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    Business

    Closing Bell

    From the open to the close, “Closing Bell” and “Closing Bell: Overtime” have you covered. From what’s driving market moves to how investors are reacting, Scott Wapner, Melissa Lee and Michael Santoli guide listeners through each trading session and bring to you some of the biggest names in business.

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    Latest Episodes:
    Closing Bell Overtime: Stocks Sell Off Following Powell Presser 3/18/26 Mar 18, 2026
    Show notes

    Stocks sell off following Jay Powell’s presser. Former Federal Reserve Vice Chairman Alan Blinder explains what the Fed’s latest messaging signals for policy and the path ahead. Micron earnings with instant reaction from CFRA’s Angelo Zino. Venu Krishna, Head of U.S. Equity Strategy at Barclays, talks the broader market outlook following the Fed’s rates decision and the ongoing war with Iran. Craig Siegenthaler of Bank of America makes the case for private credit as a buying opportunity and explains where he sees value in the current environment.


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    Closing Bell: Stocks Sink Following Fed Decision to Leave Rates Unchanged 3/18/26 Mar 18, 2026
    Show notes

    The major averages fell during the final hour of trade – following the Fed decision and Chair Powell’s news conference. The Wharton School’s Jeremy Siegel, CMBC Americas’ Joe Lavorgna and Robinhood’s Stephanie Guild tell us what they think is next for the fed – and the market. Plus, we dig into how rates are impacting refinance demand. And, we run through what to watch from Micron’s report in Overtime.


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    Closing Bell Overtime: Stocks Gain Despite Oil’s Rise; Finding Tech Opportunities Outside of U.S. 3/17/26 Mar 17, 2026
    Show notes

    Paul Hickey of Bespoke joins on set to assess market momentum and where investors should be positioned. Lululemon headlines earnings with immediate reaction from Janine Stichter of BTIG. Beeneet Kothari of Tekne Capital argues that the next generation of tech winners may emerge outside the U.S. and explains where he is finding opportunity globally.
    Tim Hayes of Ned Davis Research makes the case for dialing back equity exposure and increasing allocations to bonds and cash as risks build. Finally Phil LeBeau reports on renewed optimism in the airline sector and what it signals about travel demand. The episode closes with a look ahead at the next catalysts investors are watching.


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    Closing Bell: Positioning Ahead of the Fed 3/17/26 Mar 17, 2026
    Show notes

    We’re less than 24 hours away from the next Fed decision. So how should you be positioned heading into tomorrow? We discuss with Lori Kalvasina from RBC Capital Markets, iCapital’s Sonali Basak and Schwab’s Kevin Gordon. Plus, the second day of Nvidia’s GTC conference is underway. CEO Jensen Huang making headlines at a press Q&A – we bring you all the highlights. And, Capital Wealth Planning’s Kevin Simpson reveals his latest trades.


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    Closing Bell Overtime: Markets Track Oil Moves, Nvidia’s AI Moment and New Questions Around the Fed 3/16/16 Mar 16, 2026
    Show notes

    Dan Skelly of Morgan Stanley Wealth Management joins on set to assess the market setup and what investors should watch next.
    In tech Nvidia takes center stage as CEO Jensen Huang delivers a major keynote. Patrick Moorhead of Moor Insights and Dylan Patel of SemiAnalysis analyze the announcements and discuss what they mean for AI infrastructure, memory demand and the semiconductor ecosystem.
    Mark Mahaney of Evercore explains why there investors are looking for signals for spending discipline across big tech.
    Finally Steve Liesman breaks down a key question in Washington: whether the Federal Reserve Board could vote Jerome Powell back into the chair role if Kevin Warsh is not confirmed in time.


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    Closing Bell: Stocks Bounce to Start the Week 3/16/26 Mar 16, 2026
    Show notes

    Invesco’s Brian Levitt and Bartlett’s Holly Mazzocca tell us how they’re navigating the uncertainty surrounding Iran and oil. Plus, Nvidia’s GTC is officially underway – with CEO Jensen Huang – giving his keynote address. We break down all the highlights – and how it impacted the stock. And, Former Dallas Fed President Richard Fisher tells us what he is expecting from the Fed decision – and what’s at stake for Chair Powell.


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    Closing Bell Overtime: Markets Search for a Bottom as Fed Pressure Builds and Energy Risks Mount 3/13/26 Mar 13, 2026
    Show notes

    Markets grapple with fresh pressure from Washington and rising geopolitical risk. We discuss the latest around the Powell lawsuit with former Dallas Fed President Richard Fisher. After stocks hit new yearly lows investors debate whether a bottom may be forming: Steve Sosnick of Interactive Brokers and Sonali Basak of iCapital assess market sentiment, positioning and the path forward. Former Defense Secretary Leon Panetta discusses how and when the current conflict could end and what tensions around the Strait of Hormuz could mean for global stability and energy markets. Chad Zamarin, CEO of Williams, discusses natural gas disruptions and what they could mean for supply and infrastructure.


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    Closing Bell 3/13/26 Mar 13, 2026
    Show notes

    From the open to the close, “Closing Bell” and “Closing Bell: Overtime” have you covered. From what’s driving market moves to how investors are reacting, Scott Wapner, Jon Fortt, Morgan Brennan and Michael Santoli guide listeners through each trading session and bring to you some of the biggest names in business.


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    Closing Bell Overtime: Stocks Set Fresh 2026 Lows as War Ripple Effects Batter Investors 3/12/26 Mar 12, 2026
    Show notes

    Eric Johnston of Cantor Fitzgerald asses the market outlook and explains why near term risks for stocks may rise over the next week or two even as he sees the pullback creating a buying opportunity.
    Earnings drive the tape with results from Adobe, Lennar and Ulta Beauty. Brian Schwartz of Oppenheimer reacts to Adobe’s results and management change. Julie Biel of Kayne Anderson Rudnick discusses whether software remains a strong long term bet and why companies with proprietary data and regulatory advantages may prove harder for new disruptors to challenge.
    Renewed strength in cybersecurity stocks and growing debate over whether global tensions could push digital conflict into a new phase with CSIS’s Lauryn Williams.


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    Closing Bell: Navigating the Geopolitical Uncertainty 3/12/26 Mar 12, 2026
    Show notes

    Solus’ Dan Greenhaus and CIBC’s Chris Harvey tell us what the recent developments out of Iran and the big moves in oil could mean for the market in the days and weeks ahead. Plus, Wilfred Frost caught up with U.S. Treasury Secretary Scott Bessent on the strait of Hormuz, the war in Iran and much more. He brings us some of the highlights. And, Morgan Stanley’s Chris Toomey is one of the country’s top financial advisors tells us how he is advising his clients right now.


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