Is Passive Investing Quietly Breaking the Market?

What if the biggest risk to the S&P 500 isn’t a recession, rates, or geopolitics — but the way we invest? Amber Kanwar sits down with Michael Green, Portfolio Manager & Chief Strategist, Simplify Asset Management , to unpack a provocative — and deeply unsettling — idea: under certain conditions, the S&P 500 could theoretically go to zero. Not because every company fails, but because market structure breaks.