19.02.2018 • 13:00 GMT
John Kicklighter
• The S&P 500 closed out its best week in four years, it just took an extremely painful market rout to foster the move
• Risk trends from US to global shares, junk bonds to carry trade will not revert back to the calm complacency before January's spill
• Ahead, protectionism will be a broad them as will monetary policy for the Dollar, Euro and Pound in particular