In a Neutral regime, VG's AIQ Score of 68/100 with Quality base of 89/100 and accelerating Momentum at 79/100 (Δ+47) signals mixed conviction. Wait for component alignment before adding exposure. Watch momentum trend for confirmation or fading.
Valuation (57/100) is diverging from Momentum (79/100) and Quality (89/100). VG's strong momentum and positive signals are running ahead of fundamental value — a setup that has historically required monitoring for mean reversion. Watch for RSI overbought signals as a confirmation trigger.
Quick Stats
VG's 7-day signal profile is improving with AIQ change of +12.0 points and momentum delta of +47.0. Trend delta is +12.00, which helps frame whether the current move is accelerating or fading.
Snapshot: Mon, 13 Jul 2026 00:00:00 GMT. Baseline: 2026-07-06.
| Date | AIQ | Mom | Val | Qual | Risk |
|---|---|---|---|---|---|
| 2026-07-13 | 68 | 79 | 57 | 89 | 27 |
| 2026-07-12 | 63 | 61 | 57 | 89 | 27 |
| 2026-07-11 | 63 | 61 | 57 | 89 | 27 |
| 2026-07-10 | 63 | 61 | 57 | 89 | 27 |
| 2026-07-07 | 60 | 47 | 57 | 89 | 27 |
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VG (VG) Stock Analysis
VG (VG) has an AIQ Score of 68/100 in a Neutral regime as of Jul 13, 2026. Quality is strongest at 89/100. Risk is weakest at 27/100. The main conflict is that quality leads at 89/100 while risk lags at 27/100.
VG (VG) carries an AIQ Score of 68 out of 100, placing it in a mixed signal regime for this snapshot. A mid-range reading typically means component signals are not fully aligned, so interpretation should focus on what is improving versus what is lagging.
Beta is 5.69, implying roughly 469% higher sensitivity than a broad market baseline.
In the latest weekly profile, AIQ has moved +12.0 points over the last 7 days, momentum delta is +47.0, trend delta is +12.00, risk delta is 0.0. This combination is most useful for judging whether signal quality is strengthening or fading into mean reversion.
| Evidence Layer | Public Evidence |
|---|---|
| Regime Context | VG is in a Neutral AIQ regime with score 68/100. |
| Signal Conflict | The primary conflict is that quality leads at 89/100 while risk lags at 27/100. |
| Factor Evidence | Momentum 79/100 · Value 57/100 · Quality 89/100 · Risk 27/100 |
| Persistence | VG has scored AIQ 60+ in 30 of the last 60 daily snapshots. 30-day avg: 58/100. 60-day avg: 60/100. |
| Checklist | Status | Evidence |
|---|---|---|
| Factor strength | Pass | Quality is the strongest factor at 89/100. |
| Timing | Pass | Momentum is 79/100 with 7-day delta +47.0. |
| Regime fit | Pass | VG is in a Neutral regime at 68/100. |
| Risk control | Pass | Risk factor is 27/100 with beta of 5.69 indicates above-market sensitivity. |
| Conflict | Wait | Current conflict: quality leads at 89/100 while risk lags at 27/100. |
VG's 7-day signal profile is improving with AIQ change of +12.0 points and momentum delta of +47.0. Trend delta is +12.00, which helps frame whether the current move is accelerating or fading.
Signal snapshot as of Mon, 13 Jul 2026 00:00:00 GMT. 7-day comparison baseline: 2026-07-06.
| Metric | Current |
|---|---|
| AIQ Score | 68/100 |
| Price | $13.36 |
| Beta | 5.69 |
VG vs Technology Peers
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VG Stock FAQ
What does the VG AIQ Score mean?
AIQ Score summarizes multiple factors for VG, including momentum, value, quality, and risk. Higher scores generally indicate stronger combined signals, but you should still validate with your own risk tolerance.
How often is VG data updated?
VG quote and scoring components refresh on the platform cadence. Always confirm timestamp freshness on-page before making time-sensitive decisions.
Should I compare VG with an index before investing?
Yes. Comparing VG versus benchmarks like SPY or QQQ helps you separate stock-specific strength from broader market moves.
Where can I review deeper VG fundamentals, technicals, and risk?
Use the Fundamentals, Technicals, and Risk tabs from this page to inspect driver-level metrics behind the headline score.
How the AIQ Score Is Built
Methodology, factor weights, and how to interpret score history
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