From April 6 to 10, 2026, the financial world will focus on a series of key economic events and reports. The emphasis will be on the inflation situation in the U.S., PCE index data, and the FOMC minutes, which may significantly impact future economic forecasts. Additionally, important corporate reports from leading companies in the U.S., Europe, Asia, and Russia are anticipated. Indices such as the S&P 500, Euro Stoxx 50, Nikkei 225, and MOEX will provide essential indicators of the economic health of their respective regional markets. We will examine these events in the context of current global macroeconomic forecasts, paying special attention to the oil market and inventory changes according to EIA and API reports.