Ahead of Alphabet’s earnings, one trader says he’s watching for the report as a bellwether for technology stocks.
Some strategists are forecasting further upside for another member of the 'FANG' gang reporting next week: Amazon.
Steer clear of unnecessary mistakes and trade options with a little more confidence.
Jim Paulsen, the Leuthold Group's chief investment strategist, tries to calm correction fears.
Learn how short selling works with four tips for doing it well, and see example scenarios of how short selling can play out.
If you sold this ETF because you’re scared of Amazon, you made a big mistake, according to one equity strategist.
The name “Applied Optoelectronics” may not immediately grab investors’ attention, but the stock’s performance should.
Investors appear to be growing concerned that global central banks' monetary policy has proven too stimulative.
Canaccord Genuity's Tony Dwyer argues why it doesn't pay to be negative on the stock market.
Ahead of Microsoft's quarterly earnings report, one macro strategist is marking the stock as a buy.
Strategists say some sectors could stand to benefit more than others as a result of a weaker U.S. dollar.
Strategists say two tech stocks set to report could be head and shoulders above the rest.
Analysts' revisions could be one of the most important gauges to track.
Betting that stocks will rise is getting extremely cheap. But does that make it smart?
Morgan Stanley Asia's former chairman, Stephen Roach, debunks China "doomsday" scenarios.
Some strategists are forecasting downside for the index in the face of a weakening U.S. dollar.
The S&P 500 is trading just below its all-time highs, and one market strategist sees further gains ahead.
Energy stocks may be on the brink of breaking out, writes Miller Tabak's Matt Maley in this commentary piece.
David Tice, former manager of the Prudent Bear Fund, is easing up on the growls.
Bank stocks could see further upside if the yield curve steepens and inflation picks up, says Mark Tepper.
The S&P 500 could rally another 22 percent from record levels, one long-term-minded investor argues.
This year's worst-performing exchange-traded funds are all energy-related.
The economic report could serve as an important bellwether for the economy and the stock market.
There are two stocks that could break out after they report earnings next week.
One trader believes the market is about to break out to new highs.
The Wharton professor says that the market doesn't need President Trump's policies to keep rallying — but they'll likely help.
Chris Verrone of Strategas Research Partners and Eddy Elfenbein of the Crossing Wall Street blog discuss healthcare stocks with Eric Chemi.
The dollar index just fell to its lowest level in over a year. Chris Verrone of Strategas Research Partners and Eddy Elfenbein of the Crossing Wall Street blog discuss with Eric Chemi.
Jim Paulsen, Leuthold Group chief investment strategist, discusses the market in this interview with Eric Chemi.
Jim Paulsen, Leuthold Group chief investment strategist, discusses the market, technology stocks and more in this interview with Eric Chemi.
There could be much more upside for surging shares of Applied Optoelectronics, according to Raymond James analyst Simon Leopold. He discusses with Eric Chemi.
Shares of obscure technology company Applied Optoelectronics are on an incredible heater. Raymond James analyst Simon Leopold discusses the move with Eric Chemi.
Following the Netflix earnings bounce, another big tech stock could be set to rally. David Seaburg of Cowen & Co. and Matt Maley of Miller Tabak discuss with Eric Chemi.
A closer look at crude oil and the energy sector. David Seaburg of Cowen and Matt Maley of Miller Tabak discuss with Eric Chemi.
Todd Gordon believes that Halliburton's charts are hinting at a bounce ahead.
Tony Dwyer of Canaccord Genuity tells the bears what they’re missing, in this interview with Eric Chemi.
Fund managers are increasingly wary about central bank policy. Larry McDonald of ACG Analytics and Boris Schlossberg of BK Asset Management discuss with Eric Chemi.
Erin Gibbs of S&P Global and Craig Johnson of Piper Jaffray give Eric Chemi their top picks among stocks set to report.
Netflix shares surged on earnings. What now? Erin Gibbs of S&P Global and Craig Johnson of Piper Jaffray discuss with Eric Chemi.
With the dollar sinking, which sectors stand to benefit? Erin Gibbs of S&P Global and Craig Johnson of Piper Jaffray discuss with Eric Chemi.
Todd Gordon of TradingAnalysis.com gives his take on why it's time to bet on another rally for emerging markets.
Stephen Roach, senior fellow at Yale University and the former chairman of Morgan Stanley Asia, discusses the outlook for China with Eric Chemi.
Making bullish bets on stocks has almost never been cheaper. Pravit Chintawongvanich of Macro Risk Advisors and Rich Ross of Evercore ISI discuss with Eric Chemi.
Stephen Roach, senior fellow at Yale University and the former chairman of Morgan Stanley Asia, discusses the Chinese economy, consumer and stock market with Eric Chemi.
Todd Gordon of TradingAnalysis.com is betting on a bounce for health care stocks going into earnings.
David Tice of Tice Capital discusses the market with Brian Sullivan.
David Tice of Tice Capital breaks down his market view in this interview with Brian Sullivan.
How much higher could the market rise? Mark Tepper of Strategic Wealth Partners and Gina Sanchez of Chantico Global discuss 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.