Chris Vecchio and Ilya Spivak discuss market volatility, noting wild swings in crude oil and bonds, reflective of the quarter's close. They highlight the S&P 500's stellar 14.99% first-half gain, historical patterns suggesting a strong second half, and potential political impacts from French and UK elections. They emphasize cautious optimism with current trading ranges, especially for crude oil and S&P futures, and suggest continued strategic positioning.
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