In today’s recent session, 0.41 million shares of the GlucoTrack Inc (NASDAQ:GCTK) have been traded, and its beta is -0.16. Most recently the company’s share price was $0.13, and it changed around $0.0 or -1.65% from the last close, which brings the market valuation of the company to $3.76M. GCTK at last check was trading at a discount to its 52-week high of $62.60, offering almost -48053.85% off that amount. We note from GlucoTrack Inc’s average daily trading volume that its 10-day average is 4.02 million shares, with the 3-month average coming to 5.74 million.
GlucoTrack Inc (NASDAQ:GCTK) trade information
Instantly GCTK has been showing red trend so far today with a performance of -1.65% on intraday trading today. The performance over the last five days has remained in the red territory. The rise to weekly highs of 0.1530 on recent trading dayincreased the stock’s daily price by 15.03%. The company’s shares are currently down -98.24% year-to-date, but still down -9.59% over the last five days. On the other hand, GlucoTrack Inc (NASDAQ:GCTK) is -18.06% down in the 30-day period. We can see from the shorts that 0.75 million shares have been sold at a short interest cover period of 0.16 day(s).
Looking at the company’s year-over-year earnings, the past five years showed a negative earnings growth rate of -18.33%.
GCTK Dividends
GlucoTrack Inc’s next quarterly earnings report is expected to be released in June.
GlucoTrack Inc (NASDAQ:GCTK)’s Major holders
Upon looking at major shareholders, it appears that insiders hold 11.77% of GlucoTrack Inc shares, and 1.69% of them are in the hands of institutional investors. The stock currently has a share float of 1.92%.
Fidelity Concord Street Trust-Fidelity Extended Market Index Fund and Fidelity Concord Street Trust-Fidelity Series Total Market Index Fund were the top two Mutual Funds as of Mar 31, 2025 . The former held 4.0 shares worth $536.0, making up 0.01% of all outstanding shares. On the other hand, Fidelity Concord Street Trust-Fidelity Series Total Market Index Fund held roughly 243.0 shares worth around $32.0, which represents about 0.00% of the total shares outstanding.