A technical analyst and a portfolio manager come down on different sides on whether to buy white-hot shares of Nvidia.
The market's next move could hinge on efforts to cut corporate taxes.
Creating a step-by-step trade plan can help you develop a disciplined approach to your trading.
Ahead of bank earnings season, analyst Dick Bove warns investors that sell-off risks for financials are high.
Some are looking past third-quarter results and ahead to what 2018 will bring.
If stocks are relying on low rates, the rally is in trouble.
The XBI biotech ETF has surged 49 percent in 2017, but some say the move isn't over just yet.
If the White House decertifies the Iran deal, RBC Capital Markets’ Helima Croft says oil prices could jump.
Investors may see a dismal earnings season set to ramp up next week.
Bank stocks are showing some signs of life after moving sideways for the bulk of this year.
Oil is right near a precarious level, according to Phillip Streible of RJO Futures.
Here's why one trader is betting on a bigger rally to all-time highs for Netflix.
PNC’s Global Chief Investment Strategist Bill Stone gives his bullish case for stocks.
Shares of auto stocks such as General Motors and Ford are on a tear, but some say the stocks are set to take a pause.
Don’t just focus on how to get into a trade, but how to get out of it as well.
As rumors swirl around the possibility of a new Fed chair, bond yields could soon see a big shift.
Some strategists are watching for how the recent gains will impact equity markets domestically and abroad.
Gold sank as low as $1,271 on Tuesday, its lowest level since Aug. 9.
Those skeptical about the market rally can no longer claim it's being driven by a small set of high-performing stocks.
Russell Investments never thought stocks would rally 13 percent by October.
Value is outperforming growth in the last month, and that could be the "canary in the coal mine," said Gina Sanchez.
Some strategists said their top picks for the fourth quarter include banks and a large restaurant operator.
Investors could feel the impact of a Fed chair who may usher in higher rates.
Boeing is enjoying an impressive winning streak.
Crude oil is on pace to wrap up a strong September, having gained a little over 9 percent month to date.
The bet appears on track to become the largest CBOE volatility index trade this year.
Wal-Mart has been leading the way over the past three months. Rich Ross of Evercore ISI and Erin Gibbs of S&P Global discuss the two huge retailers with Brian Sullivan.
Regional banks have surged over the past month. Rich Ross of Evercore ISI and Erin Gibbs of S&P Global discuss with Brian Sullivan.
Todd Gordon of TradingAnalysis.com says that with expectations of a December rate hike on the table, the yen is the currency to short.
Dick Bove, analyst with Veritcal Group, discusses bank earnings and his top bank stock picks now, with Eric Chemi.
Analyst Dick Bove, with Veritcal Group, discusses bank earnings ahead with Eric Chemi.
Ari Wald of Oppenheimer says stocks are overbought, but that investors should keep buying. He and Chad Morganlander of Washington Crossing Advisors discuss with Eric Chemi.
Helima Croft, global head of commodity strategy at RBC Capital Markets, discusses energy and recent U.S.-Iran news with Brian Sullivan.
Erin Gibbs of S&P Global and Boris Schlossberg of BK Asset Management discuss the XBI biotech ETF with Brian Sullivan.
Helima Croft, global head of commodity strategy at RBC Capital Markets, discusses crude oil, Iran and more with Brian Sullivan.
Todd Gordon of TradingAnalysis.com says if history is any indication, Netflix is headed for more record highs.
With the VIX at ultra-low levels, what’s an investor to do? Eddy Elfenbein of AdvisorShares and Craig Johnson of Piper Jaffray discuss with Eric Chemi.
Bank stocks are on quite the tear. Eddy Elfenbein of AdvisorShares and Craig Johnson of Piper Jaffray discuss with Eric Chemi.
Cyclical sectors are starting to take the lead. Max Wolff of Disruptive Technology Advisers and Kim Forrest of Fort Pitt Capital discuss what that means with 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.