Closing Bell Overtime: Markets Weigh White House Moves, Geopolitical Uncertainty and Credit Risk 3/2/26 episode artwork

EPISODE · Mar 2, 2026 · 42 MIN

Closing Bell Overtime: Markets Weigh White House Moves, Geopolitical Uncertainty and Credit Risk 3/2/26

from Closing Bell · host CNBC

Julian Emanuel of Evercore ISI explains how policy headlines are shaping investor positioning and risk appetite. Dan Yergin joins to assess what comes next for oil and LNG as global supply and geopolitics remain in focus. Credit stress remains a major concern. Jeffrey Kivitz of Canyon Partners discusses risks building beneath the surface and how institutional investors are navigating tighter financial conditions. Paul Hickey of Bespoke looks to history to frame what could come next for markets while Sheila Kahyaoglu of Jefferies explores opportunities and risks in the defense sector. Hosted by Simplecast, an AdsWizz company. See pcm.adswizz.com for information about our collection and use of personal data for advertising.

Episode metadata supplied by the publisher feed · Published Mar 2, 2026

Embed this episode

NOW PLAYING

Closing Bell Overtime: Markets Weigh White House Moves, Geopolitical Uncertainty and Credit Risk 3/2/26

0:00 42:56

No transcript for this episode yet

We transcribe on demand. Request one and we'll notify you when it's ready — usually under 10 minutes.

No similar episodes found.

No similar podcasts found.

Frequently Asked Questions

How long is this episode of Closing Bell?

This episode is 42 minutes long.

When was this Closing Bell episode published?

This episode was published on March 2, 2026.

Can I download this Closing Bell episode?

Yes. Use the download control on the episode player to save the publisher-provided media file.
URL copied to clipboard!