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Analyzing the stock…
70
Gathering technical, fundamental, and market data — a few seconds
· · NYSE
$3.04
▲ $0.02 (+0.7%)
Market data updated: 09/18 08:02 AM
News analyzed: 09/18/2026
Market Cap
Not available
Day Range
$3.02 - $3.04
52-Week Range
$2.40 - $3.31
Beta
—
Next Earnings
08.03.2027
+15.1% (1Y)
⚠️ Insufficient data for a reliable StockIQ Score
Only 3 of 7 categories available — Fundamental, Growth, Valuation, Quality unavailable.
Strengths: 11/14 factors positiveRisk: Medium
This score and all analysis on this page are for informational and educational purposes only and do not constitute investment advice. Read the full disclaimer
Weighted: Technical 25% · Fundamental 20% · Growth 15% · Valuation 15% · News 10% · Quality 10% · Risk 5%
Overall Score
🟢 Bullish
Technical Trend
🟢 Bullish
Insiders
🟢 Bullish
Computed directly from the same signals behind the score above — not AI-generated.
Biggest positive driver
Daily volatility (ATR)
ATR: 1.8% of price
Risk
Biggest negative driver
Stochastic
%K 95.0 — overbought
Technical
What to watch next
When today echoes the past.
NO RELIABLE ECHO FOUND
Only 0 historical analog(s) found after removing overlapping dates — too few for a statistically meaningful comparison.
Historical matches considered: 0
TIME ECHO identifies historical situations that resemble the current market state. Historical outcomes are not guarantees of future performance. Similarity does not imply causation, and results may change as new data becomes available.
The stock registers a solid overall investorScore of 74, driven primarily by strong technical fundamentals and a moderate risk profile. Technical analysis shows the price comfortably above both the 50‑day and 200‑day moving averages, a positive MACD histogram, and an RSI of 59.3, all indicating healthy upward momentum. The %K reading of 86.9, however, flags an overbought condition that could limit short‑term upside. Risk indicators reveal an ATR of 1.9% of price and a Calmar ratio of 0.97, suggesting modest price volatility but a risk‑adjusted return that barely exceeds the maximum drawdown. The news category is neutral with a score of 50 and no supporting evidence, reflecting a lack of recent catalyst information. Concerns such as a negative 20‑day CMF and the overbought %K temper the bullish technical signals. Together, these elements produce a strong yet nuanced rating, where technical strength is offset by limited news context and modest risk metrics, resulting in the current composite score.
Technical indicators are largely positive: price is above the 50‑day and 200‑day moving averages, MACD histogram is positive, and RSI sits at 59.3, though %K at 86.9 signals an overbought condition.
These metrics indicate trend strength but also hint at possible short‑term price exhaustion.
The news category holds a neutral score of 50 with no evidence supplied.
Absence of recent news data limits insight into potential catalysts.
Risk metrics show an ATR of 1.9% of price and a Calmar ratio of 0.97 (19.3% annual return vs. 20% max drawdown).
Higher volatility and a near‑break‑even risk‑adjusted return increase downside risk.
StockIQ conclusion
The composite score of 74 reflects a strong technical foundation tempered by moderate risk and a neutral news environment. While trend indicators are favorable, overbought signals and limited catalyst information suggest caution. Future earnings, macro conditions, or new news could materially adjust the assessment.
Written automatically from the computed data shown on this page only — not investment advice.
🗓️ What Changed This Week
🌱 Building History
We don't have a real data point from a week ago for this stock yet. The weekly comparison will appear once enough history has accumulated.
📊 Score History
75
Today
—
30D
—
90D
—
1Y
🐂🐻 Investment Thesis
🐂 Bull Case
🐻 Bear Case
🔍 What Could Prove This Wrong
This isn't a price-direction forecast — just a synthesis of real, already-computed data, and future conditions that could change the picture.
🕰️ StockIQ Time Machine
What did StockIQ know — and when? Pick a date from the real accumulated history.
As of September 16, 2026
Then
75
$3.05
Now
75
$3.04
What happened since
Signals detected by this date
No signals detected by this date
🧬 STOCK DNA
This stock's profile across 8 real dimensions — a research tool, not a recommendation
Growth
No data available
Quality
No data available
Value
No data available
Momentum
89
Risk
58
Sentiment
50
Fundamental
No data available
Institutional
100
Stocks with a similar DNA right now
This stock hasn't been analyzed by StockIQAI's movement engine yet — coverage is still expanding. Check back soon.
🌡️ Emotional Temperature
29
🎯 Conviction (vs. Emotion)
50
Psychology
80
Fundamentals
—
Technical
89
Valuation
—
The price is holding at a real, documented historical support/resistance level (a 50-day high or low).
Price, volume, and sentiment accelerating together — a sign investors are chasing the price, not just following it.
A sharp drop, unusual volume, and negative news sentiment all at once — selling pressure that looks emotional.
Extreme momentum, price far above its moving average, and a large premium over fair value.
The stock is moving in lockstep with its peers at the same intensity, rather than on its own data.
Price (3M)
+8%
Market Narrative
48
Fundamental Reality
50
Narrative Gap
-2
📈 3D Investor Psychology
Signal classification confidence: Medium (confidence in the behavioral read, not a price prediction). Describes observable market behavior, not what any individual investor thinks, and is not a buy/sell signal.
🏛️ Investor DNA — Historical Investors
A Historical Strategy Simulation: assuming each investor follows their documented principles, how would they rate this stock today? This is not a prediction of what they would actually do.
🟢 Best match
Thorstein Veblen — 80/100
🔴 Weakest match
Samuel Armstrong Nelson — 10/100
Thorstein Veblen
The Theory of Business Enterprise (1904)
🟢 80
Growth appears aligned with real value creation
Key question
Is management building real value, or just building itself?
⚠️ Partial data for this stock — score is less reliable — Data availability: 30%
Fact → Principle → Simulation
Charles Mackay
Extraordinary Popular Delusions and the Madness of Crowds (1841)
🟢 78
No obvious signs of crowd mania
Key question
Am I being swept along with the crowd, or thinking for myself?
Fact → Principle → Simulation
Morgan Housel
The Psychology of Money (2020)
🟢 73
The kind of quiet compounder a patient holder could actually stick with
Key question
Could I live with this volatility long enough for compounding to actually work?
⚠️ Partial data for this stock — score is less reliable — Data availability: 30%
Fact → Principle → Simulation
Howard Marks
The Most Important Thing (2011) / Mastering the Market Cycle (2018)
🟢 70
Risk appears reasonably priced — no obvious cycle-timing red flag
Key question
What is the market probably misunderstanding about the risk here?
Fact → Principle → Simulation
Jesse Livermore
Reminiscences of a Stock Operator (1923) / How to Trade in Stocks (1940)
🟢 69
No clear trend — Livermore preferred to stay out of this
Key question
What is the price telling me right now?
Fact → Principle → Simulation
Gerald M. Loeb
The Battle for Investment Survival (1935)
🟢 65
Reasonable capital-preservation profile
Key question
How much capital could I lose here if I'm wrong?
Fact → Principle → Simulation
Edgar Lawrence Smith
Common Stocks as Long-Term Investments (1924)
🟡 57
Not enough dividend/growth data for a real Smith read
Key question
Is this a stock I'd be happy to hold and forget about for a decade?
⚠️ Partial data for this stock — score is less reliable — Data availability: 25%
Fact → Principle → Simulation
Jack Schwager
Market Wizards (1989)
🟡 52
No clear edge either way
Key question
What's the risk/reward here, and where is my exit point?
Fact → Principle → Simulation
Howard Marks (Market Cycle)
Mastering the Market Cycle (2018)
🟡 52
Somewhere in the middle of the cycle
Key question
Where are we in the cycle right now — near a hot extreme, or a cold one?
Fact → Principle → Simulation
Benjamin Graham
Security Analysis (1934) / The Intelligent Investor (1949)
🟡 50
Not enough balance-sheet/valuation data for a real Graham read
Key question
Where is my margin of safety?
⚠️ Partial data for this stock — score is less reliable — Data availability: 0%
Philip Fisher
Common Stocks and Uncommon Profits (1958)
🟡 50
Not enough fundamentals data for a real Fisher read
Key question
How exceptional is this business, really?
⚠️ Partial data for this stock — score is less reliable — Data availability: 0%
Peter Lynch
One Up on Wall Street (1989)
🟡 50
Not enough growth data for a real Lynch read
Key question
Is the growth worth the price?
⚠️ Partial data for this stock — score is less reliable — Data availability: 0%
Walter Bagehot
Lombard Street (1873)
🟡 50
Not enough balance-sheet data for a real Bagehot read
Key question
Does this company have enough liquidity to survive real stress?
⚠️ Partial data for this stock — score is less reliable — Data availability: 0%
Benjamin Graham (Enterprising Investor)
The Intelligent Investor (1949) — the Enterprising Investor chapters
🟡 50
Not enough valuation data for a real Enterprising-Graham read
Key question
Is the stock statistically cheap enough to justify the extra risk?
⚠️ Partial data for this stock — score is less reliable — Data availability: 0%
Burton Malkiel & John Bogle
A Random Walk Down Wall Street (1973) / The Little Book of Common Sense Investing (2007)
🟡 47
Mixed case — the evidence for picking this stock over an index is not strong
Key question
Do I actually have an edge here, or do I just think I do?
Fact → Principle → Simulation
Samuel Armstrong Nelson
The ABC of Stock Speculation (1903)
🔴 10
Cycle looks stretched toward overbought
Key question
Is the price overextended, or is there still room to move?
Fact → Principle → Simulation
Based on the last 258 trading days, calculated from real price data. Click an indicator for details and a chart.
🟢 Most indicators support an uptrend (10 bullish · 1 bearish · 1 neutral)
A market-structure read based purely on real price and volume data — not full classic Wyckoff schematic identification (Phase A-E), but a quantitative analysis of what can reliably be computed: trading ranges, "effort vs. result", volume within the range, and Spring/Upthrust detection.
A trading range after an advance, but still without clear (volume-based) confirmation of a distribution phase.
Low confidence
$2.66
Range Bottom
$3.07
Range Top
50
Trading Days in Range
The Wyckoff Method, developed by Richard Wyckoff in the early 20th century, reads the balance of supply and demand through price and volume, based on the premise that large investors ("smart money") quietly accumulate shares before rallies and quietly distribute them before declines. The read here is based solely on real price and volume data — full, precise identification of classic Wyckoff patterns (such as Phases A-E) requires human chart-reading experience and judgment, so this is an approximate algorithmic read, not a substitute for professional analysis. This should not be considered investment advice.
Total dividend per share paid each year, over the last 5 years.
| Ex-Dividend Date | Amount per Share |
|---|---|
| 18.12.2025 | $0.021 |
| 18.12.2024 | $0.022 |
| 15.12.2023 | $0.015 |
| 19.12.2022 | $0.004 |
| 20.12.2021 | $0.023 |
Sentiment based on basic keywords (not AI) — 0 positive, 0 neutral, 0 negative out of the last 0 articles.
No recent articles found for this stock.
StockIQ doesn't currently have enough real data to compute a reliable score for RENN Fund, Inc. (RCG) — only 3 of 7 categories are available right now. Rather than show a misleading number, this page shows which data is missing instead.
StockIQ doesn't give buy/sell recommendations — and for RCG specifically, there currently isn't enough real data (only 3 of 7 categories available) to state even a factual score reliably. Check back once more data is available.
RCG's technical score is 89/100, which currently reads as bullish — based on real price/volume signals (moving averages, RSI, MACD, and more), not a prediction of what happens next.
Based on the real signals StockIQ computed: ATR: 1.8% of price; Price is above the 50-day average; Price is above the 200-day average.
Based on the real signals StockIQ computed: %K 95.0 — overbought.
Yes — RCG has a real recorded dividend payment history on StockIQ. See the Dividends section on this page for the actual per-share amounts and dates.
Real transactions by officers and insiders, as reported to the SEC on Form 4 — 25 purchases and 0 sales out of the last 25 filings.
| Name | Transaction Type | Date | Shares | Change | Price |
|---|---|---|---|---|---|
| HORIZON KINETICS ASSET MANAGEMENT LLC | Open Market Purchase | 10.9.2026 | 756 | +756 | $2.94 |
| HORIZON KINETICS ASSET MANAGEMENT LLC | Open Market Purchase | 9.9.2026 | 756 | +756 | $2.95 |
| HORIZON KINETICS ASSET MANAGEMENT LLC | Open Market Purchase | 8.9.2026 | 756 | +756 | $2.95 |
| HORIZON KINETICS ASSET MANAGEMENT LLC | Open Market Purchase | 4.9.2026 | 756 | +756 | $2.90 |
| HORIZON KINETICS ASSET MANAGEMENT LLC | Open Market Purchase | 3.9.2026 | 756 | +756 | $2.95 |
| HORIZON KINETICS ASSET MANAGEMENT LLC | Open Market Purchase | 2.9.2026 | 756 | +756 | $2.95 |
| HORIZON KINETICS ASSET MANAGEMENT LLC | Open Market Purchase | 1.9.2026 | 756 | +756 | $2.95 |
| HORIZON KINETICS ASSET MANAGEMENT LLC | Open Market Purchase | 31.8.2026 | 756 | +756 | $2.95 |
| HORIZON KINETICS ASSET MANAGEMENT LLC | Open Market Purchase | 28.8.2026 | 959,880 | +756 | $2.95 |
| HORIZON KINETICS ASSET MANAGEMENT LLC | Open Market Purchase | 28.8.2026 | 756 | +756 | $2.95 |
| Kesslen Jay H | Open Market Purchase | 27.8.2026 | 47,880 | +1,000 | $2.95 |
| HORIZON KINETICS ASSET MANAGEMENT LLC | Open Market Purchase | 27.8.2026 | 959,124 | +756 | $2.94 |
| HORIZON KINETICS ASSET MANAGEMENT LLC | Open Market Purchase | 27.8.2026 | 756 | +756 | $2.94 |
| Kesslen Jay H | Open Market Purchase | 27.8.2026 | 1,000 | +1,000 | $2.95 |
| HORIZON KINETICS ASSET MANAGEMENT LLC | Open Market Purchase | 26.8.2026 | 958,368 | +756 | $2.95 |
| Kesslen Jay H | Open Market Purchase | 26.8.2026 | 46,880 | +1,000 | $2.95 |
| Kesslen Jay H | Open Market Purchase | 26.8.2026 | 1,000 | +1,000 | $2.95 |
| HORIZON KINETICS ASSET MANAGEMENT LLC | Open Market Purchase | 26.8.2026 | 756 | +756 | $2.95 |
| HORIZON KINETICS ASSET MANAGEMENT LLC | Open Market Purchase | 25.8.2026 | 957,612 | +756 | $2.95 |
| Kesslen Jay H | Open Market Purchase | 25.8.2026 | 45,880 | +1,000 | $2.93 |
| Kesslen Jay H | Open Market Purchase | 25.8.2026 | 1,000 | +1,000 | $2.93 |
| HORIZON KINETICS ASSET MANAGEMENT LLC | Open Market Purchase | 25.8.2026 | 756 | +756 | $2.95 |
| HORIZON KINETICS ASSET MANAGEMENT LLC | Open Market Purchase | 24.8.2026 | 956,856 | +756 | $2.95 |
| Kesslen Jay H | Open Market Purchase | 24.8.2026 | 44,880 | +1,000 | $2.95 |
| Kesslen Jay H | Open Market Purchase | 24.8.2026 | 1,000 | +1,000 | $2.95 |
Official FINRA data — the number of shares open in short positions, plus daily short-sale activity.
12,561 shares short as of 2026-08-31 · vs. 6,122 on 2026-07-31
Official biweekly report (FINRA Rule 4560) — no real higher-frequency data exists for this metric.
52.3% of trading volume this week was short selling, vs. 74.7% the prior week
Based on daily short-sale volume (Reg SHO) — a different metric from the open short interest above: this is daily trading volume, not an open position, so it updates weekly rather than biweekly.
Full breakdown of every data type and its source: Data Sources · Methodology