In last trading session, QVC Group Inc (NASDAQ:QVCGA) saw 2.99 million shares changing hands with its beta currently measuring 3.22. Company’s recent per share price level of $0.15 trading at $0.0 or 0.00% at ring of the bell on the day assigns it a market valuation of $109.71M. That closing price of QVCGA’s stock is at a discount of -586.67% from its 52-week high price of $1.03 and is indicating a premium of 13.33% from its 52-week low price of $0.13. Taking a look at company’s average trading volume for last 10-days demonstrates a volume of 2.58 million shares which gives us an average trading volume of 3.58 million if we extend that period to 3-months.
QVC Group Inc (NASDAQ:QVCGA) trade information
QVC Group Inc’s shares saw a change of -54.55% in year-to-date performance and have moved -3.85% in past 5-day. QVC Group Inc (NASDAQ:QVCGA) showed a performance of -28.57% in past 30-days. Number of shares sold short was 7.41 million shares which calculate 1.96 days to cover the short interests.
Weighing up company’s earnings over the past 5-year and in the next 5-year periods, we find the company posting an annual earnings growth rate of -24.81% during past 5 years.
QVC Group Inc (NASDAQ:QVCGA)’s Major holders
Insiders are in possession of 8.92% of company’s total shares while institution are holding 51.34 percent of that, with stock having share float percentage of 56.38%. Investors also watch the number of corporate investors in a company very closely, which is 51.34% institutions for QVC Group Inc that are currently holding shares of the company.
On the other hand, VANGUARD INDEX FUNDS-Vanguard Total Stock Market Index Fund and VANGUARD HORIZON FUNDS-Vanguard Strategic Equity Fund are the top two Mutual Funds which own company’s shares. As of Dec 31, 2024 , the former fund manager was holding 10.7 shares of worth $1.61 million or 2.71% of the total outstanding shares. The later fund manager was in possession of 6.88 shares on Dec 31, 2024 , making its stake of worth around $1.03 million in the company or a holder of 1.75% of company’s stock.