for Big Tech earnings. So will those results keep markets afloat? Plus Where gold could be heading next. And All eyes on Tesla. The EV maker gearing up to report after a brutal start to the year. So can this stock pull a U-turn, or will investors continue to unplug?
Chip stocks leading today’s tech sell off. The group down 15% from its record last month. Will the semi slip continue? Or can earnings next week help fuel a rebound? Plus Tech between a rock and a hard place. Apple and Meta under pressure as U.S./China tensions heat up. So is the latest move a TikTok retaliation?
Netflix on the move after delivering quarterly earnings. What it means for the stock, and where the streaming wars go from here as password sharing takes center stage. Plus TikTok nearing midnight. Lawmakers fast tracking a ‘divest or ban’ bill that could force the hand of Chinese owner Bytedance. What it means for the app, and if this bill will pass.
Could higher interest rates be boosting the economy, instead of hurting it? The contrarian view of how elevated rate levels are helping fill the consumers pocket, rather than leaving them squeezed. Plus More tailwinds for Boeing. A company whistleblower sounding off on safety concerns on Capitol Hill. But there could be another storm cloud heading for the planemaker.
Bank earnings are sending mixed signals, as the money centers and investment banks painting different pictures for the financial space. How results are impacting markets, and what it could mean for the rest of earnings season. Plus A pivotal moment for Japan, as the Yen hits fresh 34-year lows. So will regulators step in? And what it means for investing overseas.
The market starting the day with gains, but losing steam fast as geopolitical tensions escalate. Rates also making a big move today, with the 10-year yield hitting its highest level since November. Will the overseas conflict continue to weigh on stocks? Plus Tesla cutting jobs. The EV maker slashing 10% of its global workforce, as shares continue to slide this year. What CEO Elon Musk told employees, and what the layoffs could mean for the company’s future.
April has gotten off to a rough start, as stocks drop and rates rise. But can earnings season help boost markets, or will results be the nail in the coffin? Plus Yellow Metal Musings. Gold rallying to another all-time high. What’s driving the surge? And what other commodities could come along for the ride?
Shares of Morgan Stanley fell as much as 7.2% after a report that multiple federal agencies are looking into how its wealth management unit vets clients for money laundering risks. What it means for the company as we get ready for bank earnings season. Plus 10-year yields hit a high of 4.6% today, and one top analyst says it could be testing record highs soon. We lay out the case.
Stocks selling off after this morning’s hot CPI print. Could the inflation gauge push The Fed to delay rates into 2025? Plus A Real Estate rough spot. That CPI data sending all things real estate into the red. How commercial property, housing stocks, and the homebuying proxies are all being impacted.
Alphabet surging to an all-time high as the tech titan unveils a new AI chip. What it means for the Cloud space, and how it stands up to the competition. Plus… why your power bill doesn’t care about the Fed’s inflation fight. The rise in energy costs and how consumers are paying up no matter which way rates go.
Alphabet rises, while Nvidia stalls out. Is the tide turning in the AI trade? And how should you position yourself in the space. Plus Digging in on the technicals. How Nvidia, Apple, and a payment player is shaping up
Stocks bouncing back after yesterday’s big sell off. But between a hot jobs report, hawkish Fed talk, and even a literal earthquake… is a market rally the normal reaction? Plus even more room to go in energy’s price spike. The pain at the pump, and where energy stocks could be heading next.
Stocks reversing course as investors fear it could take the Fed even longer to cut rates. So could a potential delay keep markets from continuing their climb? Plus… is there a small cap comeback on the horizon? The signs starting to emerge, and where you look for leadership in the space.
Fed Chair Jerome Powell weighing in on the fight against inflation… as stocks continue their weak start to Q2. So has inflation really gotten under control? Plus Ford picking up as new sales numbers help boost the stock. What the data means for the auto stock… and where consumers are leaning to when picking out some new wheels.
Tesla stalling out as EV deliveries fall short of expectations. And even some long-term bulls are losing charge. Could this be the inflection point for the EV maker? Plus U.S.-China tensions in focus. President Biden speaking with Chinese President Xi Jinping on a wide range of topics. What to know from that call, and how TikTok got weaved into the conversation.
The second quarter kicking off with a big move higher in rates, gold, and oil… after Fed Chair Powell’s bullish economic comments. So should investors brace for a prolonged pause out of the Fed? Plus Japan’s currency issues. How the drop in the yen could have central bankers intervening.
Q1 is in the books, and stocks are heading into Q2 with some major accomplishments. Can the market rally keep raging? And where you should be positioned going into the second quarter. Plus… what it really costs to craft these diabetes drugs. A new study pointing to a $5 price tag for a month’s worth of one blockbuster GLP-1 drug. The dollar dichotemy… and if prices will come down for the public.
CNBC Pro Talks features one-on-one interviews with Wall Street’s top investors, smartest traders and rising stars. CNBC’s Dominic Chu finds out what makes them tick, what makes them money, and how you can follow in their footsteps. CNBC Pro Talks is a monthly interview series that’s part of CNBC’s premium subscription service, CNBC Pro. To hear the full Pro Talk interview—including specific stock picks and investment strategies—listeners can subscribe to cnbc.com/protalks.
One trend in the fast-food space could be pointing to a cash-strapped consumer. How diners are tightening their belts and the impact on the restaurant stocks. Plus Bitcoin’s next move. Crypto crushing it over the last few months, and with Bitcoin’s halving just a month away, could this space be ready to climb even higher?
An under-the-radar inflation read may be pointing to lingering pain. How cocoa prices are getting too sweet this year, and the other commodities inching higher. Plus…Bet on the winners? Or take a chance on some comeback kids? Our Fast Money traders give their picks for the names that could pump your portfolio.
Disney’s boardroom battle nearing a head as investors look to the company’s annual shareholder meeting next week. But with shares climbing since Activist investor Nelson Peltz got involved, could a proxy battle boost the media giant even further? Plus China sidelining semis. The country looking to phase out U.S. chips, delivering a blow to some top tech names. What the mainland move could mean for the semi space.
Shares of Nike and Lululemon getting stretched, as the retailers both disappoint investors with weak outlooks. So are cracks starting to form in the consumer stocks? Plus Donald Trump’s media merger getting shareholder approval. How the former president could be in for a $3 billion windfall… if shares can reverse their downward spiral.
The Department of Justice suing Apple over an iPhone monopoly in a landmark antitrust case. What they’re accusing the tech titan of doing, and the impact this could have on the iphone ecosystem. Plus… Can oil’s rally keep pumping higher? Crude outpacing equities this year,
Major indexes hit all-time highs after Fed Chair Jerome Powell kept rates steady, but reiterated expectations of 3 rate cuts before year’s end. So will markets continue to run higher with lower interest rates on the horizon? Plus Ready for Reddit?. The social media company preparing to go public in its highly anticipated debut. But will investors welcome it with open arms? And will the debut pump some life into the IPO market.
Retail M&A is heating up, as a number of companies in the space weigh current and potential deals. What you need to know about all these possible buyouts… and if there’s more dealmaking to be done. Plus cracks in commercial real estate. Why the sector may still be looking for a bottom, and what the credit markets are saying about the space.
Nvidia’s surge comes into focus as CEO Jensen Huang takes the stage at the company’s GTC conference. Can the AI-hype keep fueling this stock’s record run?
Plus… Rate cut hopes losing steam as recent inflation data could change the central bank’s tune. The likelihood of a cut, and if investors should be expecting one in 2024 at all.
Shares of Nvidia up ahead of its big AI Developers conference next week. What investors should be watching in the product launch, and how traders should play the name. Plus the Fed holding its second policy meeting of the year. What the central bank may say about the direction of rates this year, and how it could impact the markets.
China sounds off on the potential TikTok ban… as Former Treasury Secretary Steve Mnuchin weighs scooping up the social media app. Could a deal get done? And how will U.S.-China relations be impacted? Plus… A debt situation going from bad to worse. The federal debt load continuing to grow, stoking fears of higher rates and lower growth. So can it be corrected before it’s too late?
Consumers diverging when it comes to spending. Shares of Dollar Tree tanking after announcing it will close nearly 1000 stores, but Williams-Sonoma is surging after a big profit beat. So what are these consumer-facing stock moves saying about how people are spending?
Plus… TikTok on the clock after the House passes a potential ban on the Chinese-owned social media app. Will the U.S. TikTok craze come to an end? Or will parent company Bytedance bite back?
No school like the old school. Seasoned tech names like IBM, Dell, Oracle, and more all seeing outsized gains. So with the S&P closing at yet another record close, can you count on the whole tech trade to keep fueling the rally?
Plus… Weight loss drug prices in focus as President Biden’s budget proposal comes into play. How the drugmakers gains could be impacted.
The red-hot high-flyers are losing steam, as this year’s leaders like Nvidia, Eli Lilly, and more lose momentum.Is this just a temporary blip, or is there a greater unwinding at work?
Plus… A social slugfest. Former President Donald Trump laying into Meta, calling the social media giant an “Enemy of the People”... as a TikTok ban nears a vote.
Stocks taking a breather, as gold breaks out to a new high, topping $2200 for the first time ever. All while crypto continues its climb, with Bitcoin hitting $70,000. Could the moves have broader implications for the recent market rally? Plus… All eyes on Reddit. The social media company kicking off its pre-IPO roadshow on Monday. Where it will price, and the value drop it's seen over the last few years.
It was a losing week for the major averages after a late-day slide in afternoon trading today. Envestnet Co-CIO Dana D’Aurio and Wells Fargo’s Tracie McMillion break down the market action and what’s ahead. Melius’ Ben Reitzes calls AMD “Nvidia-Mini.” He lays out the bull case. Samsara CEO Sanjit Biswas talks the company latest quarter and how its AI strategy. Professor Jay Ritter, Mr. IPO, on if Reddit might signal a reopening of the IPO window. Plus, JPMorgan Chase Head of Global Research Joyce Chang on her global outlook.
All eyes on Washington as President Biden gears up to deliver the State of the Union. And with housing on the agenda, could a tax credit for first-time home buyers help boost affordability?
Plus… the chip rip continues as Nvidia powers higher. But are there other sectors of the market ready to breakout?
New York Community Bank raising more than $1B in equity led by Fmr US Treasury Secretary Steve Mnuchin… but is it enough to save the beaten down bank? Plus… slimming down your waist, and your wallet. A deep dive into weight-loss drug costs, and how it’s impacting those who need it the most.
Apple’s slide continues as the stock’s drop drags the Nasdaq lower. Is today’s market action the break in euphoria? Or can stocks shake off the losses? Plus… Slimming in the waist, but expanding in the budget. Could the weight-loss drug battle cost consumers and the government $1 trillion?
A trifecta of trouble in some Magnificent 7 heavyweights. Alphabet, Apple, and Tesla all in the red today, but the broader markets don’t seem too concerned. So where is the strength coming from? Plus… Perplexity making waves as one of the new chatbots in the AI race. What they’re doing differently… and how they’re hoping to disrupt the Search Engine status quo.
The S&P and Nasdaq both hitting a record high as March trading gets underway, and the Nasdaq managed to get there without much help from Apple. So can tech continue its run without the titan? Plus… Lilly getting some big love on Wall St. Analysts at Bank of America slapping a $1000 price target on the name. So will the weight loss surge keep this stock tipping the scales?
Stocks ending the day near their highs of the session with the Nasdaq notching its first record close since November 2021. But in a month that saw broad strength in the market, a couple names really stood out. Do you stick with the big winners into March? Or will some of this month’s laggards gain some spring in their step? Plus, unapproved copycat versions of obesity drugs could throw a wrench in the red-hot market. The impact on users, and the stocks tipping the scales in the weight loss wars.
A new leg of the FOMO trade. It’s not just AI stocks. The crypto craze seems to be getting another boost as retail investors pile in. Can the rally continue? Or are more painful losses around the corner?
Plus… UnitedHealth facing a DOJ antitrust probe, while the insurance giant still deals with the fallout from its recent cyber hack. Our traders dig into the prognosis for this stock.
The Biotech sector has bounced 50% since it’s October lows, but with such a massive run, can the gains hold? Plus… have we reached an AI inflection point? The surge has taken over Wall Street, but Kara Swisher lays out why she’s seeing some similarities to the Dot-com boom.
Google grappling with some hard times as the stock lags its peers and its AI issues mount.
Can the tech titan turn things around? Or could a C-Suite shake up be on the table? Plus, move over Mounjaro…there could be new competition in the weight loss drug battle. The other Danish company making waves with their new results, and how they could tip the scales.
Stocks wrapping up a huge week… as Nvidia’s powerhouse report boosts the rally even further.
But one of our traders is eyeing a different semi stock that could be the most important chart in the market! Plus… we’re just a few months into 2024, but should you stick with the biggest winners so far? Or take a chance on some of the names who’ve yet to lift off?
Nvidia proving all the skeptics wrong… as the powerhouse semi stock rips higher after its earnings report… and it’s bringing the whole market up with it. Plus… Japanese stocks hitting levels not seen since 1989! So is there still opportunity in the overseas trade?
Nvidia xxxx
Plus… Insider selling raising some eyebrows. Could recent share sales from Big Tech execs like Jeff Bezos and Mark Zuckerberg be pointing to bad news for Amazon and Meta?
Shares of Nvidia dragged the semi space lower as investors awaited the chipmaker’s earnings report tomorrow. So can results surprise investors after the semi stock’s monster run?
Plus… A major credit card deal… as Capital One scoops up Discover Financial for $35 billion. But will regulators get in the way of this payment space mega-merger?
Shares of Walmart closed at a record ahead of the retailer’s next earnings report. Will Tuesday’s numbers support the run or is there a reckoning coming for the sector? Plus we’re pairing up some surprisingly similarly valued stocks. If you had to pick one, which would you add to your portfolio?
JPMorgan shares hit a record high and stocks like Wells Fargo and Citi posting big gains today and are now positive for the week. Was the drop earlier this week just a blip, or is the rebound too good to be true? Plus Google parent Alphabet has been lagging the mega cap tech space and especially the AI players. What’s the company got to do to show its a real player in the space?
Bitcoin prices topped $52,000 today for the first time in over two years and its market cap is now bigger than all but six U.S. companies. What the rally says about the market and the appetite for risk. Plus Nvidia, Eli Lilly just some of the names that have been on seemingly unstoppable runs. The Chart Master dives in on where they’re heading now.
Listen to our traders take you behind the money...how to play the volatility...pops and drops and the movers you missed.
Shares of Nvidia briefly overtook Amazon in market cap this morning and are quickly closing in on Alphabet. But is this a real bull market rally, or just a sign FOMO has overtaken traders?
The S&P notched another record close, this time finishing the session over 5,000 for the first time ever. Even the Nasdaq briefly traded above 16K, its best level since November 2021. What’s next for these indexes, and will next week’s big econ reports bolster the gains? Plus Japan’s Nikkei at a new 34-year high. We dive into the charts to find out what’s next.
Listen to our traders take you behind the money...how to play the volatility...pops and drops and the movers you missed.
Shares of the entertainment giant saw a huge after-hours surge as the company raised guidance and said it had cut losses in its streaming business. So is there more upside for the stock. The traders debate. Plus the S&P 500 got within 0.11 points of the key 5,000 level. What drove the gains, and how much higher can it go?
Another busy night of earnings headlined by Ford. We’re digging in on the automaker’s numbers and bringing you the trade on the stock. Plus major Chinese indexes saw their best day in years, bolstered by government support and a big buyer. But does the momentum have legs?
Stocks were broadly down today, but Nvidia gained another 5% and recent high flyers have been largely holding their own. But with risks from the Fed and mounting job cuts, are investors too euphoric about the outlook? Plus Eli Lilly jumped to a new record ahead of its earnings. Will the results deliver the support to justify the stock price?
Shares of Meta popped more than 20% after its earnings report last night, its third-best day on record. The company added more than $200 billion in market cap thanks to the move. So did the results justify the big tech rally we’ve seen this year? Plus shares of Tesla far underperforming the rest of the Magnificent 7 stocks this year. So who should replace the name among the elite market leaders?
More than $5.5 trillion worth of market cap is reporting earnings tonight - we’re breaking down the latest results from Apple, Amazon and Meta and digging in on where the stocks go from here. Plus stocks rising ahead of tomorrow’s jobs report. Will the data bolster the market’s momentum?
Major markets closed near their lows of the day after the central bank signaled it doesn’t currently see evidence that a rate cut is in order at its next meeting. The stage that sets for stocks and how to trade the news. Plus New York Community Bank posted its worst day on record and hit its lowest level in over 20 years. The headlines that sunk the stock, and what it means for the rest of the regional banks.
Shares of Microsoft, Alphabet and AMD on the move after their latest results. We’re breaking down all the numbers and bringing you the trades. Plus we’re back for a second day at the iConnections Global Alts Conference in Miami Beach. We’re joined by two investors working to help us live longer, healthier lives. And the real traders behind the Big Short on how they’re playing the market, and why they’re not so short anymore.
The S&P and Dow setting new record closes after the Treasury announced its latest refunding plans. And with $10.5 trillion in market cap set to report this week, we’ve got the breakdown of what to expect. From the iConnections Global Alts Conference in Miami Beach, we’re joined by Altimeter Capital’s Brad Gerstner, Firstmark’s Rick Heitzmann, Elizabeth Burton of Goldman Sachs and the co-founders of hot sauce start-up Truff.
More than $10.5 trillion worth of market cap is set to report earnings next week, but will big tech deliver on investor expectations? Plus Florida legislators approving a ban on social media for kids under 16. What could it mean for the stocks in the space?
Shares of Intel and Visa among the after-hours movers this afternoon. We’re dialed into the conference calls and bringing you all the details. Plus Humana shares posting their worst day in over two years. Why one trader says things are much worse than just the disappointing guidance.
Shares of Tesla are on the move after the company’s latest earnings report. Will the results be enough to bring investors back into the stock after its underperformance so far this year? Plus Netflix closing at its highest level in over two years after last night’s report. Why the traders are so surprised by the move.
Shares of Netflix on the move after posting a big subscriber beat, and the company hosts its earliest conference call in years. We’re dialed in and bringing you all the details. Plus China reportedly looking to stimulate its stock market, and a way to protect any profits you’ve booked ahead of Tesla earnings.
The S&P and Dow both closing at records for the second day in the row, and a handful of consumer names from Marriot to Mastercard also hitting all-time highs during the session. So what’s become of this slowdown we were all expecting? Plus, Japan’s stock market is at 34-year highs. Is there more room to invest in the land of the rising sun?
The S&P closing at an all-time high for the first time since January 2022, with tech, semis and communication services leading the way. What’s next for these groups, and can the leaders keep leading? We dig in with one top analyst on what’s next for the space.
Apple shares seeing their best day since May after one top analyst said it’s time to buy the stock. We dig into the call and find out what the charts say is next for the iPhone maker. Plus commercial real estate firms are facing a record amount of debt coming due this year. One top analyst discusses what it means for the space.
Stocks closed well off their lows of the day, but a stark warning from JPMorgan CEO Jamie Dimon may be reason for investors to pause. We dive into what he said, and why markets might be missing his message. Plus Chinese stocks are on pace for their worst start to the year since 2016. And one emerging markets investor says even he’s not putting his money to work there.
The Dow dropped over 200 points and the Nasdaq snapped a 6-day win streak after Fed Governor Chris Waller suggested the central bank may be slower to cut rates than investors hoped. We dig into the warning and what it means for the markets this year. Plus biotech coming off a banner year for M&A and one top analyst says there may be more to come in 2024. Jefferies Michael Yee lays out his top picks.
The money center banks have reported Q4 results, but we’ve only just begun to get numbers for this earnings season. The traders weigh in on what they’re watching in the week ahead. Plus Taiwan set to hold elections this weekend. What it means for China and for the global economy.
Tesla reportedly planning to stop down production in its Berlin factory as conflict in the Red Sea makes certain components unavailable. We get the latest on the impact and what it will mean for the global supply chain. Plus the new bitcoin ETFs mostly closing lower in their first day of trading. We dig in on what the new instruments will mean for the industry.
JPMorgan is trading near all-time highs ahead of its Q4 earnings report on Friday. But have the big banks run too far, too fast? The traders weigh in. Plus Boeing CEO saying “never again” about the latest equipment failure for the Max 9 jets. But how much impact can it have on the stock.
Shares of Eli Lilly closed just off record highs as CEO David Ricks is set to make comments at the JP Morgan Health Care conference. Could what he says send the stock rocketing again? And will an Alzheimer’s treatment be its next big blockbuster? Plus Lionsgate set to spin off its studio business in a SPAC deal. Vice Chairman Michael Burns joins with the latest on that deal.
Boeing stock tumbles after Friday night’s mid-air incident on an Alaska Air jet. “Fast Money” has the latest developments. And, why Evercore ISI thinks the market is particularly vulnerable this earnings season - which kicks off Friday.
Electric vehicle demand stalling out? A look at how much juice is left in the trade. Plus, Wall Street kicks off the year in negative territory - with Apple among the biggest losers. The “Fast Money” traders analyze the big moves, and deliver their top plays.
Shares of Eli Lilly hit an intraday record after the company announced a website that would allow patients to buy weight-loss drug Zepbound directly from the company. Could this throw a wrench in how the pharma industry does business? Plus Gene Munster is out with his predictions for 2024, and one includes Apple adding Peloton to its portfolio.
Crude oil prices rose by more than 3.5% after the latest conflict in the Red Sea caused more stoppages to shipments. But can energy stocks rebound from what was a rough year for the sector? Plus one top analyst has picks for the biotech stocks that could see some M&A interest this year. The traders weigh in and give their own picks.
A stark warning for the world’s biggest company – Barclays downgrading Apple stock as it sees weak demand for its latest iPhones. The stock taking the rest of the tech-heavy Nasdaq down with it. But is this just a sign of sector rotation or a bigger omen for the market? Plus bitcoin hit its highest level since April 2022. But what happens to the crypto once we get a decision on the bitcoin ETF?
The S&P just a few points away from an all-time high, can tomorrow’s last trading day of 2023 get it across the finish line? The traders break down some of December’s biggest winners. Plus… a financial focus.
The S&P just a few points away from an all-time high, can tomorrow’s last trading day of 2023 get it across the finish line? The traders break down some of December’s biggest winners. Plus… a financial focus.
As the AI surge continues, legal battles are starting to unfold. The New York Times suing Microsoft and OpenAI over copyrighted material. So what’s at stake in this battle of content? And who’s poised to come out on top in the AI race. Plus… weight loss drugs helped pack on the gains for some pharma stocks, but can this trade keep up the hype in 2024?
The S&P is nearing record levels, but can the rally keep running into the new year? With just 3 trading days left in 2023, which stocks will lead markets to new heights? Plus a historic chip deal in the making… where Intel is setting its sights for its new semi plant.
It’s been a tale of big tech and semi stocks in 2023, with energy, health care and staples among the biggest laggards. But will investors start rotating into the laggards in the new year, or will the leadership continue as is? Plus Fast Money traders are taking your questions tonight. Your biggest investment concerns, answered live.
Shares of Nike were on the move after the sportswear giant’s latest earnings report. We dig into the numbers and bring you the trades. Plus zero-day options are being partly blamed for yesterday’s late day sell-off. What traders are saying happened, and the impact the newly-hot instruments are having on volatility.
The Dow & Nasdaq ended a 9-day win streak with the benchmark index seeing its worst day since early October. Was this just a little bit of profit-taking, or is there more at stake here? Plus Nike set to report after the bell tomorrow. What we’re expecting from the stock, and how to trade it
The S&P ended the day within 1% of its record close while the Dow notched its fifth straight day at an all-time high. Is it too late to get on board the bull rally, or is there more steam left in this engine? Plus, some industry archrivals put in vastly different performances this year. The traders weigh in on which ones are buys now.
Oil prices rose as turmoil in the Red Sea threatened to disrupt flows in the area. What it will all mean for energy and the markets? Plus new data tanking shares of Structure Therapeutics as Lilly and Novo continue their trek higher. The details sending these shares on the move.
Stocks closed out a strong week on Wall Street with the Dow notching a third straight record close. Can the momentum continue into the year end? Plus Nvidia shares may be close to a record, and up more than 230% this year, but one top analyst says there’s even more room to run. We lay out the case tonight.
Stocks managed to hold onto gains for a second day, with the Dow notching another record at the close. But with the dollar continuing its drop, can the rally hold on in the new year? Plus the big bank indexes have fully erased their losses from the collapse of SVB. So is it all clear ahead for financials? Former FDIC chair Sheila Bair weights in.
The Dow rose above 37,000 for the first time on record after Jerome Powell’s latest press conference seemed to reassure investors that a soft landing is still in the cards. But can the momentum be sustained? Plus Pfizer sinks after a big warning for 2024 and Etsy joins the group of companies announcing year-end layoffs.
Major markets all rose ahead of tomorrow’s big Fed decision after the November CPI report showed inflation was moderating in the face of lower energy prices. The Dow came within 1% of its record high. But how is the central bank looking at all this data? And can markets keep their momentum into year-end?
Tech stocks pulled back notably today, with Meta dropping more than 2%, even as the broader market pulled off gains. So what does the rotation out of tech and into defensive areas mean for the markets? Plus options trading volumes soared to records in 2023. What were traders betting on, and what do the trends mean?
A slightly better than expected jobs report sent major indexes higher to close out the week, with the S&P closing at its highest level since March of last year. So is this a sign that a soft landing is really achievable? Plus Paramount shares soared 12 percent on reports it’s looking to sell itself. What other deals could be coming for the media space?
Stocks rebounded ahead of tomorrow’s jobs report and in advance of more key catalysts next week. So we asked the traders what they think is the most important thing to be watching for the markets. Plus Alphabet and AMD rallied the day after two big AI product launches. But who will win the AI race? Top tech analyst Ben Reitzes weighs in.
On a relatively muted day for the major markets, both 10-year yields and crude oil prices saw big legs lower. The Chart Master maps out where they’re going from here. Plus some recently beaten down names have been on a tear in the past month. But can their runs keep going? We find out in a game of Trade It or Fade It?!
Shares of American Express diving midday after the CEO warned that a “skittish” consumer caused billions to slow to start the quarter, while Bank of America’s top exec suggested spending was still holding up. Which of these reads on the consumer is right? Plus Beijing firing back at the US over its latest export control comments. And a Chinese IPO faces the scrutiny of US lawmakers. We dive into all the ripple effects.
AI-focused stocks have been on a tear this year, with names like Nvidia more than tripling already in 2023. But the stock is down 10% from its all-time high hit just two weeks ago. Can the rally regain its momentum? Plus bitcoin prices topping $42,000 for the first time since April 2022. Where are they headed next?
Pfizer shares sinking to March 2020 lows after the company halted its twice-daily weight loss pill. Just how big of a setback is this for the pharma heavyweight’s entry into the obesity drug race? The Fast Money traders debate.
Listen to our traders take you behind the money...how to play the volatility...pops and drops and the movers you missed.
With spot gold ETF rallying and rates continuing to move lower, what does this mean for the broad markets? The Fast Money gang debates.
It has been a mixed bag of early holiday shopping results. What does this season tell us about the consumer? Those trades and more.
Stocks rallied ahead of the Thanksgiving holiday, putting major indexes on pace for their best month of the year. But can the momentum continue into year end? Plus Nvidia notably sitting out today’s rally. What the drop in the semi darling means for the space
Shares of chip giant Nvidia on the move after its latest earnings report. What investors are watching in the numbers and where the AI play is heading next. Plus Japan’s currency has rallied against the dollar in recent weeks. Can the trend continue? And what the Bank of Japan might have to do about it.
Shares of Microsoft closed at an all-time high after the company hired former OpenAI CEO Sam Altman to lead its AI team. Has the move established the tech giant as the leader in the AI space? Plus bitcoin prices trading at 18-month highs, and we’re bringing back the Bitcoin Baller himself to tell us where prices are going next.
OpenAI’s board ousting founder Sam Altman, saying they found he hadn’t been “consistently candid” in his communications with them. Shares of Microsoft, OpenAI’s biggest investor dropped on the news. Why one expert says it’s like Microsoft “losing its quarterback”. Plus this was a week of outsized moves in everything from banks to oil to the dollar. What the charts tell us about where things are heading from here.
Markets lost steam after some disappointing earnings from Walmart, a weakening in homebuilder sentiment and worse-than-expected jobless claims numbers. So was the rally we saw to start the week premature? Plus Grayscale is getting closer to approval for converting into a bitcoin ETF. What it means for the company and for the digital asset.
Shares of Target posted their best day in more than four years after blowing past earnings expectations for the latest quarter. But did the results really justify the move? Plus Presidents Biden and Xi meeting in the Bay Area this afternoon, ahead of a key summit between the Chinese leader and US CEOs. What it all will mean for doing business with Beijing.
Stocks rallied after a tamer-than-expected CPI report, with the S&P notching a gain of nearly 2%. But can the rally continue into year-end or are we soon to run out of steam? Plus Meta shares have nearly quadrupled from its lows of last November. What’s behind the move and how much more juice does this stock have?
Walmart, Home Depot and Target just some of the retail names set to report earnings this week. What they’ll say about the strength of the consumer and how much it could mean for the markets. Plus, one of the country’s biggest pension funds is upping its stake in Tesla and Rivian. Why the optimism, and what could it mean for the stocks?
The latest CPI report, a meeting between China’s President and Joe Biden, and the kick-off of retail earnings season. There are plenty of potential catalysts for markets next week, but which way will they send stocks? We’re digging in on the week ahead. Plus, Eli Lilly and Novo Nordisk might seemingly be hitting one new high after another, but why is Pfizer getting left in the dust? The Chart Master is here with his thoughts on where the drug giant is going next.
Shares of Tesla dropped over 5% after a bearish note from analysts at HSBC. But is the sell off overdone? Plus bitcoin prices surging towards $40,000, up 36% this quarter. Can the rally continue? And Danny Moses of Big Short fame joins the desk with a stock that he says actually has upside. We tell you what it is, and why he’s bullish on the name.
Shares of Disney on the move after its latest earnings report. We dig in on the details and bring you the trade on the entertainment giant. Plus Eli Lilly shares soaring after getting a thumbs up for its weight loss drug from regulators in the US and UK. What it means for the health care trade, and much more.
The Nasdaq extended its win streak to 8 straight days, its longest win streak in over two years. The S&P and Dow are also riding week-plus long runs. But what names are leading the gains and will the momentum continue. Plus oil prices falling below $80 a barrel and dropping to more than two-month lows. What it means for the energy stocks, and could consolidation be the key for the space.
The Nasdaq posted its seventh day of gains in a row, its best win streak since January, while the S&P and Dow also managed to start the week with gains. But is this breakout heading for a breakdown? We go off the charts with Katie Stockton to find some answers. Plus, uranium prices are at 15-year highs and one of our traders still thinks it’s going much higher from here. We lay out the case for the nuclear rally.
The 10-year Treasury yield dropped below 4.5% for the first time since September, helping fuel another rally for the stock market. Major indexes closing out their best week of the year, and it was the more interest rate-sensitive names that saw the biggest boost. Should you buy into the bounce? Plus DraftKings stock rose to their highest level in nearly two years. And one trader says there was a lot to like in its latest earnings report.
All eyes on Apple after their latest earnings report. We’re bringing you all the headlines from the company’s results and conference call. Plus markets rallying for another day after the Fed’s latest meeting. The S&P posting its biggest gain since April and is on pace for the best week of the year. But should you believe the bounce, or are there more risks to the rally?
Major indexes all closed higher after the central bank, as expected, held rates steady for a second straight meeting. We dig in on chair Powell’s commentary and what it means for the markets. Plus, Yum Brands, Estee Lauder and Canada Goose among the companies raising concerns over the growth prospects in China. But one of our traders says the uncertainty might actually be a sign that it’s time to start investing in the region. We lay out the case tonight.
AMD shares on the move after the chip maker posted its latest earnings report. We dig in on the numbers and bring you all the details from the quarter. Plus EV inventories are up more than 500% from a year ago. What it means for the electric car space and for the biggest player in it.
Major averages rallied to kick off the week, with the Dow posting its biggest percent gain since June. But with Apple earnings, a Fed Decision and Jobs Report all on deck, what can we expect for the balance of the week. Plus the UAW reaching a tentative deal with the last of the Big 3 automakers. What it means for the industry, and for Tesla.
The Nasdaq managed a slight gain today, helped by the post-earnings strength of Amazon, but the Dow fell to a seven month low. What the action means as we head towards the last two months of the year. Plus, Bank of America says to go long the Baby Boomer and short the Millennial. How they say to play that trade and the stocks that could benefit.
Amazon headlines the busiest day of this earnings season this quarter, and we’re digging in on those numbers, plus results out of Chipotle, Ford and Intel. Plus many consumer staples stocks have been trading near 52-week lows, but could now be the time to start dipping your toe into these names? What one of our traders is looking at now.
Investors eyeing shares of Meta after its latest earnings report. The stock in action on a day the Nasdaq dropped more than 2%, and Alphabet saw its worst day in over three years. What the results mean for the state of mega cap tech. Plus luxury retailers feeling some pain, and it’s even taking a hit on payment stocks. What these moves say about the consumer and their ability to support the economy.
Microsoft and Alphabet headline a busy night of earnings. What the mega-cap names have to say about their quarters and their outlook. Plus the UAW expanded its strikes to GM’s biggest plant, on the same day the automaker reported earnings. What it means for the company and just what will the work stoppages amount to? And personal finance expert Suze Orman is on set with some advice on how to navigate these volatile markets. Her thoughts on rising rates, rising delinquencies and your money.
The 10-year yield hit a new 16-plus year record today before retreating in a big way. The catalyst that drove the move, and how it’s impacting big tech ahead of a key earnings season. Plus Apple supplier Foxconn in the crosshairs of Chinese regulators. What they’re looking for and what it could mean for the iPhone maker.
Regional banks tumbling in reaction to higher rates - how exposed is group to Treasury securities falling in value? The Fast Money traders debate the group.
Fed Chair Jerome Powell giving a pivotal speech at the New York Economic Club earlier. Powell hinted at a pause in rate hikes here and that inflation is still too high. Are investors turning away from the Fed’s musing and now only worried about yields?
Listen to our traders take you behind the money...how to play the volatility...pops and drops and the movers you missed.
This podcast was paid for and produced by US Bank. The editorial staff of CNBC had no role in its creation. This episode of Real Good features guest Claudia Romo Edelman. Claudia has been a journalist, diplomat, and strong advocate for the Latino community over several decades. The founder of We Are All Human spoke with our hosts Greg and Faith about the experiences that helped set her on the path toward advocating for empathy in business and harnessing data to promote equity. She spoke with hosts Greg Cunningham and Faith Salie about the importance of including Latino voices in business and platforming underserved communities.
Rising rates & consumer spending strength: How much longer can the two co-exist? The Fast Money traders break down how to play these market conditions.
Stocks rallying to kick off the week, but can the strength continue into the holiday season? What Fed official Goolsbee had to say about inflation. Plus… bitcoin’s big bounce, and the stocks you should watch ahead of some key earnings this week.
Q3 earnings season is officially underway, but will the results deliver what the market needs to hear? What JPMorgan’s CEO had to say about the state of the world and the economy and how it impacts your money. Plus Taylor Swift reportedly bringing in nearly $3 million in just one night from her Eras Tour Movie. But could another star find the same kind of magic?
Stocks dropped mid-day after an ugly 30-year Treasury auction, and while they closed off the lows of the day, major indexes all snapped four day win streaks. Combined with a slightly higher than expected CPI report, what kind of stage does this set for the markets? Plus JPMorgan among the banks set to kick off earnings tomorrow morning. What we should expect and how to trade the group.
Shares of medical device makers like Davita and Baxter International plunged after Novo Nordisk said its GLP-1 drug Ozempic had some positive results in trials against kidney failure. So what could the impact be of a potential do-it-all drug? We surround the trade with Dr. Kavita Patel and Mizuho’s Jared Holz.
Banks were some of the best performers on the S&P today, but Steve Eisman of “Big Short” fame, says there’s still trouble in the financial space. What he’s looking at and how it should impact your investing. Plus U.S.-traded shares of LVMH sank after the luxury retailer posted earnings after the European close. What the results mean for the high-end consumer.
Stocks post a comeback and sectors react to the war in Israel following the Hamas terror attack over the weekend
Stocks closed near the highs of the day even as a hotter than expected jobs report put another rate hike back on the table. And where did investors flock to? Mega cap tech among the day’s biggest winners. So is there really no other alternative to the stocks that have led the gains already this year? Plus, top White House officials visiting Mexico today to discuss everything from the fentanyl crisis to border security. Why relations with our neighbors to the south are so in focus this week.
From discount retailers, to high-end luxury names, to grocery aisle staples – it’s tough to find a consumer name that hasn’t been under pressure in recent weeks. What the moves say about the strength of spending, the economy and the markets. Plus, we’re pitting stocks against bonds in an ultimate version of one of our games. Where would you rather put your money right now?
Listen to our traders take you behind the money...how to play the volatility...pops and drops and the movers you missed.
Stocks sold off Tuesday as 10- and 30-year treasurys hit their highest level in over 16 years. With the Dow going negative for the year, and the S&P closing in on its 200-day moving average, how much more pain is in store for stocks? Plus Staples and Utilities are traditionally the safest sectors in the market, but they’ve been dropping recently and the Chart Master says there’s more pain to come.
The yield on a 10-year treasury hitting 4.7% for the first time since 2007, putting real pressure on rate-sensitive sectors like utilities. Will the rate rise continue? And what’s it mean for the rest of the market?
Rates climbed rapidly in September – so did oil prices and volatility – combining to make for an ugly month for stocks. So as we get ready to embark on what’s usually the best time of year for the markets, what should we expect? Plus the battle between Big Auto and the UAW is heating up, with the head of Ford saying the union leader is holding a deal hostage. What it means for any resolution to the standoff.
Listen to our traders take you behind the money...how to play the volatility...pops and drops and the movers you missed.
All eyes are on yields and oil, but our traders are looking at some other charts that could tell the true tale of what’s in store for the markets. They lay out their cases tonight. Plus a handful of sectors have gotten to technically oversold levels but Fairlead’s Katie Stockton says there are other more attractive areas to watch.
Stocks sold off to multi-month lows, with the Dow breaching a key level of support. But some stocks may have been unfairly punished in the volatility. The traders are putting together their list of names that might be getting attractive right now. Plus the Senate set to vote on the SAFE Banking Act tomorrow. What it could mean for the marijuana industry.
The yield on 10-year treasurys crossed the 4.5% mark for the first time since October 2007, but it's the benchmark’s relationship with the 2 year that caught the attention of one of our traders. Why the steeply steepening yield curve could be setting up equities for a problem period. Plus manufacturing giant Jacobs Solutions counts Eli Lilly and Novo Nordisk as two of its biggest customers. How the company is benefiting from the surging demand for weight-loss drugs.
Stocks sputtering into the close on Friday with major indexes unable to hold on to early gains. What the action means as we head into what could be a crucial week for the markets. Plus, four months ago Carter Worth said to sell Apple and Microsoft and Buy Alphabet and Amazon. Where he stands on that trade now.
Interest rates spiked to levels not seen in over 15 years, sending stocks sinking on Thursday. Have major averages put in their highs for the year? How should you position yourself for the rest of 2023? Plus on the heels of Cisco’s $28b acquisition of Splunk, we wondered, what other companies should merge. The traders give their picks.
Stocks closed near their lows of the day after Fed Chair Jerome Powell reiterated his intent to keep rates high and said that a soft landing for the economy is not the base case scenario. We break down all the action in the market today. Plus more details on the UAW negotiations. What all the strikes are costing the economy.
Stocks closed lower on Tuesday as investors awaited the Fed’s next rate decision, and while markets largely expect the central bank to hold steady tomorrow, short-term rates rose to their highest level in over 16 years. We break down the latest moves in the bond markets and what they mean for investors. Plus shares of Instacart parent Maplebear closed more than 12% higher than their IPO price, but well off their opening trade. What’s that say for the state of the IPO market?
10-year yields hit levels not seen in over 15 years today, but the rise in rates hasn’t seemed to affect stocks yet. Can the two keep rising in tandem, or is there a crash in one group coming? Plus ARK Invest’s CEO joins from London to share her thoughts on Tesla, AI and all things tech.
Big tech leading the markets lower on Friday, pulling the S&P and Nasdaq into the red for the week. So what does this set-up tell us heading into next week’s fed meeting? Plus Netflix locking in its worst week of the year, and the Chart Master has some deep thoughts on where it’s going next. He lays out his case and we dig in on the trade.
Crude oil crossed $90/barrel for the first time since last November today, and fueled the PPI’s energy index to its biggest gain since at least 2010. But how much higher are prices going from here? And how do you play the gains? Plus Disney shares getting a boost midday after reports it may be looking to offload its ABC networks. What a deal could mean for the beaten down stock.
Shares of Netflix took a big leg lower after the company’s CFO warned its ad tier hasn’t been a material contributor to revenues yet. Can the streamer turn things around? Plus investors bracing for what could be the biggest IPO of the year. What you need to know about ARM Holdings’ offering and the landscape for capital raises in the second half.
All eyes on tomorrow’s CPI print, but with crude oil prices rising to 10-month highs, will inflation pressures weigh not only on the consumer, but on the Fed. Plus Apple unveiling its latest lineup of iphones and smartwatches. But could a competing product out of China deliver the real threat to growth in that country.
Shares of Disney & Charter rising as the two companies sign a deal to end a blackout that affected millions of cable subscribers. But is this just the beginning of the end of the TV bundle? Plus a nationalistic push in China is trumpeting home-grown Huawei over the American iPhone maker. What this could mean for the biggest tech company in the world.
Shares of Restoration Hardware posted their worst day since the start of the pandemic after issuing a big warning on the state of the luxury housing market. But is this a canary in the coal mine over the strength of the consumer? Plus shrink has been a big issue for the retail sector of late, and we’ve got the numbers on just how concerned we should be.
Apple dropped for a second day in a row, and this time major suppliers came along with it. Is this just the start of what a China crackdown might do? Or are companies from Nike to Starbucks also in the crosshairs? Plus one analyst out with a big forecast for how large the weight loss drug market could get. What it all means for the biggest players in the space.
Listen to our traders take you behind the money...how to play the volatility...pops and drops and the movers you missed.
Homebuilder stocks kick off the week on shaky foundation, as interest rates resume their march higher. What the moves say about the strength of the markets heading into fall. Plus one analyst downgrading shares of ResMed as the boom in weight loss drugs could lead to lower demand for sleep apnea devices. We look at the other side effects of people slimming down and the stocks that could get impacted.
Shares of Dell soared to all-time highs today, while IBM and Cisco are also in rally mode. What’s driving the strength in legacy tech names, and what does it mean for the markets? Plus shares of what should have been a steady, defensive stock play have fallen to 14-year lows. What went wrong with Walgreens and how the traders are managing their trades now.
Shares of Dollar General dropped to three-year lows after slashing sales and earnings guidance. So does this sector tell the true tail of the consumer? Plus marijuana stocks lit up again today as the Department of Health’s recommendation yesterday seemed to raise hopes for legalization. We talk to George Archos, CEO of cannabis producer/retailer Verano, to find out what it means for the industry.
Shares of Nvidia hit all-time highs again today, but one top analyst says the stock could rally almost 50% more from here! Melius Research’s Ben Reitzes lays out his case. Plus insurance companies bracing for a slew of claims from Hurricane Idalia. How the industry is poised for what’s to come.
Treasury yields fell to near three-week lows, with the 10-year shedding nearly 25 basis points in the past week. Will falling rates give stocks the go-ahead to rally in the back half of the year? Plus a judge siding with Grayscale in its fight to convert to a bitcoin ETF. What it all means for the crypto space.
Commerce Secretary Gina Raimondo is on a 4-day trip to China, the latest White House Official to try to ease tensions with the country. What impact she could have, and what it will mean for the two biggest economies in the world. Plus former Goldman Sachs analyst Heather Bellini on the state of the IPO and VC market and the future of fintech.
Fast Money traders break down Fed Chair Powell’s warning that more rate hikes could be ahead.
Listen to our traders take you behind the money...how to play the volatility...pops and drops and the movers you missed.
Shares of Nvidia on the move after the semi giant’s latest quarterly results. What the company said about AI and how it’s affecting the stock. Plus Foot Locker turns in its second worst day ever and Netflix gets a bump on a bullish analyst call.
Shares of Dick’s Sporting Goods posting its worst day on record after reporting retail theft took a big bite out of results. But is the so-called “shrink” just masking a real problem with the consumer? Plus we’re counting down to Nvidia’s big earnings report and breaking down the latest reads on the housing sector.
Interest rates continued their climb higher today, with long-term yields hitting decade-plus highs. But high growth, high multiple tech stocks, which usually struggle under rising rates, are also higher. What does it all mean? Plus China cutting its lending rate less than expected. The fears that’s sparking and how it’s impacting investment in the area.
Palo Alto shares on the move after a rare Friday night earnings report. What the cyber security company had to say about the quarter that got the stock rocking. Plus, Jackson Hole, Nvidia and a slew of department store earnings on the docket for next week. What you need to pay attention to in the week ahead.
The yield on 10-year treasurys hit their highest intraday level since October and their highest close since 2008. The move gave stocks another reason to fall on Thursday, with the Dow closing below its 50-day moving average for the first time since June. So does the move in rates keep the pressure on equities? Plus CVS shares seeing their biggest drop since October after a California insurer opted for a rival, start-up pharmacy manager. So is the traditional business model for the industry in trouble?
Target shares jumped despite a dismal quarter. The company raising concerns over demand as it slashed guidance for the year. But is this a Target-specific problem, or an indication of a deeper consumer problem? Plus 10-year yields hit their highest level since October today. What does that mean for the market?
The S&P closed below its 50-day moving average for the first time since late March and Apple breached its 100-DMA for the first time since January. What do the breakdowns mean for the market? Plus China’s central bank cut interest rates in a surprise move overnight. We dive into the latest signs of slowing growth in that country and what it means for your investments.
Stocks posted gains as investors awaited results from the country’s biggest retailers. And while there are plenty of reasons to think the consumer would be under pressure this season, a new note suggests there could be reason for optimism. Plus oil prices are pulling back, but gas is heading towards 52-week highs. What’s next for the energy space? RBC’s Helima Croft joins to discuss.
The nation’s biggest retailers start reporting earnings next week, with Walmart, Target, Home Depot and more all on the calendar. What clues will they offer us into the state of the consumer, and how should you position yourself ahead of these reports. Plus from star to slump, shares of Nvidia are now nearly 15% off their all-time high. Where is it and the rest of the semi space going from here? We dive into the charts to find out.
Stocks closed well off their highs even as inflation came in lower than expected in July. The Dow nearly erased all of a 455 point gain, and the S&P only rose a point. Does the action today suggest inflation isn’t enough to keep the market going? Plus electric vertical take-off and landing company Archer Aviation just inked a deal with the U.S. Air Force. CEO Adam Goldstein joins us with more on the outlook for the company.
Shares of Super Micro dropped nearly 25% after a warning on demand for its AI servers. The move took much bigger stocks like Nvidia down with it. Is this a signal that there’s even more pain to come for the tech trade? Plus Disney on the move after earnings. We’re diving into the report and bringing you all the headlines.
Shares of cloud computing company DataDog posting their second worst day on record after warning about revenue for the rest of the year. Did the news take all the air out of the AI trade? Plus Moody’s downgrading a host of regional banks, but is it too little too late for the group?
Apple and Microsoft have each fallen more than 10% from recent highs, losing a combined $500b in market cap in the process. How should you trade the moves lower, and what do they mean for the broader market? Plus, all eyes on Eli Lilly ahead of its earnings report. What you should expect from the drug maker, and how new trials out of Novo Nordisk could change the game.
Stocks staged a late-day sell-off on Friday that seemed to coincide with a big leg down in Apple. What the move tells us about where the market is heading as we dive into another busy week for earnings. Plus, homebuilders, surprisingly flat on the week, even as interest rates rocketed higher. We dig in on that trade to see what’s next for the sector.
Shares of Apple and Amazon both on the move after their latest results. We’ve got a crack team of reporters and investors digging into the numbers to dissect the trades. Plus, the yield on 10-year treasurys hit 4.2% for the first time since last November. Where are they going from here, and what will it mean for the markets?
Stocks dropped after Fitch cut its rating on the long term outlook for the U.S., sending yields higher and stocks lower. But some of the hardest hit names were in the high-multiple software sector, as well as the red-hot semis. Has the rally in that trade finally been derailed? Plus two of the biggest companies in the U.S. report earnings tomorrow. What to expect from the results and how to trade those names.
AMD, Starbucks, Pinterest and Caesars headline a big night of earnings reports. We bring you all the headlines and the trades on the stocks. Plus Caterpillar rocketing higher after its report, posting its best day since March 2020. The Chart Master called the move last week and lays out where he sees it going from here.
The Big Seven and AI-focused chip stocks have been stealing the spotlight amid the 2023 rally, but today we saw strength in other parts of the tech sector. What does this mean for the markets as we go deeper into the second half of the year. Plus the KWEB China Internet ETF just closed out its third best month on record, and one expert says there are more gains to come. He’ll lay out his case and bring you all the trades.
Major markets resumed their rally as better than expected inflation data calmed fears over how far the Fed will still go. But with Apple and Amazon headlining next week’s earnings calendar, will earnings strength keep the momentum going? Plus Xpeng Motors was up more than 60% this week, thanks to a deal with Volkswagen. What will that mean for Tesla and others in the EV space?
The Dow spent most of the day on pace to tie its longest win streak, dating back to 1897! But rumblings out of the Bank of Japan sent the yen higher against the dollar and the U.S. indexes reeling. What’s behind the move, and what’s it mean for your money? Plus shares of semi stock Intel jumping after its latest earnings report. We bring you the headlines from the conference call and the trade on the stock.
Shares of Meta on the move after the company’s first earnings report since launching the Threads app. We dig into the numbers and dissect the results with Deepwater’s Gene Munster. Plus CME reported earnings before the bell this morning. CEO Terry Duffy breaks down the results and comments on the Fed’s latest rate hike.
On a busy night for earnings, we’re watching shares of Microsoft, Alphabet and more after the bell. We’re digging in on the numbers and bringing you all the trades. Plus RTX shares saw their worst day since early 2020 after reporting an issue with some of its Pratt & Whitney jet engines. What’s next for the company, and can it rebound from here?
Alphabet and Microsoft kick of Q2 earnings season for the tech giants tomorrow, but FANG+ stocks have really lost their momentum in recent weeks after a super-strong start to the year. What’s next for the group, and can the reports reignite their rally? Plus Elon Musk is letting the Twitter bird fly the coop in favor of a new, re-branded “X”. Will this company be the super-app he wants it to be?
The Dow rising 10 straight days! With a busy week of earnings ahead and a key fed decision, will investors keep hitting the buy button? Fast Money Traders weigh in.
Semi’s slumping, housing humbled, and two of this year’s “it” stocks - Tesla & Netflix – coming back to earth after earnings. Is this the beginning of a real reversal? Fast Money traders’ weigh in.
The Fast Money traders break down the after hours action in stocks like Tesla, Netflix, United Airlines, Las Vegas Sands, IBM and more.
Stocks closing at their highest levels since April of last year, and the S&P and Dow getting within 5% of their all-time highs. So why is the desk still so skeptical about the move? Plus we’re just a day away from Tesla’s earnings report and we’ve got a bull vs. bear debate on the desk you won’t want to miss.
Shares of Netflix outperformed the broader market on Monday as actor and writers strikes in Hollywood threaten to upend the entertainment business. But will the gains hold up after earnings? Plus shares of AT&T hitting new 30-year lows today. What’s behind the move, and is there any saving this legacy telecom?
The S&P and Nasdaq hit their highest levels of the year in the morning, after beats from some of the country’s biggest banks drove financial stocks higher. But the gains didn’t last long. Couple that with the move in rates and the dollar, how are the markets setting up now? And with Tesla, Netflix and more megacap names on the earnings calendar for next week, our traders take a look at the names to trade and fade into the the results.
Stock markets rose again on Thursday after yet another softer-than-expected read on inflation. Neuberger Berman’s Steve Eisman is here to give us his take on the moves. Plus Bob Iger sat down with our David Faber this morning for a long interview on the future of Disney. We bring you the highlights and what it all means for the stock.
The S&P and Nasdaq closed at their highest level in over a year and strength was felt everywhere from big tech to banks to energy. So has the Fed’s policy, amid slowing inflation, actually worked? Plus shares of Carvana have soared this year, but they’re still nearly 90% off their record. What’s next for the stock, and what are the debt markets telling us?
Shares of Amazon rising as the company’s annual Prime Day sales get underway, and it’s taking the rest of the retail trade up with it. But will tomorrow’s CPI report give more strength to the consumer, or has the shopper gotten too stretched. Plus Fairlead Strategies’ Katie Stockton has three charts she says are establishing solid bases from which they might just jump off. We’ll tell you what they are and where they’re going from here.
Major markets held onto gains to kick off the week, but with key inflation data and the start of earnings season around the corner, what does the future hold for stocks? Plus we’re just hours away from the kick off of Amazon’s latest Prime Days. But will the consumer rush out to snag deals, or will we start to see pressures weigh on demand?
Major markets closed the day down after the June jobs report, but big China tech surged as investors hoped a big fine from regulators meant scrutiny of the group is behind us. Plus the Chart Master has a Chart of the Week which suggests one beaten down sector may be primed to pop.
The 2-year yield crossed 5% and traded at levels not seen since before the Great Financial Crisis. And while stocks closed off their lows of the day, all three major averages went negative for the week. Will tomorrow’s jobs report alleviate the pain, or is the first half rally a thing of the past. Plus Mark Zuckerberg firing off against rival Elon Musk after launching his Twitter competitor. What it all means for the stock and the industry.
Stocks closed modestly lower on Wednesday, but interest rates rose to their highest level since before the collapse of Silicon Valley Bank. So does the slow and steady climb in yields suggest the stock market’s run is about to end? Plus China threatening export restrictions on the metals key to manufacturing high-tech semi chips. This on the eve of Treasury Secretary Janet Yellen’s visit to Beijing. So will her mission have any impact on relations between DC and Beijing?
The Nasdaq closed out its best first half in four decades, and Apple finally marked a $3 trillion market cap at the close. But it hasn’t just been big tech soaring this year, and not everyone’s come away a winner. We break down the leaders and laggards and bring you the trades. Plus the Screen Actors Guild could be heading for a strike, adding to the pressures already weighing on the entertainment industry. So which content companies stand to be most impacted? And which ones will be insulated from the drama?
Stocks were muted as we look to close out the best first half on record for the Nasdaq. But what chart tells the real story of where stocks are heading in the second half? The traders give their picks. Plus Nike shares in focus after the company’s latest earnings report. We dig in on the numbers and bring you the trade
Shares of Nvidia dropped today after reports that the Biden administration is considering more restrictions on sales to China. But with so much of the company’s business coming from the country, what could that mean for future growth? Plus banks releasing stress test results for the first time since the collapse of SVB. What to make of their status and how it impacts investment opportunities in the space.
Shares of Pulte, Lennar and DR Horton among the names hitting a new set of all-time highs today, prompting one of our traders to call the move “stupid”. Is the move justified, or is there trouble ahead? Plus psychedelics are all the rage from Silicon Valley and beyond. But will the industry deliver a return on investment? We’re joined by one player in the space for the latest developments.
Shares of Apple touched another record high today, even as one-time high-fliers like Tesla and Nvidia give back recent gains. So why is the iPhone maker able to keep trucking higher? And what does its strength say about the rest of the market? Plus Eli Lilly getting some positive results for its oral weight loss treatment, while Pfizer abandons its efforts in the space. We dig in on the weight loss battle, and how the biggest players stack up.
The Nasdaq ended its longest weekly win streak since 2019, but major indexes are all on pace to close out the month and quarter with gains. But will this week’s momentum carry into the end of June? Plus Bitcoin has been in rally mode, but crypto-related stocks have been lagging behind. What’s the best trade in this space?
While broader indexes have been in rally mode, one big sector has been sitting on the sidelines, and even lagged today. But is this a time to buy the banks, or is there more pain to come? Plus Amazon bringing generative AI to its flagship AWS business. What it could mean for the battle of the bots and its position against Google and Microsoft.
Stocks dropping for a third straight day after Fed chair Jerome Powell indicated there was a lot more work to be done to get inflation under control. So is the rally we’ve seen over the last few months a thing of the past? Plus President Biden referring to China’s leader as a dictator at a campaign rally, just on the heels of the Secretary of State’s visit to Beijing. Did his latest comments set U.S./China relations back again?
Stocks may be taking a breather after their recent run, but our special guest says she’s more bullish on the market than she’s been in a long time. She lays out her case and gives us her strategy. Plus shares of FedEx dropping after missing revenue estimates for its latest quarter. And the CEO of Exact Sciences on the company’s latest colorectal cancer test results.
Major markets closed out Friday in the red, but it was still a strong week for the major markets. The S&P posting its longest weekly win streak since November 2021, the Nasdaq its longest in nearly four years. But is the breadth of the rally enough to keep the optimism sustained? Plus small caps have been outperforming the broader market in recent weeks, and the Chart Master says there’s more upside to come. He lays out the case and gives us a few picks in the space.
Stocks surged in the day after the Fed’s latest decision, with the S&P and Nasdaq both notching their sixth day of gains and names from Apple and Microsoft to Eli Lilly and Lennar locking in all-time highs. But is the rally too good to be true? We look at the charts that tell the true tale of the tape. Plus one long-time activist used to think there were some pockets of safety in the commercial real estate space. But he’s changing his mind. We dig into the outlook for the sector.
The Dow fell as much as 428 points after the Fed paused in its rate hike cycle, but raised their target rate for the end of the year, signaling more rates than expected may be on the way. Plus shares of UnitedHealth, Humana and other health insurers dropped today after new data showed patients were choosing to undergo elective surgeries again, after a pandemic pause. We dig in on what’s next for these stocks.
Markets added to the week’s gains, with the S&P and Nasdaq both closing at their highest levels since last April. The Dow at its best since February 13. But will tomorrow’s Fed decision take the air out of the rally? Plus a shake up on Biogen’s board raising eyebrows as the company’s Alzheimer’s treatment draws questions. What it all means for the stock.
The S&P broke through August highs to post its highest close since April, and the Nasdaq is now up nearly 30 percent this year. The moves come ahead of key data on inflation and the all-important Fed meeting. Can this week’s data keep the rally going? Plus Target hit its lowest level in nearly three years as it faces backlash over its Pride collection. Can the stock get back on track?
Stocks ended the week with another set of gains with the Nasdaq posting its longest weekly win streak since 2019 and the S&P trading above 4300 for the first time in nearly 10 months. But should you jump on the rally bandwagon? Plus Tesla riding its own historic win streak, but the Chart Master says it might be time to fade the run. We dive into the charts to find out why.
Shares of GM jumping after announcing a partnership with Tesla on EV charging stations. We’re joined by the CEO of GM to talk the news. Plus Hilton joining Nordstrom and Whole Foods in closing up shop in San Francisco. But should they be giving up on the Bay City?
Shares of AI-linked stocks taking a tumble today, while rough and ready names in the industrial space held onto gains. What that says about the shift in sentiment in the market. Plus Canadian wildfires blanketing the U.S. in haze. What it means for business and your stocks.
Shares of Merck dropping today after the company sued over the Inflation Reduction Act. The precedent that sets, and what it means for pharma stocks. Plus every member of the 140-stock KRE Regional Bank ETF posting a gain today. Is the worst over for the financial sector?
Shares of Apple hit all-time highs ahead of the company’s WWDC kickoff and the launch of its first new product in almost a decade. But the stock ended the day with losses. So how should you trade the stock now? Plus the Chart Master is looking at a handful of stocks that have made double bottoms and could be on track for a rebound. He makes the case for which ones are a buy right now.
The combination of a strong jobs report and the signing of the debt deal helped stocks rise to their highest level in months, with the Nasdaq at its best in over a year. But the rising tide didn’t lift all boats equally. What do you make of the divergence? Plus shares of Verizon, AT&T and T-Mobile all sinking, even as Amazon denied a report that it was looking to develop a mobile phone service. What it means for the telecom trade.
The S&P and Nasdaq closed at their highest levels since last August, but there appear to be signs the consumer is coming under pressure. So will big tech be able to keep the rally going, or will headwinds weigh on the market? Plus Netflix’s annual shareholder meeting kicks off later tonight. What you can expect and how it’ll affect the stock.
Commodity prices got crushed in May, with crude oil seeing its worst month since November 2021. So will falling prices become a tailwind for the consumer and the market? Plus, while tech stocks have been rallying in the last few weeks, one top investor says the run has come too far too fast. What he’s saying to do next.
Tech stocks continuing their run on Tuesday, with Nvidia clocking yet another all-time high. But while tech is up over 10% this month, energy and staples are taking it on the chin. So why is one sector’s success coming at the expense of so many others? Plus the CEOs of Tesla and JPMorgan making their first trips to China in years. What it means for the growing tensions between the U.S. and Beijing.
Nvidia is on its way to becoming the first trillion-dollar chip stock, and Marvell Technologies just posted its best week since 2001, all thanks to the growth and potential for artificial intelligence. But why aren’t retail traders getting in on the boom? And what does that mean for the markets?
Shares of the chipmaker posted their biggest gain in more than 6 years after saying its seeing surging demand for artificial intelligence products. But is this a sign of a top in the market, or the start of a real rally in the space? Plus Elon Musk hosting another Twitter Spaces discussion – this time with rival automaker CEO Jim Farley. We’ll bring you all the headlines from that CEO.
Sharse of Nvidia soaring after its latest earnings report. We dig in on the numbers and bring you all the details from the conference call. Plus with the debt default deadline four trading days away, markets are starting to get skittish. But things go back to normal if we do get a deal?
Rising trade tensions and a new spike in COVID infections loom over the U.S. and Chinese markets and economy. What it all could mean for your portfolio. Plus one activist investor is shorting the entire office space sector. Why he’s so concerned for the group.
Shares of Micron dropping after China bans the U.S. chipmaker. What the latest move means for tensions between Washington and Beijing. Plus key lawmakers meeting at the White House to try to come up with a solution on the debt ceiling. And Pfizer gets in on the weight loss drug race and sees shares soar.
Foot Locker tripping on its own laces after a earnings miss and a rough outlook.It’s the latest shoe to drop in the retail wreck, so can the group turn things around? Plus, we’re hitting the charts for some oversea opportunities. Where the Chartmaster is traveling to for a trade.
The fight between Disney’s Bob Iger and Florida Governor Ron DeSantis heating up as Disney scraps plans for new employee campus and no longer asking thousands of California-based employees to relocate to The Sunshine State.
Markets and financials return to rally mode, but with bankruptcies on the rise and credit lending tightening are cracks in the system starting to show?
Brett Winton, Ark Invest chief futurist, discusses Amazon’s A.I. usage, the value of the technology, and why the technology may not benefit all major tech companies. Gene Munster, Deepwater Asset Management managing partner, gives his take on Tesla’s annual shareholder meeting so far and what could be coming off Tesla’s line in the future. CNBC's Phil Labeau also previews Tesla's annual meeting.
Consumers keep piling on the debt and now it’s at a new recovery level as the major retailers get set to report this week. How worried should investors be that the spending spigot is about to get turned off?
Stocks ended the week in the red, but will next week’s retail earnings reports give markets a consumer-led boost? Or will continued concerns over the banking crisis and debt ceiling weigh on investors. And speaking of banks, regional stocks fell another 5% this week. But a couple of traders think it might be time to start dipping your toes into the names.
Shares of PacWest tumbling again as depositors continue to flee the troubled bank. We dig in on the latest turmoil in the financial sector, and what it all means for the markets. Plus one start-up is hoping to fill the hole left by the collapse of SVB. Brex CEO Henriques Dubugras joins us to discuss his strategy.
Shares of Disney were lower after the media giant posted first quarter earnings. The company saying streaming losses improved, but that subscribers fell. We dig in on the numbers to find out where the stock is going from here. Plus, the 1-month Treasury note hit its highest in at least 20 years, and one of our traders is playing the security. We tell you how.
The President meeting with congressional leaders to negotiate raising the US debt limit. Will progress be made to avert a potential default? And what will it mean for the markets? Plus we’re counting down to Disney earnings tomorrow. Will there be magic for the Magic Kingdom this quarter? We’ll bring you the trades.
The S&P and Dow eked out gains today, while the Dow dropped about 55 point ahead of tomorrow’s meeting between President Biden and House Speaker Kevin McCarthy. What the debt limit showdown, on top of inflation data and more earnings, could mean for investors. Plus, shares of Charles Schwab closed just off their lows of the year today. But is there any hope for the troubled broker?
The Nasdaq rose more than 2% today with Apple’s post-earnings pop driving the gains. But if the rally is all about this one stock, does it have legs? Plus investors gearing up for Berkshire Hathaway’s annual meeting this weekend. But how should you be trading the stocks that Warren Buffett’s company is invested in?
Shares of Apple on the move after the tech giant’s latest earnings report. The traders are digging in on the numbers, listening in on the call, and bringing you the trade. Plus, the regional bank ETF touching its lowest level since September 2020. Can the hardest hit names possibly be saved?
Major markets closed near their lows of the day after central bank chair Jerome Powell ruled out rate cuts in the near future, as inflation remains stubbornly high. Stocks were initially volatile after the latest rate hike, but the S&P closed down 0.7%. Meanwhile, shares of Eli Lilly hit another all-time high after positive results for its Alzheimer’s drug. What it could mean for the company and investors.
Major markets all dropping a percent or more as regional banks and oil take big hits. Markets also watching tomorrow’s Fed decision and the looming X-Date for the debt ceiling. Plus we’re breaking down the latest results from corporate America and bringing you all the trades.
Shares of JPMorgan bucking the down trend in banks today after the company took control of the deposits of the failed First Republic Bank. So is CEO Jamie Dimon the biggest beneficiary of the banking crisis… again? Plus one stock fattening up its returns as investors bet on drugs to slim down. How much higher can shares go? We reveal the name and the strategy.
Shares of First Republic sank even further as chances of FDIC receivership increase. Could anything happen this week that would save the bank? Plus markets rallying into the close, despite weak performance from Amazon. So how should investors eye the big events on the calendar for next week.
Shares of Amazon surging after its latest quarterly results, while Snap and Pinterest shares plunge. We’re diving into all the numbers to find out what’s next for these companies. Plus stocks rallying in a big way after Meta’s monster report last night. Has the market come to terms with a new normal for this stock?
Shares of Meta jumped in the after-hours. The company posting better than expected revenues for its latest quarter, but a big drop in its Reality Labs unit. Plus another rough day for shares of First Republic. Can the regional bank survive the weekend, and should it?
All eyes on Microsoft and Alphabet shares after the companies posted earnings for their latest quarters. The traders are digging in on the numbers to get you the trades. Plus shares of UPS seeing their worst day in nearly 17 years. The red flag CEO Carol Tome is raising about demand.
All eyes on big tech as Alphabet, Microsoft, Meta Platforms, and Amazon prepare to report earnings. The Fast Money traders lay out the traders ahead of the results.
Wall Street is getting ready to hear from tech heavyweights including Alphabet, Meta Platforms and Amazon. The “Fast Money” traders tackle whether next week is the real test for markets with tech front and center. And, why Tesla’s big drop is revving up a number of shareholders.
Listen to our traders take you behind the money...how to play the volatility...pops and drops and the movers you missed.
Shares of Tesla on the move as the EV maker reports its latest quarterly results, just after announcing its sixth price cut of the year. What it all means for margins, profits and the stock, which is up about 50% this year. Plus more earnings from the money center and regional banks this morning. What CEOs had to say about the strength of the consumer and just how it all plays into these stocks’ outlooks.
Shares of Netflix on the move after its latest earnings report - the first where there’s no subscriber forecast and the first without Reed Hastings. We break down the results and bring you the latest trades on the stock. Plus, investor pessimism is at an all-time high, but could the sentiment be so sour that it’s actually a good time to buy stocks? We’ll get some answers.
Commercial real estate has taken a beating in the wake of the banking crisis, but one of our traders says it might be a case of “so bad it’s good.” We lay out the case for a few Office REITs that may be worth a look. And it’s been a year since Netflix reported its first subscriber loss since 2011. How’s it fared since then?
Bank stocks largely jumped after the first set of earnings report from the group, but weak data on the consumer weight on the broad markets. So what’s it say that stocks couldn’t rally in a bigger way today? Plus a double upgrade from Goldman Sachs sent shares of WFC higher today. Why one trader says the stock has found support.
JPMorgan, Citigroup and Wells Fargo kick off Q1 earnings season tomorrow, and stocks are rallying into the prints. But will the numbers support the recent strength? Plus a new study found ChatGPT isn’t so bad at picking stocks that will outperform. So is this the next frontier for AI?
Markets dropped after minutes from the latest Fed meeting suggested the latest banking crisis could push the economy into a recession. What does this mean for policy makers and their rate hike agenda? Plus the owner of the Golden Nugget and the NBA’s Houston Rockets joins with his take on the economy, the consumer and his investments.
Signs of strength in the rate-sensitive housing sector as builders and home improvement companies jump today. So is the market telling us the Fed is done with its rate hike cycle. Plus new reporting on the lawmakers trading stocks affected by the policy they enact. Will the latest headlines spur regulation of DC dealings?
Taiwan Semi posting its first monthly drop in revenue in nearly four years, and Apple seeing a huge drop in PC shipments for the latest quarter. What these two data points could signal about Q1 tech earnings. And speaking of earnings, banks kick off the season in a few days, giving us our first look at the impact of the banking crisis. Former FDIC Chair Sheila Bair is watching for in the results.
From rising layoffs to spending pressures, there are plenty of clouds looming over the markets these days. Yet markets, and especially big tech are holding strong. How do you make sense of the moves. Plus the March jobs report is out tomorrow morning. What you should expect and how it’ll impact the markets.
Gold is soaring, rates are dropping, and the banks are hitting new lows. Does all this suggest more pain to come for the market? The relationship between Beijing and D.C. taking center stage as lawmakers and execs meet in California. What will come out of the talks and how China could respond.
Major markets all closing lower today as investors start to heed the warning signs in the market, with industrials, cyclicals, financials and energy all closing lower. So have the warning signs from industry titans finally come home to roost. Plus shares of Nvidia are down today but still up 90% this year. Has the semi surge gotten ahead of itself?
Oil prices surged Monday after OPEC+ announced a surprise output cut over the weekend. And while that may have increased inflation concerns, major markets still held up relatively strongly, with the Dow & S&P both notching their fourth day of gains. Plus top analyst Paul Sankey sees crude heading even higher in the weeks and months to come. What he says is in store for energy prices and stocks.
Stocks closed out the quarter with gains across the board, but what’s in store for investors as we head into what’s historically the best month of the year? Plus the trader whose acronym is crushing the pack so far this year.
Stocks trying to end the quarter with gains, as the Nasdaq 100 closes at its highs of the year. But should you be trading or fading this rally? Plus insurance companies coming under pressure amid the regional bank rout. What parts of their business are at risk, and how deep could the pain be felt?
Shares of Intel and GE both reaching milestones today, but how should you read into the rise of these old guard stocks? Plus, Novo Nordisk hitting all-time highs today as demand for its weight loss drugs continues to surge. Where’s the name heading from here
Major markets were down today, but a couple sectors showed some unexpected strength. We dig in on the green shoots we’re seeing, and whether their resilience can keep up. Plus shares of Alibaba surging after a major break up. One expert weighs in on the company’s strategy.
The S&P and Dow both rising today, led by bank stocks, as First Citizens announced a deal for Silicon Valley Bank’s assets. But have markets gotten too complacent about the rising risks to the market. Plus Chinese officials telling global business leaders that Beijing is open for business. But what will this mean for the companies doing business in the country?
Yields on 2-year Treasurys touched their lowest level since September in early trade, and stocks closed out the week with another set of gains, keeping all three indexes in the green since Monday. But where are we going from here? Plus is Apple the Teflon tech stock?
Major indexes all closed well off their highs of the day, even as the rates market seemed to come to terms with the end of the Fed’s rate hike cycle. But which market has the real read on the outlook? Plus TikTok’s CEO making his appeal to not have the app banned in the U.S. What it all means for the social media space.
Major markets closed near their lows of the day after the central bank chair suggested the end of the rate hike cycle is approaching, but that the fight against inflation was not over. Regional bank stocks resumed their sell off. We’re joined by the head of U.S. Bank Research at KBW for his outlook for the sector.
Stocks rallying ahead of tomorrow’s all-important decision from the central bank. Will the Fed raise rates or pause, and have markets gotten too far ahead of themselves ahead of the announcement. Plus, TikTok’s CEO putting out his own viral video ahead of his Congressional testimony later this week. What it means for the social media app and how lawmakers look to regulate it.
The Swiss government engineered a rescue of Credit Suisse over the weekend and U.S. banks are buying up the assets of their failed compatriots. So with all these backstops in place, should you be putting your faith in financials? Plus Goldman Sachs the first big bank to call for the Fed to pause in its rate hike cycle. How will all the turmoil in the financial sector impact the central bank’s decision?
Stocks dropped to end a volatile week, but while banks took broad markets lower, big tech held up. One of our traders, though, isn’t so convinced by the recent “flight to stability”. How he’s playing the move now. Plus bitcoin prices soared this week as investors looked for safety in the usually-volatile crypto. Can the momentum last?
Banks may be under pressure this week and markets may be volatile, but no one seems to have told big tech. The FANG+ names have been crushing the broader market this week, but can their outperformance continue. Plus a wild day for First Republic Bank as big banks come to the regional’s rescue. What’s next for the trade?
Treasury yields sinking today, with the 2-year hitting its lowest level since September, as regional banks fell for the 7th day in 8. But equity markets closed well off the lows of the day. So who’s got it right – stocks or bonds? Plus “Big Short” trader Steve Eisman joins with a stark warning. Why he says, “don’t be a hero” in this market.
Regional banks posting a comeback today. Are these stocks a compelling buy right now or will there be a steep price decline down the line? Fast Money traders’ debate the move.
BANK MELTDOWN WITH LOTS OF CARNAGE.. BUT NOW GOLDMAN SACHS SAYS THIS IS COULD TO CAUSE THE FED TO STAND PAT WITH NO RATE HIKE NEXT WEEK. HERE'S THE QUESTION -- DOES A FED ON HOLD OUTWEIGH FEARS OF A BANKING CRISIS?
The FDIC shut down the embattled Silicon Valley Bank on Friday, the biggest bank failure since the Financial Crisis. So how far will the ripple effects for this company reach? Plus it’s not just tech start-ups with exposure to the bank. We dig into what’s next for the biotech space.
Silicon Valley Bank plunging more than 60% today as the rapid rise in interest rates wreaked havoc on its bond portfolios. But is this company’s trouble a sign of deeper concerns in the financial industry and the market? Plus President Biden’s new budget proposal could raise capital gains taxes to more than 40%, and it could impact a lot more people than you’d expect.
We’re counting down to Friday’s employment report, which could give investors clues as to how aggressive the Fed could be with its next rate hikes. What can we expect, and how much will the data move the central bank. Plus semi stocks on the move today and TikTok takes focus on Capitol Hill.
Stocks plunged Tuesday after Fed Chair Jerome Powell suggested the central bank would keep rates higher for longer. So have markets finally come to terms with what the Fed’s been trying to tell us? Plus WeightWatchers the latest company to get in on the weight loss drug craze. What it means for the all the players, and are these treatments really the “Holy Grail” for obesity treatments.
Stocks fading fast into the close ahead of tomorrow’s testimony by the Fed Chair before the House Financial Services Committee. So should investors expect Powell to give markets a boost when he takes the stand? Plus the Chart Master has his eyes on a couple names that are seeing bearish-to-bullish reversals. He dives to bring us the details.
Stocks rose sharply on Friday, with major indexes ending multi-week losing streaks, as bond yields fell below 4% again. But can the strength continue? Plus from the metaverse to artificial intelligence, how Meta’s newest venture could be a big boon for the former Facebook.
Treasury yields continued their march higher today, and it’s having an impact on everything from car loans to corporate borrowing. But why are stocks rising even as credit costs rise? We try to find some answers. Plus after-hours moves in Broadcom and Nordstrom, and why investors seemed so disappointed by Tesla’s investor day.
Investors keyed in to Elon Musk and his big reveal at Tesla’s investor day, but will it be a “sell the news” kind of event? The traders weigh in. Plus a big after-hours jump in shares of Salesforce after its latest earnings report. We dig in on the numbers and bring you the trades.
A new House committee holding a prime time hearing tonight to examine the “communist threat” posed by China. What they’re looking at, and what it means for companies doing business with Beijing. Plus Rebecca Patterson joins to discuss the factors she says will dictate whether the economy pulls off a soft or hard landing.
Shares of Goldman Sachs have been lagging rival Morgan Stanley this year, but with the investment giant holding its first investor day in 3 years tomorrow, could CEO David Solomon say something that could rev shares back up? Plus Warren Buffett sounding off against critics
Markets closing out their worst week of the year with more losses after the Fed’s preferred inflation measure showed prices rose faster than expected in January. What that means for the central bank and your money. Plus Apple dropped below its 200-day moving after for the first time since the start of the month. The Chart Master dives in for some answers on where it’s going next.
Boeing halting deliveries of the 787 Dreamliner after issues with its fuselage component, the latest challenge for the jetmaker. Plus shares of consumer stocks from Wayfair to Domino’s to Dollar General getting punished today. Is this the latest sign the consumer has run out of steam?
China reportedly looking to ban ChatGPT, and new reports show the cost of AI-enabled search is much more expensive than traditional methods. So do these latest headwinds deal another blow to the prospects for the new hot thing in machine learning? Plus Apple reportedly making a big breakthrough in health monitoring. What it means for the stock and the outlook for wearables.
The Dow dropped nearly 700 points and fell back into negative territory for the year and the Nasdaq fell 2.5%. The moves coming after stark warnings from Home Depot and Walmart about the strength of the consumer this year. We’re joined by former Walmart U.S. CEO Bill Simon to give his take on the retailers’ results, plus Canaccord’s Tony Dwyer on why he thinks there’s more pain to come for the markets.
Stocks held steady to end the week, with the Dow rising 130 points, even as 10-year yields hit their highest level since November. So why don’t equity markets seem to believe the Fed when it says to get used to higher rates. Plus Apple falling below a major support level today, and Carter Worth says it’s going even lower from here. He breaks down his latest call and digs in on what the charts are saying.
There are plenty of reasons to believe the Fed when it says rates will stay “higher for longer” – hot inflation, a strong consumer, and the talk from all those central bankers. Then why don’t risk assets want to believe what they’re hearing? Plus Bing’s AI-powered chatbot is showing its feelings – and it’s not always pretty. What one reporter learned from his interactions with Microsoft’s bot.
Ford’s top executive admitting the company is lagging way behind its competitors on costs and vows to cut inefficiencies in production. What the automaker has to do to regain its footing. Plus shares of Roku, Cisco and Zillow all on the move after their latest earnings reports. We dig into the numbers and bring you the trades.
Stocks closing well off their lows of the day even after a hotter-than-expected inflation report. Pimco’s former chief economist joins to dive into what the latest CPI print means for the Fed. Plus Airbnb posting a big jump in revenues in its latest quarter. How the traders are playing the name now.
Microsoft continues to rally as Alphabet struggles in the race for the crown in artificial intelligence. But can the recent dominance continue? Plus, markets jumped ahead of tomorrow’s CPI print. But what will the latest read on inflation mean for the Fed and investors?
Shares of some of the year’s highest flyers coming back down to earth in a big way this week. So is this the end of the rally we’ve seen in the high tech, high growth names? Plus casino stocks surging ahead of the Super Bowl, and ad prices at record highs. We break down the winners and losers of Sunday’s big game.
Shares of Lyft dropping over 20% after its latest earnings report and guidance. Two traders have been long the stock – what they’re doing now. Plus shares of Alphabet on pace for their worst week since November. One of our traders is hitting “sell”, but some others are taking the opportunity to buy.
Bob Iger presenting his first Disney earnings report since re-taking the reins at the entertainment giant. We dig in on the numbers from the latest results. Plus Michael Kors parent Capri Holdings plunging after its earnings report. Why one trader is hitting the sell button, and another is adding shares to their cart.
Major indexes closed near their highs of the day, after Fed chair Jerome Powell said he’s seeing signs of disinflation in the economy. But is this the green light the markets have been waiting for? Plus President Biden expected to take on corporate tax rates and share buybacks at his State of the Union tonight. What it means for corporate America.
What we now know about the Chinese spy balloon shot down over the weekend, and what it could mean for relations between the U.S. and Beijing. Plus shares of Pinterest dropping after posting a big revenue miss. CEO Bill Ready joins with his reaction to the numbers.
Stock losses accelerated midday after initially showing resilience in light of the stronger than expected jobs report. But Apple managed to post a solid gain, despite its disappointing earnings report. We dive into the market moves and lay out what’s next for investors. Plus the XLE energy ETF breaking a 7-week win streak. Has the trade run out of gas, or are there still gains to come?
Full team coverage of breaking news out of Washington, where protestors breached the Capitol Building as Congress was set to confirm the November election results. We’re joined by former Homeland Security Secretary Michael Chertoff, Tony Fratto, the former Deputy Press Secretary for George W. Bush, and more.
The S&P, Dow, and Nasdaq all notched record closes on Thursday, even as Washington continued to deal with the fallout from Wednesday’s events. So why are stocks at highs even as the rest of America reels. We look for some answers. Plus Facebook and Twitter trying to take a stand against the President’s social media posts. What it means for the companies and for the industry.
Oil prices surged to their highest level in nearly a year, with energy stocks going along for the ride. But the Chart Master says it’s time to sell the oil rally. Plus we lay out your tech sector playbook with Jefferies Jared Weisfeld.
Markets dropped in the first trading day of the new year, but finished well off their lows. We break down the trade with Canaccord Genuity’s Tony Dwyer. Plus could Georgia’s Senate run-off elections tomorrow unleash a blue wave on Congress? What it means for the markets and your money.
As we wind down what’s been a tumultuous year for the markets, we take a look at what are set to be the biggest themes of 2021 and lay out how to trade them. Plus, even with markets at record highs, there may be room to grow. We go off the charts to find the names poised for big gains in the new year.
Listen to our traders take you behind the money...how to play the volatility...pops and drops and the movers you missed.
The time-worn strategy of investing in the highest-yielding stocks in the Dow didn’t pan out in 2020, but with new names joining the list in the new year, will that change? Plus we look at the stocks that logged major comebacks in 2020 and look at whether their runs will continue.
In a year that saw major indexes hit one record after another, there were a couple of big themes that really defined the markets in 2020. The desk breaks down the biggest themes of the year.
Wells Fargo Securities’ Chris Harvey joins with his top three predictions for 2021 -- including one on the high-flying stock that could be the next AOL. Plus shares of Zoom dropping more than 6% on reports it’s looking to expand into some well-trod ground.
A handful of newly public names have seen some outsized gains in recent weeks. But what does that say about the strength of the market? Plus top-ranked Apple analyst Toni Sacconaghi breaks down the company’s potential move into the auto space.
While the broad market staged a solid rebound Monday, the “reopening trade” continued to falter, with airlines, cruise lines and hotel stocks taking a hit. But is it time to get in on these names? Plus the “Worst Looking Chart in the Market” -- why one trader is staying away from Intel.
Come Monday Tesla will officially be part of the S&P. What it means for the company and all the other stocks in the index. Plus Nike reporting earnings after the bell. We break down the results that put shares on the move.
Shares of FedEx sinking after its latest earnings report. What’s in store for the shipping giant as we head into the holiday season. Plus, while markets are closing at new records, there are more signs that Main Street isn’t faring as well as Wall Street. The danger lurking in the latest jobless claims numbers
JPMorgan’s Marko Kolanovic has the highest 2021 S&P target on the Street. He joins the desk to tell us what’s going to get it there. Plus, Bitcoin hitting a new record above $20,000 for the first time, and our Bitcoin Baller thinks there are a couple reasons the rally has only just begun.
There’s been a recent divergence in the performance of the Big Tech titans that have ruled the market for so long. So we ask the question: what’s the new set of stocks to lead the way in the new year? Plus Bank of America’s Savita Subramanian and, with less than 10 days to go ‘til Christmas, how to play the big names in retail.
The first coronavirus vaccines are rolling out across the country, but a rising death toll and the threat of more lockdowns kept the reopening trade in check today. Are we in for a rough ride for markets over the next few months. Plus we’re on the frontlines with a look at the particular difficulties in getting the vaccines out to those who need them.
Listen to our traders take you behind the money...how to play the volatility...pops and drops and the movers you missed.
An early investor in AirBNB breaks down the company’s big market debut. Plus, a media insider takes us inside the magic behind Disney’s streaming service. And the Fast Money traders tackle all the after-hours action in shares of Lululemon following earnings.
Shares of Restoration Hardware have been on a tear, Lowe’s just upped its guidance and mortgage rates are at another record low. So what’s next for the housing market. Plus DoorDash soaring in its IPO and Airbnb is on deck. But can the average investor get returns on these high-profile names?
As the broad market hits another set of new highs, the QQQ ETF has put together an 11-day win streak, its longest of the year. So is there any fighting the trade that’s led stocks all year long? Plus everything you need to know about DoorDash’s IPO before the stock starts trading tomorrow.
The S&P and Dow pulled back from all-time highs, while the Nasdaq claimed another record close. But Wells Fargo’s Chris Harvey is urging caution. Plus, as we get ready for the listings of Airbnb and DoorDash, how should investors prepare themselves for this high-profile offerings?
U.S. Markets may be at record highs, but greater opportunity could lie overseas. We look at the move happening in emerging markets that could present the best opportunities. Plus landmark legislation on marijuana passing the House on Friday. The one stock that could benefit most from decriminalization.
Airlines, cruise lines, casino stocks all rocketing higher today even as COVID hospitalizations and deaths hit record numbers. We explain the confusing action in the market. Plus with the S&P marking another record close, we ask NYU’s Dean of Valuation what soaring stocks could be due for a pullback.
The spread between 10 and 2 year treasury yields rose to the highest level since February 2018. Why the increase caught the attention of one of our traders. Plus Spotify shares rocketing to an all-time high. What Joe Rogan has to do with the surge.
The top names in tech jumping higher today with Google parent Alphabet hitting an all-time high. What does this say about how markets trade into year end? Plus the CDC voting on who gets the COVID vaccine first, and Salesforce and Slack make it official.
Major markets locked in a strong November, but ended the month on a down note, despite more good news on the COVID vaccine front. So is there any more upside left? Plus did Zoom’s latest earnings report pop the bubble for this work-from-home darling. And what’s next for Bitcoin after hitting a new all-time high?
Black Friday is around the corner, and we’re shopping for the perfect holiday gift for your portfolio. The retail stocks that are the best buys right now. And Salesforce is holding talks to acquire Slack. What a deal for the stay-at-home name could mean for the rest of big tech.
The Dow posted a record close above 30,000 for the first time, and with several tailwinds from a new Treasury Secretary to vaccine hopes, are we going even higher from here? Plus Bitcoin prices soaring back above $19,000 and inching closer to its own record. But BK thinks it’s time to get cautious on the cryptocurrency.
Markets rising on news Joe Biden is set to nominate former Fed chair Janet Yellen as his Treasury Secretary. What that means for the market and his economic policy.
Plus we’re just 31 days from Christmas. The surprising report on how strong holiday season sales could be.
There’s more positive news on the vaccine front, companies are raising dividends, and earnings guidance has been strong. Corporate America seems to think we’ve gotten past the worst effects of the pandemic, but have we?
Plus Bitcoin nearing the $19,000 mark after surging another 15% this week. Brian Kelly scopes out what’s next for the cryptocurrency.
So-called “zombie companies” with more debt than revenue have feasted on $1.4 trillion in credit. Are these names better off left for dead? And Tesla’s CEO going after the spate of electric vehicle SPACs that have come to market as his own company’s shares trade near all-time highs.
Retail proving to be a surprising bright spot amid Wednesday’s sell off, with the XRT sector ETF hitting an all time high. But do the companies’ balance sheets support the surge and their rising dividends? We dig in to retail debt markets. Plus Bitcoin crossed the $18,000 mark for the first time in nearly 3 years, but the Chart Master says it might be time to take some money off the table. What he’s seeing now.
In the latest battle between major retailers, Amazon is launching a pharmacy delivery service. Will it prove to be a major factor in the battle between retail giants? Plus Twitter takes on Snapchat and Instagram with its latest offering, and the CEO of cannabis company Trulieve breaks down the company’s record quarter.
Listen to our traders take you behind the money...how to play the volatility...pops and drops and the movers you missed
The S&P 500 posted a new record close on Friday, while the Dow ended the day within a hundred points of its own. We break down the reopening trade, which was in full swing today. Plus, something we don’t say very often these days -- it was a big week for energy stocks. What’s behind the move higher, and can it continue?
Disney reported a smaller loss than expected for its latest quarter, sending shares jumping after hours. But a spike in COVID cases, news that Chicago would issue a stay-at-home advisory, and a positive case on a Caribbean cruise reminded markets that the coronavirus is still a major concern.
Eyebrows raised on Wall Street as Pfizer’s CEO sold 60% of his stock the same day his company announced positive COVID vaccine news. What to make of the timing of that trade. Plus Alibaba posting record sales during its Singles Day holiday, but is there trouble ahead for the Chinese e-commerce giant?
10-year yields hitting their highest level since March today. We dive into the charts to see what it could mean for banks. Plus, is the great rotation out of growth and into value squarely underway? BTIG’s Julian Emanuel breaks down how to protect your gains.
Pfizer’s Covid Vaccine shows to be more than 90% effective in clinical trials, Scott Wapner and the Investment Committee discuss the stunning news as the market soars to record highs. Is it time to buy the ‘reopening’ stocks and sell the high-flying ‘stay-at-home’ stocks?
Stocks hit record highs during the day but closed at session lows, with the Nasdaq falling more than a percent. Is this a sign of strength for the market? Plus reopening or stay-at-home -- which trade is here to stay?
Votes are still rolling in from several battleground states, and though uncertainty over the election remains, stocks closed out their best week since early April. Plus we’re not done with earnings season yet -- the desk lays out how they’re playing next week’s results
As votes continue to be counted in key states, the S&P inches back towards a record high. So will gridlock in DC be good for the markets long term? And another big day of earnings, from Uber to Peloton to Square. We break down the numbers and bring you the trade.
Stocks soared the day after the election, despite there being no clear answer yet on the Presidential race. Plus ballot initiatives in several states on the gig economy, marijuana, and sports betting getting stocks moving today. What those votes mean for your money.
The S&P recorded its second biggest gain on Election Day since 1984, but will a drawn out vote count put pressure on markets again? Plus why a Biden victory could be a big boost for cannabis stocks. And what currency markets are saying about the election.
Stocks rallied in the last day before the election, but will they keep up their momentum as the results start pouring in. Fundstrat’s Tom Lee breaks down the possibilities in the three possible outcomes. Plus, should you roll the dice on Wynn Resorts? Why Morgan Stanley says a Biden victory would give it a boost.
For only the 17th time since 1962, the S&P fell this week while yields rose. What that says about the market and where to find safety. And millions of people are behind on their mortgage payments, so how much firepower can the consumer possibly have?
Apple, Amazon, Alphabet, Facebook and more all reporting earnings after the bell. The traders break down all the action and dive into the results. Plus, Canaccord Genuity’s Tony Dwyer puts this week’s market sell-off into perspective and forecasts what these tech results will mean for stocks for the balance of the year.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility... Pops and Drops: The Movers You Missed.
Microsoft shares were higher after the company reported better-than-expected strength in its cloud business. And banks may be underperforming the broader market this year, but one technician says they could be the perfect hedge against election-related market volatility.
The S&P posted its worst drop in over a month to kick off the new week. And with COVID cases spiking, continued uncertainty in Washington, and a barrage of earnings on tap this week, the traders break down where we’re going from here. Plus there are three stock charts that are starting to signal there’s more danger ahead. What they’re saying and what you should do about it.
10-year yields touched their highest level in four months on Friday. The Chart Master joins to break down where rates are going from here. And with all the big tech names getting ready to report earnings, the trades give their picks for the names that will shine.
Intel shares plunged after the company reported weak results for its data center group. What’s next for the stock that’s been far underperforming the rest of the semi sector. And Gilead gets FDA approval for remdesivir. We break down the rest of the race for a COVID vaccine.
A busy afternoon for earnings, headlined by Tesla, which reported its fifth consecutive quarter of profits. The traders break down the results from the day’s biggest movers.
Plus, Bitcoin prices rose to their highest in nearly 3 years. We talk to one crypto expert about why the entire digital currency space just got a big stamp of approval.
Netflix stock dropped after the company posted disappointing subscriber growth and earnings for the latest quarter. Plus results from Snap and Texas Instruments. And Institutional Investor’s Top-Rated Biotech Analyst breaks down the outlook for companies racing to bring a coronavirus vaccine to market. And a moment of zen for Kohl’s as the department store takes on a new project.
Stocks suffered a steep slide in the last 90 minutes of the trading day as hopes for a COVID relief bill seemed to fade. Plus, shares of IBM on the move after its latest earnings report. The traders break down what they’re expecting as more big name tech start to report.
From Apple’s 5G iPhone launch to Amazon rewriting the calendar for holiday shopping, we count down the five biggest stories for the market this week in a special edition of Fast Money.
Retail sales jumped more than twice what was expected in September, but will consumer strength last through the holidays? The Chart Master has some picks for stocks that are feeling the Christmas spirit. And one European regulator says the 737 Max is now safe to fly, but will it be in the air this year?
Twitter and Facebook are under fire for blocking the spread of an anti-Biden New York Post Article. Could the latest news lead to increased regulation of the space. And mortgage rates setting another record low today. What it means for the red hot housing sector.
Shares of United Airlines dropped after hours after the carrier reported a bigger loss than expected in an already-turbulent year. Plus why a blue wave this election season might be a big boost for bond yields. And the bank stock one trader says has the “best looking” chart in the financial space right now.
JPMorgan & Citigroup kicked off Q3 earnings season with significant beats, but shares of both dropped anyway, and something on Citigroup’s conference call caused one of our traders to slash their stake. Plus, Apple introduced its much-anticipated 5G iPhone today. What will it mean for the stock?
Disney stock jumped after hours after the media giant announced a major restructuring that would help focus the company on streaming. Meanwhile, Apple shares gained more than 6% for its best day since July as investors await the launch of the latest iPhones. And Amazon gained nearly 5% as its sixth annual Prime Day gets set to kick off. Plus we’re Trading the Vote as we count down to the election, and bringing you a surprising take on what a Biden win might mean for the oil markets.
The S&P and Nasdaq posted their best week in three months as stimulus hopes lifted markets again. But will markets keep their momentum going into the new week. Plus could railroads be a real opportunity for investors, even as the transportation sector is trading at all-time highs? And how to play a potential deal between AMD and Xilinx.
Shares of IBM jumping after the company said it would spin off its IT infrastructure unit and focus on the cloud, while Morgan Stanley is upping its investment management game with the purchase of Eaton Vance. And why a merger between two of the world’s biggest oil companies could unlock real value.
What a difference a day makes! Markets soared Wednesday after the President reversed course on stimulus negotiations. Plus, what one activist investor wants Disney to focus on, and what it’ll mean for the stock
We break down the impact of a House committee’s probe on big tech stocks. Plus, markets quickly reversed earlier gains after the President tweeted he’d instructed his representatives not to negotiate on coronavirus relief until after the election.
Markets jumped to their highs of the day after President Trump said he’d be leaving Walter Reed for the White House later on Monday. Plus the Chart Master lays out a couple of charts that could tell the tale for the markets this year. Which one do the traders think is most likely?
As we kick of Q4, the Chart Master brings us the one chart that will lead the way into 2021. And after years of shutting stores, slumping sales and management changes, shares of Bed, Bath, and Beyond are surging today. We’ll tell you why.
Markets wrapped up their worst September since 2011, but still managed to pull out solid gains in the third quarter. The traders map out how should you set yourself up as we close out the year.
And could a fumble for the Tennessee Titans mean sports betting stocks take a hit? We break down the outlook for the sector.
Markets were under pressure Tuesday on renewed fears about the spread of the coronavirus, but could late-breaking news out of a Regeneron trial turn things around?
Plus, after-hours earning action in shares of Micron, and will it be a happy holiday season for retailers?
Markets rallied to start the week, and Tony Dwyer thinks there’s more upside coming. He says it makes more sense to get into the market now than it did in March. Plus what the U.S.’s latest crackdown on Chinese semi giant SMIC means for the semiconductor industry and the tech sector.
And in a bonus hour of Fast Money, our panel of trading experts take all your burning investment questions. Everything you need to know about the stocks you’re trading right now.
Hercules Investments’ CEO James McDonald joins the desk with a dire warning about where the market is heading, and a shocking prediction about how soon it could happen.
Plus a bold call on a beaten down sector and the cloud ETF that soared this week.
With rising coronavirus cases and workers fleeing the cities and working from home, is commercial real estate about to face some serious pain? Jonathan Litt, founder of LANDandBUILDINGS joins us with some answers. Plus former FDIC chair Sheila Bair tells us why she’s surprised by the performance of the big banks.
The Dow erased early gains to close near the day’s lows, while the Nasdaq dropped more than 3%. This as the White House meets with state AGs to rein in protections for the tech sector. The traders break down whether the day’s action was a warning shot for investors.
President Trump and his Chinese counterpart Xi Jinping ramped up the rhetoric between the two countries at the UN General Assembly. Could flaring tensions with China be the risk that no one’s paying attention to?
And we’re counting down to Tesla first ever Battery Day. What you can expect and what it’ll mean for the stock.
Plus shares of Carvana soared on a pair of upgrades today. Should you buy in to this car vending machine maker?
The tech sector staged a late day rally that helped the Nasdaq almost turn positive for the day, while energy and materials led the broader market lower. Plus what changes at the Supreme Court mean for health care, and banks take a major hit.
Shares of the biggest company in the world have fallen 22% from their highs hit on September 2nd. That’s shaved more than $520b from Apple’s market cap in just two weeks!
Plus, is FedEx stock primed to double? We lay out the case for a big surge in the stock and debate the possibilities.
Major tech names are down double digits from their highs hit just two weeks ago, and one market watcher says the Nasdaq could be in for another 20% drop. Plus long-time tech analyst Steve Milunovich tells us what he thinks is next for the sector.
And airline executives headed back to the White House in search of more aid today. But just what will that help buy the industry?
Markets closed near their lows of the day and the S&P turned negative, even as the Fed pledged to leave rates low for an extended period.
And shares of Snowflake more than doubled in their debut today. But who really reaped the benefits of that stock surge?
A second straight day of major losses for Citigroup. Are there any opportunities to be had in the beaten down financial sector. Plus, there were no new iPhones announced at Apple’s latest product event, but can a host of new Apple Watches and iPads give the stock another boost?
TikTok finds a technology partner for its U.S. business, but things might not be quite over yet. And NVIDIA inks the biggest acquisition ever in the semiconductor industry, but will regulators have something to say about the deal.
Plus DraftKings surges on news of its latest partnership. What it all means for the fantasy sports and betting site.
With the Nasdaq posting its worst week since March, Chart Master Carter Worth says there may be more pain to come and has five charts that are flashing warning signals.
Plus shares of Nikola falling for a second straight day as the company’s battle with a short seller heats up.
Noted short-seller Hindenburg Research claims “intricate fraud” at EV darling Nikola Motors. And shares of Penn National and DraftKings soar as the long-awaited football season gets ready to kick off. Plus, with mortgage rates at all-time lows, home sales soaring, and construction on the rise, are we setting up for another big housing crash?
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Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money... How To Play the Volatility... Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money... How To Play the Volatility... Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
Listen To Our Traders Take You Behind the Money...How To Play the Volatility...Pops and Drops: The Movers You Missed.
En liten tjänst av I'm With Friends. Finns även på engelska.