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Jesse Wheeler warns that interest rate cuts take a while to filter through the economy. He discusses how a cut could affect the jobs market and housing market, but thinks that businesses may stay on the sidelines after a first cut. He talks about why the labor market has taken a hit, tying it to immigration issues: “without that engine of labor supply,” the jobs needed to be created to keep unemployment low drops.
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Current expectations on the FOMC's September interest rate cut may not be as solid as investors anticipate, says Kevin Green. He says a "fairly aggressive" retail sales print Tuesday, among other inflation reports, can shake up cut probabilities. As far as stocks to watch, Kevin points to small caps and financials as interest rate movers. He later touches on the "mixed picture" for the China trade.
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Marley Kayden takes a closer look into Tesla (TSLA) CEO Elon Musk's $1 billion purchase of shares. She notes Musk's move as a sign he's doubling down on the company's "ambitious" goals. Marley notes it can be a struggle, particularly one goal of Tesla to hit $2 trillion market cap by mid-2026. @ProsperTradingAcademy's Charles Moon offers an example options trade for Tesla.
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Michelle Gibley with @CharlesSchwab turns to the international A.I. trade by looking at China's rally on tech stocks. She says institutional investing may be driving the overseas rally. Michelle adds that tariff talks remain hot as China also tackles anti-monopoly measures against Nvidia (NVDA). Cooper Howard talks about the Fed's meeting this week regarding interest rates that still holds uncertainty regarding who will actually be in attendance.
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Ivan Feinseth remains bullish when it comes to cruise lines. He sees these companies roughing tough waters as many increase capacity, add new ships, and tack on more activities to draw new customers. Ivan points to Royal Caribbean (RCL) as the leader of the fleet. Tom White offers an example options trade for Royal Caribbean.
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Ted Weisberg discusses why a 25 basis point cut is the right move this week and names some stock picks. He’s a long time Meta (META) bull and thinks it can continue to climb, calling it “reasonably priced” in the tech sector. He also likes glasses maker Essilor (ESLOY), discussing its vertical integration and expansion. Other picks include Oracle (ORCL) and Chubb (CB). However, he says that dividend stocks will become more desirable as interest rates come down and points investors that way.
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On the opening day to Schwab Network's new show, Opening Bell, Kevin Hincks reports from the @cboeglobalmarkets to break down what investors should watch for this week. The biggest talker: the FOMC and its interest rate meeting. Kevin talks about expectations heading into the highly anticipated meeting that includes a near-certain rate cut.
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Richard Grasso, former chairman of the NYSE, joins Opening Bell to talk financial literacy and his history in the markets. “The only way” to find economic stability for the young generations, he argues, is through investing. He discusses his time as the leader of the NYSE and his work developing it. He cheers bringing small investors into the stock market and broader access to financial information.
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Markets started the trading week with up arrows, including a new record high in the SPX. Kevin Green shows levels for investors to watch throughout Monday's session. He also talks about Tesla's (TSLA) upside potential following its rally in the morning, noting if it can break a key resistance level, there's a chance its rally can continue.
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UBS upped its price target on Micron (MU) to $185 from $155 as the stock hit new record highs Monday morning. Wedbush added Palo Alto Networks (PANW) to its "best ideas" list as it sees strong potential for the cybersecurity stock. GE Vernova (GEV) was upgraded by Melius Research on expectations earnings can power the stock in 2027 and beyond. Diane King Hall runs through the morning's biggest movers to start the trading week.
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