Chris Vecchio and Anton Kulikov discuss a rocky start to Q3. Anton highlights key losses in bonds following a hopeful weekend, touching on potential catalysts like Trump's election odds and French political stabilizations influencing the bond market. Both echo a cautious yet bullish sentiment on equities, emphasizing the historical strong performance in July. They note divergences in oil and yen trends amidst volatility. Overall, the show's active trading strategy focuses on technical support zones and volatility metrics to navigate market intricacies.
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