

CNBC's "Fast Money"
CNBC
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.
Episodes
Mentioned books

9 snips
Apr 2, 2026 • 43min
Stocks Wrap Up A Volatile Week… And Playing Defense Amid The Market Swings 4/2/26
Denton Cinquagrana, chief oil analyst at Opus, explains oil market dynamics and regional supply differences in a volatile trading week. He discusses risk premiums, why oil could stay above $80 into 2027, and scenarios that might push prices toward $120. Short, punchy takes on pipeline resilience, refinery closures, and which energy firms stand to benefit.

Apr 1, 2026 • 44min
Markets Rally Ahead of Trump’s Iran Address… And Fading The Bounce 4/1/26
Diana Olick, CNBC real estate correspondent covering housing and mortgages. She discusses the spring housing slowdown as mortgage rates climb. Also covered: stocks rallying before Trump’s Iran address, debate over fading the bounce, Nike’s post-earnings slump, and SpaceX’s confidential IPO filing and potential market impact.

7 snips
Mar 31, 2026 • 44min
Stocks Rally On Optimism For End Of Iran War… And Apple’s Mag-7 Outperformance 3/31/26
Markets jump on reports the Iran conflict may be winding down, with big sector movers and oil sliding. Discussion of Nvidia's $2B Marvell stake and broader AI supply-chain plays. Deep dive into Mag-7 tech performance and valuation trends. Coverage of major pharma M&A and a large Oracle layoff tied to AI investments. Nike's results and China weakness round out the themes.

9 snips
Mar 30, 2026 • 44min
Semis Slide, Oil Climbs, Nike Results on Deck… And The Latest Use Case For GLP-1’s 3/30/26
Jared Holes, a Mizuho healthcare specialist who covers biotech and pharma, discusses Eli Lilly’s push into GLP-1s and a surprising new use case in addiction trials. He also breaks down recent biotech deals and what these moves mean for the broader pharmaceutical landscape. Short, sharp takes on catalysts and sector implications.

Mar 27, 2026 • 44min
Tech Slides to Close a Volatile Week… Citi Deal Chatter, A Weak Yen, and Nike’s Big Test 3/27/26
Peter Boockvar, chief investment officer at BFG Wealth Partners, offers macro and fixed-income perspective. He dissects a global bond sell-off and rising yields. He talks about yen weakness and intervention chatter. He also covers Citi deal rumors, bitcoin near $65K, and Nike facing a big earnings test.

5 snips
Mar 26, 2026 • 43min
Meta’s Rough Month… And Rate Hike Odds Rise 3/26/26
Phil LeBeau, aviation reporter who covered TSA staffing, jet fuel costs, and DHS shutdown effects on travel. He discusses TSA call-outs and staffing quits. He highlights surging jet fuel and how the DHS shutdown is pressuring airlines. He also touches on broader travel impacts and operational challenges facing carriers.

Mar 25, 2026 • 43min
The Most Important Charts… And “Mysterious” Trading Around Trump Announcements 3/25/26
Markets jump and wobble on Middle East headlines and a reported peace plan to Iran. Traders point to key charts in semiconductors, two-year yields and high-yield credit as telltales. Strange oil and futures spikes tied to political announcements spark talk of suspicious trading patterns and possible oversight. M&A, AI chip ambitions and mortgage weakness round out the market themes.

13 snips
Mar 24, 2026 • 44min
Rates Spike As Equities Stall… And Palo Alto Networks CEO On AI Cybersecurity 3/24/26
Michael Schumacher, head of macro strategy at Wells Fargo Securities, breaks down the bond market's bunker mentality. He talks yields spiking after a weak Treasury auction and what that means for stocks and policy. He also explores timing risks for stagflation and how global inflation and geopolitics could pressure earnings.

5 snips
Mar 23, 2026 • 44min
A Wavering Rally… And Headwinds For Airlines 3/23/26
Markets spike after reports of U.S.-Iran talks, then lose momentum as traders weigh bond signals and geopolitical uncertainty. Discussion of who was actually involved in the reported talks. Exploration of rising yields, private credit redemptions, and tech setbacks at Microsoft. Sports-betting rulings boost operators briefly. Airlines brace for sustained higher jet fuel and capacity cuts.

17 snips
Mar 20, 2026 • 43min
Stocks Wrap Up Volatile Week In The Red… And Oil Shock “Critical Stage” 3/20/26
Steve Grasso, active trader known for technical and short-term market calls. Julie Beal, market commentator with sector-focused strategy insights. They discuss a steep market sell-off and Nasdaq correction. They cover rising oil and an energy shock reaching a critical stage. They analyze options expiry, rising yields, geopolitical strains, and implications for banks and specific names.


