On January 4, 2026, a significant day unfolded for global financial markets. Economic events captured the attention of investors worldwide, ranging from corporate reports covering regions such as the USA, Europe, and Asia, to resulting reactions on stock exchanges. Leading indices, such as the S&P 500, Euro Stoxx 50, and Nikkei 225, demonstrated volatility that impacted investor strategies. While macroeconomic uncertainty continues to pose challenges, the Russian MOEX index also reflected investors' desire for stable assets. Let's discuss the key events influencing the investment climate and acknowledge the importance of corporate reports for the future direction of markets.