CNBC's Jackie DeAngelis discusses the day's activity in the commodities markets. A weaker dollar and decrease in inventories drove oil prices higher, while the weaker dollar drove the metal commodities higher, as well.
more...
Ian Stannard, head of European foreign exchange strategy at Morgan Stanley, warns that recent volatility in the Chinese currency market is having a "significant negative impact" on credit conditions.
more...
Robert Rennie, Global Head of FX Strategy at Westpac, discusses the impacts of U.S. nonfarm payrolls for February and China's trade data on various currencies.
more...
Discussing the European Central Bank and the Fed's strategies, where investors are finding opportunities, and the state of the emerging markets, with Marc Chandler, Brown Brothers Harriman.
more...
How the Fed's quantitative easing policies played a role in the trouble for emerging markets, with David Woo of BofA Merrill Lynch head of global rates.
more...
Christopher Chan, President Director of Southeast Asia's largest tire maker, Gajah Tunggal, speaks about the impact of a potential TPP deal on its business in Indonesia.
more...
Michael Sneyd, FX analyst at BNP Paribas, expects the U.S. dollar to gain ground against other low-yielding G10 currencies in the case of "dovish tapering", but weaken against riskier currencies.
more...
Boris Schlossberg, managing director at BK Asset Management, explains that the Chinese slowdown, reflected in recent PMI data, will impact profits and currencies.
more...
The U.S. is facing a dangerous threat from Europe's debt crisis, said former Fed chief Alan Greenspan. Sharing perspective on why understanding Europe's market is so important, with Joshua Raymond, City Index chief market strategist.
more...
Vasu Menon, VP of wealth management at OCBC Bank says Italy's lack of political willpower to execute austerity measures is the reason behind the downgrades.
more...
Discussing how a possible downgrade hitting the European banks today could impact the U.S. economy, with Chris Whalen, Institutional Risk Analytics co-founder and CNBC's Kate Kelly.
more...
The retarding factors in the economic slowdown are being somewhat alleviated, and the Fed is changing its policy, ending QE2 this month, says Richard Fisher, Federal Reserve Bank of Dallas president/CEO, with CNBC's Steve Liesman.
more...
Greece debt problems and the U.S. dollar are driving market action today. Insight on how to play the volatile markets, with Sean Kraus, Citizens Trust, and David Gilmore, Foreign Exchange
more...
The uncertainty of Europe defaulting, QE2's expiration, and the debt ceiling is weighing on the markets, with Lou Brien, DRW Trading Group and Nick Bennenbroek, Well's Fargo.
more...
Jamie Cox, Harris Financial Group, and Keith Springer, Springer Financial Advisors, discuss what the IMF sex scandal means for markets and investing.
more...
Michael Hewson, CMC Markets; Ben White, Politico, Rick Ross, Auerbach Grayson, and CNBC's Eamon Javers, discuss the impact the IMF's sex scandal will have on Europe's reconstruction.
more...
هذا الموقع يستخدم ملفات تعريف الارتباط (الكوكيز ) للمساعدة في تخصيص المحتوى وتخصيص تجربتك والحفاظ على تسجيل دخولك إذا قمت بالتسجيل.
من خلال الاستمرار في استخدام هذا الموقع، فإنك توافق على استخدامنا لملفات تعريف الارتباط.