Analysis Center

06

June

Derivatives: Continued accumulation

Although the index experienced a pullback, the declining volume indicates a possible accumulation phase. Therefore, traders may wait for a more suitable time to reopen long positions.
Report (47)

06

June

Market commentary: Narrowing the downward momentum

Although corrective pressure at higher price levels continued to weigh on the market and temporarily stalled the upward momentum, the overall uptrend remained intact as the indices stayed above most...
Report (41)

05

June

Fund flow: Capital outflow pressure remains present

In 5M25, net capital outflow pressures in Vietnam showed signs of intensifying, with total net withdrawals reaching USD139.7mn. However, on the other hand, ETF activity appeared to stabilize somewhat. This...
Report (61)

05

June

Derivatives: Accumulation session

Despite the correction, the short-term uptrend remains intact. Therefore, traders may consider reopening long positions.
Report (57)

05

June

Market commentary: Market divergence

The market exhibited signs of volatility after reaching a new high price. Nevertheless, the underlying uptrend remains intact, as the index continues to trade above most key moving averages. Hence,...
Report (51)

04

June

Derivatives: Breakout session

With this breakout session, the contract has confirmed a short-term uptrend. Therefore, investors may consider reopening long positions.
Report (61)

04

June

Market commentary: Green gains broadly extended

After several sessions of consolidation near recent highs, the market staged a strong rebound accompanied by improved liquidity - signaling a shift in investor sentiment toward optimism. This may indicate...
Report (52)

03

June

Market traders: Strong selling pressure from foreigners

Domestic individual investors showed a slight improvement in trading activity, with a reversal to a 2.7% increase from the prior week. In contrast, domestic institutional investors appeared more cautious, with...
Report (61)

03

June

Derivatives: Test the 10-period moving average

Short-term risks are increasing as the contract tests the 10-period moving average. Therefore, investors should remain cautious, closely monitor the market, and wait for further signals before opening new positions.
Report (51)
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