From February 9 to 13, 2026, the attention of investors and analysts was drawn to significant economic events that impacted financial markets globally. The earnings season continued in the U.S., providing new insights into the state of the economy. S&P 500 companies reported their Q4 2025 results, presenting a mix of positive and negative surprises. In the Eurozone, focus shifted to GDP data, which elicited mixed reactions. The Central Bank of Russia announced its interest rate decision and inflation forecast. In Asia, attention was on the Nikkei 225 results and corporate reports. Macroeconomic indicators emerged as critical factors influencing investor decisions worldwide.<br />
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