Venture Global, Inc. (VG) is trading at $12.75, which is -46.7% below its all-time high of $23.90. The Drawdown Severity Score is 5.8, placing it in the red (severe) zone. Over its tracked history, VG has experienced 0 significant drawdown events with an average maximum drawdown of -75.4%.
Data last updated: April 14, 2026 at 08:02 AM EDT
VG
StockVenture Global, Inc.
Price
$12.75
as of Apr 13, 2026
All Time High: $23.90
Strong
Current Drawdown
-46.7%
Days in Drawdown
441
Avg Max Drawdown
75.4%
Avg Length
N/A
Drawdown Severity Score™
5.8
VG - Price & High Water Mark
VG - Drawdown Timeline
How to read this chart: Negative values indicate drawdowns from all-time highs. Values closer to 0% mean the stock is near its high water mark.
Venture Global, Inc. (VG) Analysis: Current Drawdown Insights
Venture Global, Inc. is currently experiencing an unusual drawdown opportunity. As of 2026-04-13, the stock is trading at $12.75, which represents a 46.7% decline from its all-time high of $23.90. This drawdown has persisted for 441 days.
Based on comprehensive historical analysis spanning 1 year, Venture Global, Inc. typically experiences drawdowns averaging 75.4% in depth, with an average duration of data pending. Venture Global, Inc. has gone through 0 total drawdown events in the last 1 year.
The Drawdown Severity Score™ for Venture Global, Inc. currently stands at 5.85. This is our proprietary indicator that shows the relative severity of the current drawdown based on the asset's unique historical patterns. A score between 5.0 and 8.0 indicates a rare, significant drawdown—the asset seldom sees declines at this level. This may represent a buying opportunity for value-focused investors with strong conviction.
Understanding Drawdowns: A drawdown measures how far a stock has fallen from its peak price. Every stock experiences drawdowns—periods when the price declines from all-time highs before recovering. By analyzing Venture Global, Inc.'s historical drawdown patterns, investors can identify when the stock is experiencing a typical market fluctuation versus an unusual decline that may represent a buying opportunity.
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