Viking Acquisition Corp. I (VACI) Research Hub

Viking Acquisition Corp. I (VACI) trades on NYSE, US in the Financial Services (Financial - Conglomerates) sector. As of 2026-09-11, shares last closed at 6.88 USD (+8.86%), in a range — insufficient history for 200-DMA. Valuation: trailing P/E 165.07, market cap 0.32B. This hub links to the full technical, earnings and options research available for VACI.

Last updated 2026-09-11 · Source: FMP end-of-day prices (adjusted); indicators computed by SniperIQ

SectorFinancial Services (Financial - Conglomerates)
ExchangeNYSE, US
Last close6.88 USD (+8.86%)
52-week range6.1 USD – 12.74 USD
Trend regimeRange
14-day RSI18.8 (Oversold)
Trailing P/E165.07
Market cap0.32B
Dividend yield0.00%

Available research for VACI

Earnings

VACI earnings: real EPS beat/miss history, P/E 165.07. Updated 2026-07-23.

Options: Covered Call

Covered Call on VACI: how it works, illustrative setup around the real 6.88 USD price, max profit/loss, breakeven and when to use it. Educational.

Options: Iron Condor

Iron Condor on VACI: how it works, illustrative setup around the real 6.88 USD price, max profit/loss, breakeven and when to use it. Educational.

Options: Protective Put

Protective Put on VACI: how it works, illustrative setup around the real 6.88 USD price, max profit/loss, breakeven and when to use it. Educational.

Technical

VACI technical analysis: range, last 6.88 USD, RSI 18.8, 52w range 6.1 USD–12.74 USD, real support/resistance. Updated 2026-09-11.

Frequently asked questions

What sector is VACI in?

Viking Acquisition Corp. I (VACI) is classified under Financial Services (Financial - Conglomerates), listed on NYSE, US.

Is VACI in an uptrend or downtrend?

As of 2026-09-11, VACI is in a range — insufficient history for 200-DMA. See the full technical research page for support and resistance levels.

What is VACI's trailing P/E ratio?

VACI's trailing P/E is 165.07, with a market cap of 0.32B. See the earnings research page for full valuation detail.