Market Report Week 39 - The big storm has blown, will the domestic stock market stand up?
26/09/2022

Summary

The dominant focus in the trading week was the Fed's decision to raise interest rates for 3rd, by 75 percentage points. A new risk that investors are concerned about is the return of Russia-Ukraine tensions. The sell-off spread across major global markets.

Vietnam stocks had the third losing week. Liquidity was low when caution covered the market. Money flow will continue to divergent in the coming time.

Perspective and recommendations.

Category
Weekly
Author
SSV
Details

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