Geopolitical news came to the forefront of traders' focus, sparking big financial market moves to start the week. From there, traders had to balance geopolitical drivers with a heavy dose of central bank speak from around the globe, and another round of top tier economic updates. With so many different major narratives to follow, the correlations between major assets and the usual broad risk sentiment behaviors were weak, leading to a very mixed and unusual performance outcome by the end of the week.