Market commentary: Sharp correction
The market has recorded four consecutive declining sessions accompanied by rising liquidity, while the indices have fallen below key moving averages. This indicates that selling pressure is dominating and the short-term trend has shifted to a more negative stance, implying that the risk of further correction remains present. In this environment, investors should consider reducing part of their portfolio exposure and wait for the next market signals.
Featured Analysis
Market commentary: Extending the upward momentum
QTP – Earnings review – [BUY] – 1Q25: Earnings remain stable
PLX – Earnings review – [HOLD] – 1Q26: Oil price volatility hit hard
Derivatives: Breakout signal
Market commentary: Sustained buying demand
Apr 2026: Medium issuances led by Real Estate and Bank industries
A promising start with solid earnings
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