Now Is A Good Time To Buy VCI Global Ltd (NASDAQ: VCIG)

During the last session, VCI Global Ltd (NASDAQ:VCIG)’s traded shares were 0.11 million, with the beta value of the company hitting 2.84. At the end of the trading day, the stock’s price was $3.00, reflecting an intraday gain of 10.29% or $0.28. The 52-week high for the VCIG share is $1372.00, that puts it down -45633.33 from that peak though still a striking 23.33% gain since the share price plummeted to a 52-week low of $2.30. The company’s market capitalization is $8.40M, and the average intraday trading volume over the past 10 days was 0.27 million shares, and the average trade volume was 161.58K shares over the past three months.

VCI Global Ltd (NASDAQ:VCIG) trade information

VCI Global Ltd (VCIG) registered a 10.29% upside in the last session and has traded in the green over the past 5 sessions. The stock spiked 10.29% in intraday trading to $3.00, hitting a weekly high. The stock’s 5-day price performance is 12.99%, and it has moved by -80.27% in 30 days. Based on these gigs, the overall price performance for the year is -99.73%. The short interest in VCI Global Ltd (NASDAQ:VCIG) is 31452.0 shares and it means that shorts have 0.28 day(s) to cover.

VCIG Dividends

VCI Global Ltd is due to release its next quarterly earnings in May. However, it is important to remember that the dividend yield ratio is merely an indicator meant to only serve as guidance.

VCI Global Ltd (NASDAQ:VCIG)’s Major holders

VCI Global Ltd insiders own 2.68% of total outstanding shares while institutional holders control 0.12%, with the float percentage being 0.13%.

Also, the Mutual Funds coming in first place with the largest holdings of VCI Global Ltd (VCIG) shares are Fidelity Concord Street Trust-Fidelity Nasdaq Composite Index Fund and Blackstone Alternative Investment Fd.s-Blackstone Alternative Multi-St . Data provided on Feb 28, 2025 indicates that Fidelity Concord Street Trust-Fidelity Nasdaq Composite Index Fund owns about 21.0 shares. This amounts to just over 0.00 percent of the company’s overall shares, with a $63.0 market value. The same data shows that the other fund manager holds slightly less at 2.0, or about 0.00% of the stock, which is worth about $6.0.