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Educational research only—not investment advice or a recommendation. Scores and estimates may use delayed, incomplete, restated, or corrected market and filing data. Independently verify information before making an investment decision.

Venture Global, Inc.

VGNYSE
Wall Street Score · overall investment62/100
$13.13USD+$0.36 (+2.82%)
Company website ventureglobal.com
Headquarters1001 19th Street North, Arlington, VA, 22209, US
Financial statement currencyUSD · no FX conversion applied
Energy · Oil & Gas Midstream
Price updated todayFinancials updated Oct 1, 2026
Price Chart$-1.35 (-9.32%)
2026-09-042026-09-092026-09-112026-09-152026-09-172026-09-212026-09-232026-09-252026-09-292026-10-02$12.35$13.30$14.25$15.20$16.15

Company & revenue

About Venture Global, Inc.

Financial breakdown: year ended 2025-12-31

Who they are

Venture Global, Inc., a liquefied natural gas (LNG) company, engages in the ownership, development, construction, and operation of LNG production facilities and associated infrastructure in the U. S. Gulf Coast.

Brands & revenue mix

Calcasieu Pass

LNG production facility located in Louisiana.

Separate brand revenue is not available in this research.

Plaquemines LNG

LNG production facility located in Louisiana.

Separate brand revenue is not available in this research.

CP2 LNG

LNG production facility located in Louisiana.

Separate brand revenue is not available in this research.

Revenue share is not unit sales or a best-seller ranking. Parent brands and included sub-brands can overlap; do not add overlapping rows.

Customer concentrationPREMIUM

The company has disclosed ongoing arbitration and regulatory matters involving Shell NA LNG LLC and BP Gas Marketing Limited regarding LNG supply agreements.

Wall Street Score

Overall investment score · Quality, value, risk and opportunity

62

Fair

PoorElite

View category scores →

Company Quality

How good is the actual business—regardless of today’s stock price?

67

Fair

Financial Strength

36

Business Quality / Moat

88

Management

71

Growth Quality

86

Risk / Durability

70

Cheap for a Reason · Review the Risks

Uses financial strength, moat, management, growth quality and durability. It excludes share price, P/E, market cap, intrinsic value and margin of safety.

Opportunity

Opportunity Score · How does the current price compare with estimated value?

77

Fair

Based on current valuation, company quality, recent trends, and available market signals.

View score details →

Model Outlook

12-month model · What does the model think happens next?

75/100

Building Historical Record

Model Score 75/100 — estimates relative performance potential, distinct from WallStreetScore (company quality).

Probability unavailable — the model has not produced a calibrated probability yet.

Click for full breakdown →

WSS View

The quick read

WSS currently rates the company as mixed to moderately strong.

At today’s price, the WSS valuation framework currently reads as relatively attractive.

The model outlook is currently positive.

What we like
  • •Asset quality scores strongly
  • •Valuation scores attractively
What to watch
  • •Elevated debt risk
  • •Debt / balance-sheet profile needs attention

Company-specific research

Questions worth answering for VG

Research inputs 100% complete

These questions are generated from this company's current financial and score data so the page adds context instead of treating the headline score as a stand-alone conclusion.

  • •Can VG maintain its current revenue growth rate and improve the amount of that revenue that turns into earnings and cash?
  • •How long can VG fund negative free cash flow using its current cash position before it may need more debt or new shares?
  • •Is VG's debt load manageable relative to cash generation, interest costs and upcoming maturities?
  • •Is VG's valuation discount tied to a temporary concern or to a longer-term business risk?
  • •What does the current fundamental change risk warning mean for the reliability or interpretation of VG's score?
Elevated debt risk
Business analysis: 30 days ago · Fresh

Essential Investment Snapshot

Wall Street Score

62

0–100 · Fair

Opportunity Score

77

0–100 · Strong

Market Cap

$32.06B

P/E Ratio

9.4

EPS

$1.36

52-Week High

$17.62

52-Week Low

$5.72

Beta

0.22

Intrinsic Value

$52.36

Analyst Target

$15.50

Shares Outstanding

2.63B

Total Debt

$42.81B

Dividend Yield

1.22%

View dividend history

Liquidation Value / Share

$4.58

Estimated net asset value per share

Annual Dividend

$0.16

View dividend history

Momentum & Volatility Signals

Two different market-behavior signals. Momentum measures direction and trend strength. Volatility measures how large and unstable the price moves are, regardless of direction.

0–100 market signals
Momentum
38/ 100
+14 pts / 5d

Weakening momentum

5D +4.0% · 20D -9.3% · RSI 27 · Price vs 20D avg -5.9%
Volatility
35/ 100
-2 pts / 5d

Normal movement

20D realized vol 44.6% · 60D 62.7% · Acceleration 0.71x
Momentum = Where is it going?

A high momentum score means price has been trending upward with confirming short- and medium-term strength. A low score means downward or weakening momentum.

Volatility = How violently is it moving?

A high volatility score means larger, less stable price swings. It can happen while a stock is rising or falling, so high volatility is not automatically bullish or bearish.

Important: the volatility score above is based on realized price volatility. Implied volatility (IV) comes from options prices and represents the market's expected future movement. Wall Street Score will keep IV separate and will only display it when a verified options-chain feed is available.

Notices for VG

Detected from reported data — verify before acting.

Dividend history reported

Dividend payments are recorded. Review the dates and regular/special classification below; past payments do not guarantee future dividends.

Elevated debt risk

Total debt is at least one year of revenue • Free cash flow is negative • Cash covers less than 20% of total debt

Community Sentiment

0 active · 0 total calls
0% Bullish (0) 0% Bearish (0)

No personal call yet on VG.

What the Bulls Say

  • +Growth opportunities may come from revenue expansion, margin improvement, new products, market-share gains, and stronger cash flow.
  • +Product opportunity: Venture Global, Inc., a liquefied natural gas (LNG) company, engages in the ownership, development, construction, and operation of LNG production facilities and associated infrastructure in the U.S. Gulf Coast. The company is involved in LNG production, natural gas transportation, and regasification operations, as well as LNG sales and shipping business through LNG tankers. Its LNG projects include Calcasieu, Plaquemines, and CP2 projects. The company was founded in 2013 and is headquartered in.

What the Bears Say

  • −Debt risk (elevated): Total debt is at least one year of revenue.
  • −Free cash flow is negative.
  • −Cash covers less than 20% of total debt.
  • −Negative free cash flow may increase the need for outside financing and dilution.

Bull and bear cases summarize disclosed catalysts, growth opportunities and risks; they are not buy or sell recommendations.

Create a free account to make a call.

Scores

Click any score for full breakdown
Wall Street Score
Fair62/ 100
Weak (0–50)Fair (51–71)Strong (72+)

Fair

62

Tap for breakdown →

Poor

15

Debt Cost4.2%
Debt Reduction YoY-17.1%
Debt / Equity5.18x

Tap for breakdown →

Fair

63

Revenue YoY23.1%
Revenue CAGR32.0%
Net Margin21.5%

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Strong

73

Asset Growth YoY22.9%
Liquidation/Share$4.58
Net Assets/MCap0.60x

Tap for breakdown →

Fair

65

Earnings Yield11.7%
Buyback Yield0.0%
Debt Cost4.2%

Tap for breakdown →

Strong

71

ROIC8.5%
ROE42.6%
ROA5.9%

Tap for breakdown →

Strong

88

EPS Growth26.1%
FCF/Share Growth—
Rev/Share Growth91.1%

Tap for breakdown →

Elite

100

Intrinsic Value$52.36
Value Reference$31.42
MOS0.8%

Tap for breakdown →

Fair

61

Revenue63
Moat88
Valuation100

Tap for breakdown →

Elite

100

MOS %0.8%
Value Reference$31.42
Deep Discount Reference$20.94

Tap for breakdown →

Poor

3

Interest Coverage3.5x
ROIC8.5%
FCF Yield-21.8%

Tap for breakdown →

Weak

48

Financial3
Valuation100
Debt15

Tap for breakdown →

Poor

25

Survival Years0.3 yrs
Current Ratio0.93x
FCF Margin-0.5%

Tap for breakdown →

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Score Changes

Score changes will appear once more historical records are available.

Price vs. Value

Undervalued

Current Price

$13.13

Intrinsic Value

$52.36

Difference

−$39.23

-74.9% vs IV

Margin of Safety

74.9%

UndervaluedFair ValueOvervalued
Value Reference: $31.42
Deep Discount Reference: $20.94

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