On Friday, February 13, 2026, significant economic events are expected to have a profound impact on the global economy. The main news will center around the release of the Consumer Price Index (CPI) for the United States for January 2026 and the inflation rate for Russia during the same period. These metrics traditionally attract considerable attention from investors and analysts, as they provide insights into the current state of the economy and its prospects. Additionally, all eyes will be on the meeting of the Central Bank of the Russian Federation, where crucial decisions regarding the key interest rate may be made, influencing the currency and stock markets. Another significant event will be the publication of GDP data for the Eurozone for the fourth quarter of 2025. All these economic indicators hold substantial weight for the global economy and are likely to spark discussions within financial markets. Furthermore, the corporate reports from major companies, which will also be announced on this day, will provide investors with valuable information regarding the health and dynamics of large corporations.