The consumer confidence index, published by the Conference Board, is due for release on Tuesday.
Matt Maley of Miller Tabak breaks down the signs that would show tech stocks are really in trouble.
On Monday the ETF dove about 4 percent.
Goldman Sachs is betting on stocks with high revenue growth to perform well.
TIAA's Brian Nick explains why the bulls are losing momentum.
Looking ahead, the Fed's plans could derail the euro's strong performance this year.
Shares of Lockheed Martin, Raytheon and Boeing hit all-time highs in Friday trading.
One upcoming report may be able to reflect data untouched by the hurricanes' impact.
Wharton finance professor Jeremy Siegel makes his latest bullish case for stocks.
The Dow's winning streak puts 2017 in the history books.
Now, much of the focus around the central bank will shift to whether President Trump will reappoint Yellen.
The professor and Nobel laureate added that "I'm thinking about" investing in Russia "when [the ratio] is this low."
Some believe a hawkish tone will emerge from the meeting, which will in turn boost the 10-year Treasury yield.
Don’t just focus on how to get into a trade, but how to get out of it as well.
Nobel Prize-winning economist Robert Shiller highlights striking characteristics the stock market shares with 1929.
Global asset prices are "possibly the most elevated" in history, Deutsche Bank strategists said.
One trader says banks are about to break out, and there's one name in particular that will see a bounce.
This week's Fed meeting will likely usher in volatility for the dollar, one foreign exchange strategist said.
The Dow Jones industrial average just posted its best week of the year, but its oldest component is lagging in 2017.
Changes in consumer behavior have made short-term rates critical to the overall economy.
The chances of an interest rate hike announcement in December have increased in recent days, according to a new report.
Some say the sector — one of the year's biggest laggards — is at a turning point.
Analysts are falling all over themselves to tell investors to buy Nvidia. But should investors listen?
One trader is making the case to bet against the big tech rally.
The sector could see pain ahead as rising yields may hit names in the sector often seen as fixed income proxies.
Todd Gordon, TradingAnalysis.com founder, says there's a classic theory that shows just how much more the market could rally.
Byron Wien, vice chairman at Blackstone Private Wealth Solutions Group, discusses the market with Brian Sullivan.
Byron Wien, vice chairman at Blackstone Private Wealth Solutions Group, discusses tech stocks with Brian Sullivan.
Kenneth Jeffrey Marshall, author of “Good Stocks Cheap,” discusses his method with Brian Sullivan.
Brian Nick, TIAA Investments chief investment strategist, offers a closer look at the market with Brian Sullivan.
Brian Nick, chief investment strategist at TIAA Investments, discusses why he sees a drop in the S&P 500 by year-end with Brian Sullivan.
A look at one of this year’s best-performing ETFs, with Gina Sanchez of Chantico Global, Robert Sluymer of Fundstrat Global Advisors, and Brian Sullivan.
Will the end of September bring a fall? Paul Hickey of Bespoke Investment Group discusses with Brian Sullivan.
Gold drops back below $1,300 per troy ounce. Erin Gibbs of S&P Global and Matt Maley of Miller Tabak discuss with Brian Sullivan.
Todd Gordon of TradingAnalysis.com sees more pain ahead for Apple, so he uses an options trade to bet against the stock.
Jeremy Siegel, professor at the Wharton School, discusses the market and the Federal Reserve with Brian Sullivan.
Dennis Davitt of Harvest Volatility Management, Mark Tepper of Strategic Wealth Partners on Apple with Brian Sullivan.
Dennis Davitt of Harvest Volatility Management, Mark Tepper of Strategic Wealth Partners discuss with Brian Sullivan.
Professor Jeremy Siegel of the Wharton School discusses the latest Fed decision with Brian Sullivan.
Robert Shiller, professor of economics at Yale University, discusses the Russian stock market and investing internationally with Brian Sullivan.
Professor Robert Shiller of Yale University discusses market valuation with Brian Sullivan.
Professor Robert Shiller of Yale University discusses market psychology, bitcoin and more with Brian Sullivan.
A look at the recent rise in yields, with Boris Schlossberg of BK Asset Management, Craig Johnson of Piper Jaffray and Brian Sullivan.
S&P Global portfolio manager Erin Gibbs breaks down what she is watching for the week ahead.
Max Wolff of 55 Institutional breaks down three key market themes he is watching.
Boris Schlossberg, BK Asset Management managing director of foreign exchange strategy, discusses three key market events he is watching for on Thursday.
S&P Global portfolio manager Erin Gibbs discusses three key market themes she is watching for on Wednesday.
Gina Sanchez, Chantico Global CEO, discusses three key market themes she is watching for on Tuesday.
Max Wolff of 55 Institutional breaks down three key market themes for the week ahead.
Bill Baruch of iiTrader breaks down what he'll be watching for on Friday.
S&P Global portfolio manager Erin Gibbs breaks down three key market themes she is watching for on Thursday.
Boris Schlossberg of BK Asset Management breaks down three key items he is watching for on Wednesday.
Here’s what Harvest Volatility Management portfolio manager Dennis Davitt will be watching for on Tuesday.
Evercore ISI technician Rich Ross breaks down what he is watching for on Friday.
Stacey Gilbert is the head of derivative strategy at Susquehanna.
Managing Director, ACG Analytics
Managing Director, Head of Technical Analysis, Evercore ISI
Managing Director Head of Equity Sales Trading, Cowen and Company
Managing Director of FX Strategy, BK Asset Management
CEO, Chantico Global, LLC
Trading Nation is a multimedia financial news program that shows investors and traders how to use the news of the day to their advantage. This is where experts from across the financial world – including macro strategists, technical analysts, stock-pickers, and traders who specialize in options, currencies, and fixed income – come together to find the best ways to capitalize on recent developments in the market. Trading Nation: Where headlines become opportunities.