May 10, 2026, will be a significant date for the global economy, filled with important economic events and macroeconomic changes. Inflation in China is taking on a new meaning, impacting global trade relations. The United States anticipates the release of the Consumer Price Index (CPI), which may set the trajectory for future actions by the Federal Reserve. At the same time, there is a pause in corporate earnings reports, creating a temporary vacuum for market analysts accustomed to a continuous flow of financial data. These factors may significantly influence stock indices such as the S&P 500, Euro Stoxx 50, Nikkei 225, and MOEX. A careful examination of the data will allow investors to make more informed bets and plan future investment strategies amid increased volatility and uncertainty.