144 institutions hold shares in Churchill Capital Corp IV (CCIV), with institutional investors hold 54.18% of the company’s shares. The shares outstanding are 258.75M, and float is at 155.25M with Short Float at 8.93%. Institutions hold 54.18% of the Float.
Even if you’re not actively in crypto, you deserve to know what’s actually going on...
Because while leading assets such as Bitcoin (BTC) and Ethereum (ETH) are climbing in value, a select group of public “crypto stocks” are surging right along with them. More importantly, these stocks are outpacing the returns these leading crypto assets aren already producing.
Click here to get the full story… along with our long list of backdoor Bitcoin strategies. It’s free.
The top institutional shareholder in the company is Millennium Management LLC with over 7.43 million shares valued at $74.37 million. The investor’s holdings represent 3.59% of the CCIV Shares outstanding. As of Dec 30, 2020, the second largest holder is Karpus Management Inc with 7.03 million shares valued at $70.37 million to account for 3.40% of the shares outstanding. The other top investors are Alberta Investment Managament Corp which holds 4.88 million shares representing 2.36% and valued at over $48.8 million, while Fort Baker Capital Management LP holds 2.18% of the shares totaling 4.51 million with a market value of $45.18 million.
Churchill Capital Corp IV (NYSE: CCIV) is 127.97% higher on its value in year-to-date trading and has touched a low of $9.60 and a high of $64.86 in the current 52-week trading range. The question becomes, what are the chances the stock will continue to grow shareholders’ wealth in the market. Here’s what analysts think will happen to its price in the coming time. The CCIV stock was last observed hovering at around $24.46 in the last trading session, with the day’s loss setting it -1.64%.
Currently trading at $22.82, the stock is -9.61% and -23.74% below its SMA20 and SMA50 respectively. However, with a daily trading volume of 15.19 million and changing -6.70% at the moment leaves the stock 29.33% off its SMA200. CCIV registered a gain of 135.02% in past 6-months. The firm has a 50-day simple moving average (SMA 50) of $30.63 and a 200-day simple moving average (SMA200) of $17.55.
The stock witnessed a 3.30% loss in the last 1 month and extending the period to 3 months gives it a 127.74%, and is -2.93% down over the last 5 days. If we measure the stock’s price variations over the week and the month, we find that the volatility rates stand at 7.00% over the week and 9.07% over the month.
Distance from 52-week low is 137.71% and -64.82% from its 52-week high.