In recent trading session, Shuttle Pharmaceuticals Holdings Inc (NASDAQ:SHPH) saw 1.48 million shares changing hands at last check today with its beta currently measuring 0.49. Company’s recent per share price level of $0.34 trading at -$0.09 or -19.39% at last check today assigns it a market valuation of $1.69M. That most recent trading price of SHPH’s stock is at a discount of -1285.29% from its 52-week high price of $4.71 and is indicating a discount of -5.88% from its 52-week low price of $0.36. Taking a look at company’s average trading volume for last 10-days demonstrates a volume of 0.27 million shares which gives us an average trading volume of 122.19K if we extend that period to 3-months.
Shuttle Pharmaceuticals Holdings Inc (NASDAQ:SHPH) trade information
Upright in the red during last session for losing -19.39%, in the last five days SHPH remained trading in the red while hitting it’s week-highest on Wednesday, 03/12/25 when the stock touched $0.34 price level, adding 33.33% to its value on the day. Shuttle Pharmaceuticals Holdings Inc’s shares saw a change of -59.84% in year-to-date performance and have moved -28.82% in past 5-day. Shuttle Pharmaceuticals Holdings Inc (NASDAQ:SHPH) showed a performance of -50.01% in past 30-days. Number of shares sold short was 42100.0 shares which calculate 0.78 days to cover the short interests.
Shuttle Pharmaceuticals Holdings Inc (NASDAQ:SHPH)’s Major holders
Insiders are in possession of 27.98% of company’s total shares while institution are holding 9.43 percent of that, with stock having share float percentage of 13.09%. Investors also watch the number of corporate investors in a company very closely, which is 9.43% institutions for Shuttle Pharmaceuticals Holdings Inc that are currently holding shares of the company. TWO SIGMA SECURITIES, LLC is the top institutional holder at SHPH for having 42288.0 shares of worth $16907.0. And as of 2024-06-30, it was holding 0.2552 of the company’s outstanding shares.
The second largest institutional holder is GEODE CAPITAL MANAGEMENT, LLC, which was holding about 30823.0 shares on 2024-06-30. The number of shares represents firm’s hold over 0.186 of outstanding shares, having a total worth of $12297.0.
On the other hand, Fidelity NASDAQ Composite Index Fund and Fidelity Extended Market Index Fund are the top two Mutual Funds which own company’s shares. As of Dec 31, 2024, the former fund manager was holding 7.21 shares of worth $2468.0 or 0.15% of the total outstanding shares. The later fund manager was in possession of 3.15 shares on Dec 31, 2024, making its stake of worth around $1078.0 in the company or a holder of 0.06% of company’s stock.