Skip to content

Kevin Mahn on CNBC: Volatility until the Straits Clear as Tensions Test Markets

Kevin Mahn, President and Chief Investment Officer at Hennion & Walsh Asset Management, says markets remain resilient despite geopolitical risks, highlighting defense spending and value stocks as opportunities while avoiding airlines. Kevin  joins Peter Boockvar of One Point BFG Wealth Partners, and Amena Bakr of Kpler to discuss oil above $100, Hormuz risks, and how geopolitics could shape inflation and markets.

Click here  and here to watch the video on CNBC.

This link is to a third-party website and has no affiliation with Hennion & Walsh, Inc. It is provided for informational purposes only.

Disclosure: Hennion & Walsh Asset Management currently has allocations within its managed money program, and Hennion & Walsh currently has allocations within certain SmartTrust® Unit Investment Trusts (UITs), consistent with several of the investment areas discussed during this interview.