January 10, 2026, promises to be a significant date for the global economy and financial markets. On this day, a series of important economic events and corporate earnings reports are expected to be released, which could greatly impact stock indices such as the S&P 500, Euro Stoxx 50, Nikkei 225, and MOEX. The influence of these publications on the investment climate, as well as their significance for macroeconomics as a whole, will be the focal point for analysts and investors worldwide. In this article, we will explore how the events of this day may reflect on the markets in the USA, Europe, Asia, and Russia, and what forecasts experts are making regarding the further development of the situation. Additionally, we will discuss how economic conditions may affect investor strategies and what prospects arise for capital investments in a changing macroeconomic environment.