
CNBC's "Fast Money"
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.
Latest episodes

Apr 22, 2025 • 49min
Markets Rebound After Monday’s Drop… And Netflix Streams Higher 4/22/25
Brett Winton, Chief Futurist at ARK Invest, shares his expertise on disruptive innovation, particularly around Tesla and Netflix. He discusses the thrilling market rebound after Monday’s drop and highlights Tesla's strategic plans amidst heavy competition and regulatory challenges. Winton also emphasizes Netflix's strong position, labeling it as 'highly recessionary resistant,' and explores its recent stock surge and shift towards live sports, setting the stage for its resilience in challenging economic times.

Apr 21, 2025 • 43min
Stocks drop,Tesla tumbles, and gold shines as investors get defensive 4/21/25
Major stock indexes are sinking, with the Magnificent Seven experiencing sharp declines. Tesla faces earnings pressure amid bearish sentiment and production delays. Gold is shining as a safe haven, hitting record highs, while Uber grapples with a lawsuit from the FTC. Political tensions swirl as former Fed President Loretta Mester weighs in on Trump's remarks about the central bank. Analysts are bullish on Disney amidst shifting market conditions, highlighting the stark contrast between Uber's resilience and Lyft's vulnerabilities.

4 snips
Apr 17, 2025 • 43min
Netflix Swings After Reporting… And Trump Takes Aim At Powell 4/17/25
Steve Leisman, an in-house reporter known for his deep insights into economic policy, discusses Netflix's impressive quarterly earnings that surprised the market. He highlights the company's strategies in the competitive streaming arena. The conversation shifts to Trump exerting pressure on the Federal Reserve, exploring the economic ramifications. They also dive into Eli Lilly's potential game-changing obesity pill for diabetes, revealing stock performance trends and market implications, as well as scrutinizing Alphabet's legal challenges in advertising.

Apr 16, 2025 • 43min
Stocks Drop As Nvidia Slides… And Powell Warns Of Tariff Impact 4/16/25
Stocks are tumbling as Nvidia faces significant challenges, exacerbated by Fed Chair Powell's tariff warnings. Gold prices are soaring, yet investor sentiment remains cautious amid rising inflation. Retail investors are balancing risk by exploring low-cost options, while emerging trends in the pet industry catch attention. Lululemon struggles with market competition, and potential new tariffs on critical minerals could affect U.S. industries. Join the discussion on navigating this volatile market and uncovering strategic investment opportunities.

Apr 15, 2025 • 44min
Netflix Bucks The Trend… And Trump Takes Aim At Health Care Prices 4/15/25
Netflix is defying market trends, showcasing a stock surge ahead of its earnings report, with ambitious plans to double revenue by 2030. The podcast discusses its recession-proof status and challenges traditional players like Disney. It also dives into President Trump's executive orders aimed at lowering healthcare costs, exploring potential impacts on pharma and drug pricing. Additionally, insights into the airline industry reveal evolving investment opportunities, emphasizing travel trends and the economic landscape.

Apr 14, 2025 • 44min
Murky Monday For Stocks… And Tariff Impact On Automakers 4/14/25
The stock market faces wild swings as tariff headlines stir uncertainty. A technical ‘death cross’ raises eyebrows regarding the S&P 500. Currency experts warn against the U.S. dollar. Discussions reveal the struggles of the auto industry amidst evolving trade policies. Netflix sees impressive stock growth, amidst a backdrop of shifting investment strategies. Insights emphasize the need for diversification while navigating market volatility. Community engagement proves vital during these turbulent times, fostering shared knowledge.

Apr 11, 2025 • 44min
Stocks Jump To Close Out Volatile Week, And The Technical Take On The Market Swings 4/11/25
Markets are reacting dramatically to tariff headlines, leading to significant swings for stocks. Insights reveal challenges for major automakers like GM and Ford due to production halts. Newmont’s stock surges amid a gold resurgence, highlighting inflation's impact. The S&P 500 finds itself at a critical junction, with analysts providing technical analysis. Upcoming earnings reports could shift market dynamics, while MLB teams' valuations add an unexpected twist to financial discussions.

Apr 10, 2025 • 43min
Stocks Drop After Historic Rally… And Banks Ready To Kick Off Earnings Season 4/10/25
Stocks are sliding after a big rally, raising recession alarms on Wall Street. Analysts discuss where investors can find safety in uncertain markets. Challenges in the semiconductor and auto industries are front and center, especially with rising tariffs and competition. The significance of retail performance is highlighted, showcasing resilient players like TJX and Walmart amid volatility. Additionally, banking sector dynamics are analyzed, focusing on J.P. Morgan and credit quality concerns, all while watching how currency fluctuations impact tech stocks.

Apr 9, 2025 • 49min
Markets Rip Higher On Tariff Pause… And Why China Isn’t Getting Any Relief 04/09/25
Join Howard Lutnick, the Commerce Secretary and trade policy expert, as he dives into the implications of President Trump's tariff pause. He discusses stock market surges and the skepticism surrounding their longevity amidst U.S.-China tensions. Lutnick sheds light on Walmart's strategic positioning in uncertain times and examines how pharmaceutical tariffs could reshape industry dynamics. As trade negotiations evolve, get insights on how these economic shifts may influence both markets and everyday consumers.

Apr 8, 2025 • 38min
Tariff Headlines Weigh On Markets… And A Private Credit Port In The Storm? 4/8/25
Recent tariff announcements have led to a significant sell-off in the stock market, with experts weighing in on potential impacts on U.S. manufacturing jobs and trade relations with China. As policymakers grapple with economic uncertainty, the discussion shifts to the upcoming earnings season and its implications. The role of private credit emerges as a potential safeguard against market volatility. Delta Airlines' fluctuating stock and consumer landscape also come under scrutiny amidst these challenging economic conditions.
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