ContextLogic (LOGC) | Stock Overview & Key Data
ContextLogic Performance Comparison
Stock Range
Today's Range
52 Week Range
All-Time High: $20.07 on May 27, 2019
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Key Statistics
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Financial Highlights
Annual Income Flow
2024
Peer Performance Comparison
| Company | Market Cap | 1W | 1M | 3M | 6M | YTD | 1Y | 3Y | 5Y | 10Y | 15Y | 20Y |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
|
ContextLogic
LOGC
|
216.39M Micro-cap | -13.48% | 1.58% | 8.95% | 8.95% | 8.95% | 28.36% | 1,370.83% | -1.12% | -38.61% | -38.61% | -38.61% |
|
Amazon.com
AMZN
|
2.74T Mega-cap | -8.03% | -8.10% | 19.78% | 7.59% | 10.38% | 32.01% | 117.82% | 68.82% | 645.98% | 2,773.04% | 15,454.02% |
|
MercadoLibre
MELI
|
91.72B Large-cap | -3.40% | -9.65% | -4.40% | -22.70% | -16.98% | -33.85% | 33.45% | 27.93% | 1,149.10% | 1,790.78% | 5,849.65% |
|
Qurate Retail
QRTEA
|
888.84M Small-cap | 0.00% | -32.14% | -94.10% | -98.06% | -98.33% | -95.85% | -83.17% | -98.70% | -99.36% | -98.87% | -98.89% |
|
Newegg Commerce
NEGG
|
818.74M Small-cap | -2.31% | -40.45% | -56.77% | -76.09% | -65.17% | 283.68% | -15.59% | -91.10% | -92.65% | -96.07% | -99.06% |
|
ContextLogic
WISH
|
199.12M Micro-cap | 2.27% | 4.53% | 12.50% | 17.80% | 19.05% | 9.51% | 75.05% | 75.05% | 75.05% | 75.05% | 75.05% |
Ownership & Short Interest
Calculate Your ContextLogic Investment Returns
Long-Term Investment Performance Analysis
ContextLogic stock price in Oct 2018 was $11.50, A $1,000.00 lump sum investment in ContextLogic made 6 years ago would be worth approximately $613.91 today, representing a negative return of -38.61%. This translates to an annualized return (CAGR) of -7.04%.
6 Years 8 Months Investment Scenario (Oct 2018 - Jun 2025)
Investment Breakdown
Value Comparison
Disclaimer: This calculator is for informational purposes only and does not consider taxes, fees, or other costs associated with investing. Past performance does not guarantee future results.
Frequently Asked Questions
- What is LOGC's 52-week high and low?
- In the last 52 weeks, ContextLogic reached a high of $9.34 (on N/A) and a low of $4.92 (on August 9, 2024).
- What is the market cap and P/E ratio for LOGC?
- Curious about ContextLogic's size and valuation? Its market capitalization stands at 216.39M. When it comes to valuation, the P/E ratio (trailing twelve months) is -2.81, and the forward P/E (looking ahead) is -202.75.
- Does LOGC pay dividends? If so, what's the yield?
- As for dividends, ContextLogic isn't currently offering a significant yield, or that specific data isn't available right now.
- Who are ContextLogic's main competitors or similar companies to consider before investing?
When looking at ContextLogic, it can be helpful to see how it compares to other players in its field. Here are a few similar companies or key competitors:
Company Mkt Cap Sector Industry 1Y Return 3Y Return Amazon.com
AMZN2.74T Consumer Cyclical Internet Retail 32.01% 117.82% MercadoLibre
MELI91.72B Consumer Cyclical Internet Retail -33.85% 33.45% Qurate Retail
QRTEA888.84M Consumer Cyclical Internet Retail -95.85% -83.17% Newegg Commerce
NEGG818.74M Consumer Cyclical Internet Retail 283.68% -15.59% ContextLogic
WISH199.12M Consumer Cyclical Internet Retail 9.51% 75.05% For a more comprehensive list, please see the Peer Performance Comparison table on this page.
- What are the key financial health indicators for ContextLogic Inc.? (e.g., ROE, Debt/Equity)
- To get a sense of ContextLogic's financial health, here are a few key indicators: its Return on Equity (ROE) over the last twelve months is -10.42%, the Debt to Equity ratio from the most recent quarter is 0.00, and its Gross Profit Margin stands at N/A.
- What is the recent revenue and earnings growth for LOGC?
- Looking at ContextLogic's growth, its revenue over the trailing twelve months (TTM) was $7M. Compared to the same quarter last year (YoY), quarterly revenue grew by N/A, and quarterly earnings saw a YoY growth of -100.00%.
- How much of LOGC stock is held by insiders and institutions?
- Wondering who owns ContextLogic stock? Company insiders (like executives and directors) hold about 2.15% of the shares, while institutional investors (such as mutual funds and pension funds) own approximately 63.80%.
For more common questions about our data, please visit our About Data page.
Data is provided for informational purposes only. Devyara does not guarantee the accuracy of the data displayed.
