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VCI Global Ltd Inc. (VCIG) Price Performance: A Technical Analysis Perspective

Investors’ outlook regarding the stock price performance over the year has been a mixed bag, with a range of optimism to pessimism depending on their perspective. The index has shown a price loss of -97.13% this year. Over the last six months, there has been a stronger performance of -90.93%. The price of VCIG leaped by -19.38% during the last 30 days period. For the last 5-days stocks have improved 61.01%.

VCI Global Ltd experienced a rather shaky stock market performance. The highest value in the past year was recorded at $147.00 on 12/14/23 and the lowest value was $1.38 on 11/13/24.

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52-week price history of VCIG Stock

Analyzing a stock’s 52-week high and low prices can offer important information about its present condition and future outlook. VCI Global Ltd’s current trading price is -97.84% away from its 52-week high, while its distance from the 52-week low is 130.43%. The stock’s price range during this period has varied between$1.38 and $147.00. The VCI Global Ltd’s shares, which operate in the Industrials, saw a trading volume of around 7.09 million for the day, a figure considerably higher than their average daily volume of 4.84 million over last three months.

Market Capitalization vs. Financial Performance: A Comparative Study

VCI Global Ltd (VCIG) has experienced a quarterly decline of -54.43% in its revenues when compared to the same period in the previous year. Presently, the company has a total market capitalization of 13.62M and boasts a workforce of 102 employees.

Combining Moving Average and Trading Volume Data for Better Market Insight

Based on Barchart.com data, the company’s moving average over the 100-day period was 8.49, with a change in price of -22.79. Similarly, VCI Global Ltd recorded 3,188,723 in trading volume during the last 100 days, posting a change of -87.76%.

VCIG Stock Stochastic Average

VCI Global Ltd’s raw stochastic average for the past 50 days is presently 24.19%, as of today. This marks a decrease from the raw stochastic average of the last 20 days, which was 28.30%. Additionally, the company’s Stochastic %K and %D values for the past 20 days were 39.47% and 38.92%, respectively.

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