Cognyte Software Ltd (NASDAQ:CGNT)’s traded shares stood at 0.69 million during the last session, with the company’s beta value hitting 1.70. At the close of trading, the stock’s price was $8.96, to imply a decrease of -4.88% or -$0.46 in intraday trading. The CGNT share’s 52-week high remains $11.65, putting it -30.02% down since that peak but still an impressive 30.69% since price per share fell to its 52-week low of $6.21.
Analysts have given a consensus recommendation of Hold for Cognyte Software Ltd (CGNT), translating to a mean rating of 3.00. Of 2 analyst(s) looking at the stock, 0 analyst(s) give CGNT a Sell rating. 0 of those analysts rate the stock as Overweight while 2 advise Hold as 0 recommend it as a Buy.
Cognyte Software Ltd (NASDAQ:CGNT) trade information
After registering a -4.88% downside in the last session, Cognyte Software Ltd (CGNT) has traded red over the past five days. The 5-day price performance for the stock is -20.14%, and -7.91% over 30 days. With these gigs, the year-to-date price performance is 3.58%.
The extremes give us $7.5 and $7.5 for target low and target high price respectively. As such, CGNT has been trading 16.29% off suggested target high and 16.29% from its likely low.
CGNT Dividends
Cognyte Software Ltd has its next earnings report out in July. However, it is important to take into account that this dividend yield ratio is just an indicator to only serve the purpose of guidance. Investors interested to invest in the stock should ponder company’s other fundamental and operations related aspects too.
The next major institution holding the largest number of shares is AMERICAN CAPITAL MANAGEMENT INC with 5.9 million shares, or about 8.2173% of shares outstanding. As of the market price on 2024-06-30, these shares were worth $45.08 million.
We also have NEUBERGER BERMAN EQUITY FUNDS-Neuberger Berman Intrinsic Value Fund and WILLIAM BLAIR FUNDS-William Blair Small Cap Value Fund as the top two Mutual Funds with the largest holdings of the Cognyte Software Ltd (CGNT) shares. Going by data provided on Apr 30, 2025 , NEUBERGER BERMAN EQUITY FUNDS-Neuberger Berman Intrinsic Value Fund holds roughly 1.48 shares. This is just over 2.06% of the total shares, with a market valuation of $13.3 million. Data from the same date shows that the other fund manager holds a little less at 559.35, or 0.78% of the shares, all valued at about 5.01 million.