U.S. stocks pulled back, leaving the S&P 500 hovering near flat for the year as investors rotated out of financials and kept a close eye on simmering tensions between the United States and Iran. Steve Sosnick, Chief Strategist, Interactive Brokers examines mixed corporate signals from Walmart and Deere & Company, and what they reveal about the consumer and cyclical outlook. With the Personal Consumption Expenditures Price Index expected to edge higher, we ask whether inflation is stalling — and if markets are too optimistic on rate cuts.
Produced/Presented: Ryan Huang

US Markets Wrap: Breaking 7,000 - What the Rally Is Really Telling Us
11:03

US Markets Wrap: Are markets too complacent? Nasdaq, S&P 500 hit new highs
11:03

US Markets Wrap: Markets Climb the Wall of Worry
09:11