Closing Bell

CNBC
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Oct 22, 2025 • 42min

Closing Bell: 10/22/25

Dive into the latest market movements including critical insights on Tesla’s earnings and its potential recovery. Experts debate the implications of upcoming MAG 7 earnings and sentiment shifts. Meme stocks make a surprising comeback, driven by retail activity, while analysts discuss technical patterns. Controversies surface around U.S. software restrictions on China and the NHL's new partnership with prediction markets. Explore the shifting dynamics as the market closes, with a focus on sectors like semiconductors and renewables.
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Oct 21, 2025 • 44min

Closing Bell Overtime: Pavlov Markets, Big Earnings & the Geopolitics of Business 10/21/25

Investors are reacting like Pavlov's dogs, eagerly buying at market opens. Netflix's mixed earnings reveal a Brazilian tax hit, with insights on future ad revenue and live sports. Geopolitical risks, especially concerning Ukraine and China, pose major concerns for investors, as discussed by Bill Browder. Meanwhile, Tesla's upcoming results raise skepticism about robo-taxi timelines, while aerospace firms see strong demand. The tech sector faces competition, prompting discussions on content spending and AI's role in innovation.
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Oct 21, 2025 • 44min

Closing Bell 10/21/25

Julia Boorstin, a CNBC media and tech correspondent, dives into Netflix's upcoming earnings, analyzing key factors like revenue, engagement, and AI risks. Portfolio manager Bill Baruch shares insights on market positioning and focuses on shareholder priorities for Netflix and Apple. The conversation also touches on the impact of rising sports rights on media strategies and explores the implications of AI advances for major players like Google. Together, they provide a compelling snapshot of the market landscape and the critical factors driving it.
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Oct 20, 2025 • 44min

Closing Bell Overtime: Apple Notches First Record Close of 2025; AWS Outage & Busy Week of Earnings 10/20/25

Apple's impressive record close sparks discussions on market dynamics and potential implications for 2026. The demand for the iPhone 17 and its impact on upcoming earnings takes center stage. AWS experiences a significant outage, causing major service disruptions and raising questions about multi-cloud strategies. Zions Bancorp's earnings reveal credit concerns amidst a challenging environment. Meanwhile, insights into alternative labor data highlight subtle shifts in the job market, all while gold maintains historic rally momentum.
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Oct 20, 2025 • 43min

Closing Bell: Stocks Stretched? 10/20/25

Rick Rieder, BlackRock’s Chief Investment Officer of Fixed Income, shares insights on the current market, emphasizing strong corporate earnings and GDP as bullish indicators. He discusses the evolving bond market and expresses a need for the Fed to end balance sheet runoff to maintain liquidity. The conversation also touches on rising government debt's effect on yields, gold as a currency hedge, and the recent strong performance of Apple, highlighted by tech reporters Steve Kovach and Alex Kantrowitz, who delve into Apple's iPhone success and AI challenges.
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Oct 17, 2025 • 43min

Closing Bell 10/17/25

Adam Parker, Founder and CEO of Trivariate Research, shares insights on macroeconomic trends and bank risks, arguing that recent credit stress is idiosyncratic. Tom Lee, Head of Research at Fundstrat, provides a market outlook, suggesting negative sentiment could be a contrarian buy. He highlights potential gains for small caps and regional banks, while discussing crypto deleveraging trends. Both guests emphasize the importance of upcoming tech earnings and their influence on market positioning as we approach year-end.
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Oct 17, 2025 • 42min

Closing Bell Overtime: Regional Bank Turmoil, Gold Worries & Crypto’s Collapse 10/17/25

Bond yields are in focus as regional banks face pressure, while earnings suggest limited contagion. A CNBC survey reveals gold as the top investment choice for Americans, sparking debates on whether to take profits. Bitcoin's recent volatility raises questions about market leadership and the future of crypto stocks. Additionally, trends in sticky inflation are examined, influencing consumer behavior. Experts also highlight key technical levels to watch for potential market shifts.
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Oct 17, 2025 • 20min

Manifest Space: Building the Future: Reindustrializing America from Earth to Orbit with CesiumAstro CEO Shey Sabripour and Trousdale Ventures’ Phillip Sarofim 10/17/25

In this conversation, Shey Sabripour, CEO of CesiumAstro, and Phillip Sarofim, Founder of Trousdale Ventures, delve into the future of industrialization and advanced connectivity. They reveal how phased-array satellite technology is reshaping communication in defense and commercial sectors. The duo also discusses the urgency of reindustrializing America amidst a competitive space race, emphasizing connectivity's role in advancing AI, autonomy, and transportation. Their insights highlight the importance of dual-use technology for sustainable innovation.
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Oct 16, 2025 • 43min

Closing Bell Overtime: Interactive Brokers’ Thomas Peterffy on earnings, surging customer activity and margin loans; Consumer activity clues with alternative data 10/16/25

Mike Santoli, a senior markets commentator, delves into the latest market trends, dissecting the so-called 'Trump trade' and its potential longevity. He highlights a selective rally driven by mega-cap AI stocks while noting divergence in sectors like semiconductors and homebuilders. Santoli also analyzes consumer spending, revealing how higher-income households are influencing economic dynamics. Plus, he discusses the increasing caution among traders in light of rising market volatility.
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Oct 16, 2025 • 43min

Closing Bell: Regional Bank Action Drives Volatility 10/16/25

Leslie Picker, a seasoned financial journalist, sheds light on regional bank challenges driving market volatility. Liz Ann Sonders, chief investment strategist at Charles Schwab, discusses the intricate balance between idiosyncratic fraud and systemic credit risks. Dan Greenhaus, founder of Solus Alternative, navigates the murky waters of private credit and the potential AI bubble, sparking a debate over speculative froth. The trio also tackles the implications of falling yields and how they might shape future Fed actions.

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