VG technical analysis

VG Technical Analysis

Analysis date

July 15, 2026

Market

NYSE (USD)

Daily cutoff

July 14, 2026

Reliability

Passed

Informational use only. This page is not investment advice.

Data verification

VG Data Verification

Cross-validating the latest completed daily bar across independent sources.

Symbol
VG
Market
NYSE
Currency
USD (US Dollar)
Latest completed bar
July 14, 2026

No adjustment factor (adjusted close equals raw close, factor 1.0). No stock splits or dividend adjustments affecting the analysis period.

SourceLatest CloseDateDifferenceStatus
Yahoo Finance Chart API (primary)12.53July 14, 2026-Verified
Finviz (independent)12.53July 14, 2026 (previous close)0.00%Verified

Bottom line

VG Technical Analysis Summary

VG (Venture Global) shows a technically challenged picture on both daily and weekly timeframes. On the daily chart, price at 12.53 is above SMA20 (8.86) and SMA50 (11.68) but below SMA100 (13.27), creating a mixed structure where short-term momentum has improved from deeply oversold levels while the medium-term trend remains uncertain. RSI14 at 26.06 on the daily chart is in oversold territory, which can sometimes precede a bounce but can also persist in a downtrend. The daily MACD at -1.11 is deep in negative territory, and the histogram at -0.08 is barely negative, offering no clear crossover signal. The weekly timeframe shows price at 11.74 below SMA20 (11.99), SMA50 (12.67), and SMA200 (13.81), confirming the longer-term trend remains bearish. Weekly RSI at 45.72 is below the 50 midline, suggesting weak momentum. Key resistance lies at SMA100 (13.27) and the 20-day high (13.40). Support rests at 11.45 to 11.70 (near SMA50) and 8.85 to 9.25 (near SMA20). A sustained move above 13.27 would be the first bullish confirmation; a breakdown below the SMA50 support band would suggest further downside.

Multi-timeframe dashboard

Multi-Timeframe Technical Dashboard

Comparing daily (2-year) and weekly (5-year) perspectives to identify aligned or conflicting signals.

Daily (July 14, 2026)

Trend
Recovery attempt within a downtrend. Price at 12.53 is above SMA20 (8.86, +41.42%) and SMA50 (11.68, +7.28%) but below SMA100 (13.27, -5.58%). The SMA20 and SMA50 are sloping upward from deeply oversold levels, but SMA100 continues to decline. The wide gap between SMA20 and SMA100 reflects the sharp sell-off and recent rebound.
Momentum
Oversold with potential for a bounce. RSI14 at 26.06 is deep in oversold territory (below 30), which historically can precede a mean-reversion bounce. MACD at -1.11 is deeply negative with the signal line at -1.19 and histogram at 0.08, showing a barely positive histogram that suggests bearish momentum may be decelerating slightly, but no bullish crossover has been confirmed.
Volatility
High. ATR14 at 0.54 (4.31% of price) suggests average daily movement of about 4.3%, which is elevated for a stock at this price level. Bollinger Bands are wide, reflecting the high-volatility environment typical of a recently listed LNG company with significant commodity exposure.
Volume
Above average. Latest volume of 15,570,000 is 135% of the 20-period average, indicating elevated participation during the recent volatility. High volume during the sell-off and recovery suggests strong conviction from both sellers and buyers.

Assessment

The daily chart shows a stock that sold off sharply and is attempting to recover. Price has reclaimed SMA20 and SMA50 from deeply oversold levels, which is a positive short-term development. However, RSI in oversold territory (26.06) and the deeply negative MACD (-1.11) indicate that momentum remains bearish overall. The elevated ATR (4.31%) reflects the high-volatility environment typical of a commodity-linked stock with significant debt and construction execution risk. Volume has been above average, suggesting active participation. A sustained move above SMA100 (13.27) would be needed to signal a more meaningful trend improvement.

Weekly (July 6, 2026 week)

Trend
Bearish. Price at 11.74 is below SMA20 (11.99), SMA50 (12.67), and SMA200 (13.81). All three SMAs are sloping downward, confirming a structural downtrend. The stock has been declining since the post-IPO highs above 18.00.
Momentum
Bearish with early deceleration signs. RSI14 at 45.72 is below the 50 midline, indicating bearish momentum. MACD at -0.95 with signal at -0.72 and a histogram at -0.23 shows negative momentum that is decelerating, though no crossover signal has emerged. The weekly MACD has been declining for several months.
Volatility
High. ATR14 at 1.05 (8.94% of price) reflects the wide weekly ranges typical of a high-beta LNG stock. The Bollinger Bands are wide, with the lower band reflecting the recent lows near 8.50.
Volume
Above average. Weekly volume of 68,400,000 is 120% of the 20-week average, indicating elevated participation during the downtrend and recovery attempt.

Assessment

The weekly chart confirms a bearish structure with price below all major SMAs, all of which are declining. RSI below 50 and negative MACD reinforce the bearish picture. However, the stock has bounced from the 52-week low area near 8.85 and is attempting to build a base. The weekly ATR at 8.94% of price underscores the high-risk nature of this name. A weekly close above SMA20 (11.99) would be the first step toward trend improvement, followed by SMA50 (12.67). The overall structure remains bearish until the stock can reclaim and hold above SMA200 (13.81).

Key indicators

VG Key Technical Indicators

RSI, MACD, moving averages, ATR, and Bollinger Bands across daily and weekly timeframes.

IndicatorDailyWeekly
RSI (14)26.0645.72
MACD (12, 26, 9)-1.11 / -1.19 / 0.08-0.95 / -0.72 / -0.23
ATR (14)0.54 (4.31%)1.05 (8.94%)
Bollinger Bands (20, 2)6.36 - 12.147.92 - 16.88
SMA (20)8.8611.99
SMA (50)11.6812.67
SMA (200)13.2713.81

Price structure

VG Price Structure and Returns

Price performance across multiple lookback periods and 52-week position.

MetricDailyWeekly
Current Price12.5311.74
1-Period Return+0.24%+0.95%
5-Period Return+8.30%+14.10%
20-Period Return+41.54%+5.96%
60-Period Return+8.96%-5.40%
252-Period Return-28.45%-30.53%
52-Week Low8.858.85
52-Week High18.1818.18
52-Week Position39.16%36.04%

Key levels

VG Support and Resistance Levels

Key price levels based on recent swing highs and lows across daily and weekly timeframes.

LevelDailyWeekly
20-Period High13.4016.88
20-Period Low8.858.85
60-Period High14.1218.18
60-Period Low8.858.85

Scenarios

VG Technical Scenarios

Conditions, invalidation triggers, and what to watch for each scenario.

Bullish

Trigger

Price breaks above SMA100 (13.27) on the daily chart with above-average volume, establishing a recovery trend.

Invalidation

Price falls back below SMA50 (11.68) and breaks the 20-day low at 8.85.

What to watch

Daily RSI recovering above 40; MACD histogram turning more positive; weekly RSI climbing above 50; volume increasing on break attempts; LNG margin and project execution news.

Range-Bound

Trigger

Price oscillates between SMA50 support (11.68) and SMA100 resistance (13.27) with no clear directional bias.

Invalidation

A decisive break above 13.27 or below 11.68 with increasing volume.

What to watch

RSI staying between 25 and 50; MACD histogram fluctuating around zero; volume remaining near average levels; commodity spread and debt news.

Bearish

Trigger

Price fails to hold above SMA50 (11.68) and breaks below the 20-day low at 8.85, resuming the structural downtrend.

Invalidation

Price reclaims and holds above SMA50 (11.68) and establishes a higher low above 8.85.

What to watch

Daily RSI falling below 30 again; MACD histogram turning more negative; volume increasing on down days; weekly MACD declining further; adverse LNG or debt news.

Methodology

Methodology and Limitations

This technical analysis uses adjusted closing prices from Yahoo Finance (primary) and Finviz (independent cross-validation). The daily analysis covers approximately 1 year (251 completed bars) ending July 14, 2026. The weekly analysis covers approximately 2 years (104 completed bars) ending the week of July 6, 2026. Prices are adjusted for dividends and stock splits using the adjusted close/raw close ratio. Volume data is from the primary source and may not match other data providers. Technical indicators include SMA, RSI, MACD, ATR, and Bollinger Bands using standard parameters. Key levels are identified from recent swing highs and lows. Technical analysis studies historical price patterns and does not constitute investment advice. It should not be used as the sole basis for trading decisions.

Frequently Asked Questions

This technical analysis is for informational and educational purposes only. It does not constitute investment advice, a recommendation, or a solicitation to buy or sell any security. Past performance and historical patterns are not guarantees of future results. All investments carry risk, including the potential loss of principal. Always conduct your own research and consult with a qualified financial advisor before making investment decisions.

Data sourced from Yahoo Finance (primary) and Finviz (independent cross-validation). Data cutoffs: daily July 14, 2026, weekly July 6, 2026 week. Generated July 15, 2026.