In the last trading session, 3.43 million QVC Group Inc (NASDAQ:QVCGA) shares changed hands as the company’s beta touched 3.11. With the company’s per share price at $0.15 changed hands at $0.0 or -1.17% during last session, the market valuation stood at $121.91M. QVCGA’s last price was a discount, traded about -626.67% off its 52-week high of $1.09. The share price had its 52-week low at $0.13, which suggests the last value was 13.33% up since then. When we look at QVC Group Inc’s average trading volume, we note the 10-day average is 3.58 million shares, with the 3-month average coming to 3.39 million.
QVC Group Inc (NASDAQ:QVCGA) trade information
Instantly QVCGA was in red as seen at the end of in last trading. With action -24.17%, the performance over the past five days has been red. The company’s shares are showing year-to-date downside of -53.79%, with the 5-day performance at -24.17% in the red. However, in the 30-day time frame, QVC Group Inc (NASDAQ:QVCGA) is -46.11% down. Looking at the short shares, we see there were 5.07 million shares sold at short interest cover period of 0.89 days.
Looking at the company’s year-on-year earnings, data shows that the past 5-year has an earnings growth rate of -24.81%.
QVCGA Dividends
QVC Group Inc is expected to release its next quarterly earnings report in May.
QVC Group Inc (NASDAQ:QVCGA)’s Major holders
If we look at who the major shareholders are, we find that insiders hold 8.84% of QVC Group Inc shares while 51.51% of the shares are in the hands of institutional holders. The share float percentage for the stock currently stands at 56.50%.
Among Mutual Funds, the top two as of Dec 31, 2024 were VANGUARD INDEX FUNDS-Vanguard Total Stock Market Index Fund and VANGUARD HORIZON FUNDS-Vanguard Strategic Equity Fund . With 10.7 shares estimated at $1.63 million under it, the former controlled 2.71% of total outstanding shares. On the other hand, VANGUARD HORIZON FUNDS-Vanguard Strategic Equity Fund held about 1.75% of the shares, roughly 6.88 shares worth around $1.05 million.