The market is still in the middle of a churn, says Kevin Green, who calls out the lasting volatility as crude oil prices swing and 10-year-Treaury yields linger around 5%. He discusses how the "rotational market" impacts investors and hidden strengths he sees in the dicey trading environment, including the communications sector. Stay mindful of the geopolitical risk, says KG, who highlights key oil infrastructure getting struck as a lasting headwind. He then turns to his levels to watch in the S&P 500 (SPX).
Morning Movers
15 Sep 2026
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