During the last session, Valens Semiconductor Ltd (NYSE:VLN)’s traded shares were 0.31 million, with the beta value of the company hitting 0.28. At the end of the trading day, the stock’s price was $2.39, reflecting an intraday loss of -1.65% or -$0.04. The 52-week high for the VLN share is $3.50, that puts it down -46.44 from that peak though still a striking 30.13% gain since the share price plummeted to a 52-week low of $1.67. The company’s market capitalization is $252.67M, and the average trade volume was 331.81K shares over the past three months.
Valens Semiconductor Ltd (VLN) received a consensus recommendation of Buy from analysts. That translates to a mean rating of 1.00. VLN has a Sell rating from 0 analyst(s) out of 1 analysts who have looked at this stock. 0 analyst(s) recommend to Hold the stock while 0 suggest Overweight, and 1 recommend a Buy rating for it.
Valens Semiconductor Ltd (NYSE:VLN) trade information
Valens Semiconductor Ltd (VLN) registered a -1.65% downside in the last session and has traded in the red over the past 5 sessions. The stock plummet -1.65% in intraday trading to $2.39, hitting a weekly high. The stock’s 5-day price performance is -12.13%, and it has moved by 18.91% in 30 days. Based on these gigs, the overall price performance for the year is -2.45%.
While earnings are projected to return 4.00% in 2025, the next five years will return 35.63% per annum.
VLN Dividends
Valens Semiconductor Ltd is due to release its next quarterly earnings in June. However, it is important to remember that the dividend yield ratio is merely an indicator meant to only serve as guidance.
The next largest institutional holding, with 2.24 million shares, is of CLAL INSURANCE ENTERPRISES HOLDINGS LTD’s that is approximately 2.1318% of outstanding shares. At the market price on 2024-06-30, these shares were valued at $7.15 million.
Also, the Mutual Funds coming in first place with the largest holdings of Valens Semiconductor Ltd (VLN) shares are Columbia Funds Series Trust I-Columbia Small Cap Value Fund I and ARK ETF Trust-ARK Israel Innovative Technology ETF . Data provided on Jan 31, 2025 indicates that Columbia Funds Series Trust I-Columbia Small Cap Value Fund I owns about 1.02 shares. This amounts to just over 0.96 percent of the company’s overall shares, with a $2.43 million market value. The same data shows that the other fund manager holds slightly less at 567.75, or about 0.53% of the stock, which is worth about $1.36 million.