Overview of the trading session
The closing session on April 3, 2026, witnessed a highly divergent market. Data for the VN-Index and HNX-Index was unavailable; however, this session showed a rotation of capital flows among different stocks and sectors. Liquidity was concentrated in a few large-cap stocks, reflecting the market's selectivity.
Outstanding stock group
On the HOSE, some stocks led the upward trend while many others faced significant downward pressure, indicating that the market remains selective.
The biggest gainers (HOSE) : TNI 4,940 VND, +6.9%; COM 33,250 VND, +6.9%; FUEABVND 11,200 VND, +6.7%.
Biggest declines (HOSE) : DCL 56,700 VND, -6.9%; GEE 194,300 VND, -6.7%; SPM 8,490 VND, -6.7%.
Liquidity & Cash Flow
The trading session saw a concentration of trading volume in a few leading stocks, indicating a rotation of capital between different companies.
SHB : Total 5,236,800
VIX : Volume 3,483,990
HPG : Volume 3,138,330
Note: Liquidity is concentrated in SHB , VIX , and HPG ; capital continues to rotate across industry groups.
Industry analysis
Some sectors showed significant divergence during the session; the heat map chart below illustrates the extent of change by sector.
Chemicals : driven by an increase in DGC .
CN Group : TNI increased sharply.
Bank : SHB has high liquidity.
Pharmaceuticals : pressure drop at DCL .
Industrial transport : under pressure, typical of GEE .
Key technical signals
Some codes are showing positive short-term technical signals based on modeling data.
SIP — composite score 74.2, RSI 59 (neutral), MACD bullish, EMA bullish.
REE — composite score 73.5, RSI 56 (neutral), MACD bullish, EMA bullish.
SVC — composite score 71.0, RSI 51 (neutral), MACD bullish, EMA neutral/mixed.
Developments on other exchanges
The HNX and UPCOM markets continued to show strong divergence, with both stocks hitting the ceiling price and those experiencing sharp declines.
HNX : TJC +10.0%, SPC +10.0%, PJC +9.7%; KSQ -15.0%, DDG -11.1%.
UPCOM : ONW +38.9%, DCH +25.0%, GER +25.0%; PJS -39.9%.
Prospects & Risks
The market continues to be polarized; the probability of a short-term recovery exists, but it is selective.
Cash flow tends to rotate across stocks and sectors; investors need to monitor liquidity to assess the sustainability of the momentum.
Selective risk remains high, especially for stocks with large price fluctuations on UPCOM.
Note: This article is for informational analysis only; it is not investment advice.
