VZLA (VZLA) AIQ Analysis

VZLA AIQ Score is 39/100 for investment merit, with Sharpe 1.40.

Last updated: Jul 27, 2026, 9:17 AM UTC

AIQ Regime
Bearish
AIQ Score (0-100)
39/100
Primary signal: investment merit.
Smart Score (1-10)
Secondary signal: relative rank vs peers.
Price
$3.30

AIQ Brief

VZLA is currently in a defensive setup with AIQ 39/100 at $3.30. Risk is moderate. Read this as a prioritization signal, then confirm entry quality and sizing with your own risk plan.

Risk is the strongest contributor at 49/100, while Quality is the binding constraint at 30/100. With a 19-point spread, the profile is reasonably balanced without a single dominant weakness.

VZLA ranks 3/4 in this peer set (39 vs peer average 44.8). On risk-adjusted efficiency, Sharpe is above peer average (1.40 vs -0.33). This helps distinguish true relative leadership from broad sector drift.

Action now: this is a defensive setup. Prefer smaller tactical sizing, tighter risk controls, or watchlist-only status until momentum and risk stabilize.

Sharpe is 1.40, indicating strong risk-adjusted return for this snapshot.

AIQ ComponentScoreSignal Read
Momentum43Mixed trend quality with uneven follow-through.
ValueValue diagnostics are currently unavailable.
Quality30Quality profile is weak versus peers.
Risk49Risk profile is moderate and manageable.
SentimentSentiment signal is currently unavailable.

Peer Comparison Snapshot

SymbolAIQSmartiSharpei
VZLA391.40
WPM496-0.27
AEM53-2.51
AG3820.05

Current AIQ Read

VZLA currently screens as bearish, indicating weaker factor alignment and a higher caution threshold for new entries.

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