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VII

VII - 7GC & Co. Holdings Inc. Stock Price, Fair Value and News

1.63USD Delayed

Market Summary

VII
USD1.63
Delayed

VII Stock Price

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VII RSI Chart

VII Valuation

Market Cap

32.6M

Price/Earnings (Trailing)

-2.16

Price/Sales (Trailing)

7.14

EV/EBITDA

-2.23

Price/Free Cashflow

-9.93

VII Price/Sales (Trailing)

VII Profitability

Operating Margin

68.33%

EBT Margin

-331.12%

Return on Equity

48.89%

Return on Assets

-339.72%

Free Cashflow Yield

-10.07%

VII Fundamentals

VII Revenue

Revenue (TTM)

4.6M

Rev. Growth (Yr)

-8.29%

Rev. Growth (Qtr)

-0.28%

VII Earnings

Earnings (TTM)

-15.1M

Earnings Growth (Yr)

-457.51%

Earnings Growth (Qtr)

52.09%

Breaking Down VII Revenue

Last 7 days

7.0%

Last 30 days

7.5%

Last 90 days

-84.8%

Trailing 12 Months

-84.0%

How does VII drawdown profile look like?

VII Financial Health

Current Ratio

0.06

VII Investor Care

Shares Dilution (1Y)

148.53%

Diluted EPS (TTM)

-1.9

Historical Charts for Stock Metrics

Get all data in R, Python etc through our Historical Stock Data APIs
Net sales
YearQ1Q2Q3Q4
20240000
20235.1M04.8M4.6M
2022005.3M5.3M
20210005.2M

Which funds bought or sold VII recently?

View All Details
Datesorted ascendingFund NameType% Chg$ Change$ Held% Portfolio
Feb 26, 2024
Virtu Financial LLC
sold off
-100
-520,000
-
-%
Feb 14, 2024
Exos TFP Holdings LLC
sold off
-100
-19,332
-
-%
Feb 14, 2024
Exos TFP Holdings LLC
sold off
-100
-3,435,250
-
-%
Nov 14, 2023
Castle Creek Arbitrage, LLC
unchanged
-
-1,397
27,853
0.01%
Jul 28, 2022
Integrity Capital Management (HK) Ltd
sold off
-100
-49,000
-
-%
Nov 15, 2021
Omni Partners US LLC
reduced
-0.21
2,000
686,000
0.04%

1–6 of 6

Are Funds Buying or Selling VII?

Are funds buying VII calls or puts?
Calls
Puts
No. of funds holding Calls - Puts
Net Call Options
No. of funds that own VII
No. of Funds

Unveiling 7GC & Co. Holdings Inc.'s Major ShareHolders

Date FiledName of FilerPercent of ClassNo. of SharesForm Type
Apr 23, 2024
dnx iii, llc
6.97%
1,236,934
SC 13G
Feb 14, 2024
moore capital management, lp
1.8%
235,875
SC 13G/A
Feb 13, 2024
glazer capital, llc
0.0%
0
SC 13G/A
Feb 12, 2024
cantor fitzgerald & co.
8.8%
1,113,927
SC 13G
Feb 09, 2024
polar asset management partners inc.
2.60%
327,750
SC 13G/A
Dec 26, 2023
davy joseph p.
15.5%
2,314,032
SC 13D
Dec 26, 2023
ward mason
21.5%
2,779,679
SC 13D
Dec 26, 2023
estate of roland a. linteau iii
12.5%
1,573,538
SC 13G
Jul 07, 2023
moore capital management, lp
8.6%
287,000
SC 13G
Jul 03, 2023
harraden circle investments, llc
7.30%
243,189
SC 13G

Recent SEC filings of 7GC & Co. Holdings Inc.

View All Filings
Date Filed Form Type Document
May 16, 2024
4
Insider Trading
May 16, 2024
4
Insider Trading
May 16, 2024
4
Insider Trading
May 16, 2024
4
Insider Trading
May 16, 2024
4
Insider Trading
May 16, 2024
8-K
Current Report
May 16, 2024
S-1/A
Initial Public Offering
May 15, 2024
10-Q
Quarterly Report
Apr 23, 2024
SC 13G
Major Ownership Report
Apr 22, 2024
S-1
Initial Public Offering

7GC & Co. Holdings Inc. News

Latest updates
DealFlow's SPAC News5 months ago
Kiplinger's Personal Finance3 years ago

7GC & Co. Holdings Inc. Earnings Report: Key Takeaways & Analysis

Income Statement (Last 12 Months)
Income Statement (Quarterly)
Description(%) Q/Q2024Q12023Q42023Q32023Q12022Q42022Q32021Q4
Revenue-0.3%1,079,4721,082,5061,129,7841,177,061---
Cost Of Revenue22.3%381,380311,947-412,226---
Gross Profit-9.4%698,092770,559-764,835---
Operating Expenses-4,310,493--3,172,467---
  S&GA Expenses---759,730592,7564,815,9501,118,4699,085,410
EBITDA Margin-37.1%-3.10-2.26-3.62-2.42-0.93-1.71-1.73
Interest Expenses-93.0%44,814642,035-234,336---
Income Taxes99.3%-933-130,22710,424136,114-15,382212,639-
Earnings Before Taxes52.7%-4,501,205-9,522,704-442,396-671,091-16,345,5771,213,598-
EBT Margin-34.0%-3.31-2.47-3.76-2.55-1.05-1.97-2.00
Net Income52.1%-4,500,272-9,392,477-452,820-807,205-16,226,0341,000,959-22,704,646
Net Income Margin-32.4%-3.31-2.50-3.78-2.60-1.07-2.31-1.92
Free Cashflow----3,906,228-389,172-237,073-314,197-146,483
Balance Sheet
(In Thousands)
Balance Sheet
(In Thousands)
(*) denotes actual numbers (not divided by Thousands)
Description(%) Q/Q2024Q12023Q42023Q32023Q22023Q12022Q42022Q32022Q22022Q12021Q42021Q32021Q22021Q12020Q4
Assets-16.1%4,4395,2885,34154,27453,597142,522231,446230,772230,769230,998231,228231,425232,033232,280
  Current Assets-27.4%2,1362,9406566379331,4254114057322,6201,2111,4132,0272,280
    Cash Equivalents-51.0%1,0272,0943975938051,0232,7452364791,7878589791,547779
  Net PPE-33.7%3.005.006.00--12.00---11.00----
  Goodwill0%2,1722,1722,172--2,172---2,172----
Liabilities-5.1%35,28137,16536,64435,43915,96829,59311,06811,39514,24014,31420,27626,45122,76034,051
  Current Liabilities-5.1%35,20637,09036,56725,6926,03329,2842,6411,6481,66610,8441,1461,100310144
    LT Debt, Current---2,3002,3001,2781,100--------
Shareholder's Equity3.2%-30,842-31,876---27,471-24,114----15,739-5,0005,0005,000
  Retained Earnings-9.6%-51,300-46,800-40,393-16,370-14,638-32,360-10,306-10,623-13,471-16,891-19,0486934,992-31,771
  Additional Paid-In Capital37.2%20,42214,8892,771--8,245---1,151-4,3068.0011,051
Shares Outstanding26.2%20,22216,0198,168--6,4468,039--8,277---5,750
Float-100.0%-35,028-----226,320---222,640-244,490
Cashflow (Last 12 Months)
(In Thousands)
Cashflow (Quarterly)
(In Thousands)
(*) denotes actual numbers (not divided by Thousands)
Description(%) Q/Q2024Q12023Q42023Q32023Q22023Q12022Q42022Q32022Q22022Q12021Q42021Q32021Q22021Q12020Q4
Cashflow From Operations-160.6%-2,1163,491-3,906-746-389-443-4,319-242-163-5,976-121-567-177-583
  Share Based Compensation-39.0%253415--402---------
Cashflow From Investing100.0%--17,95418,444---1.38-9.43-------230,000
Cashflow From Financing158.5%1,050-1,7933,2151,023178-1,2775,763--70.00----232,308
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VII Income Statement

2024-03-31
Unaudited Condensed Consolidated Statements of Operations - USD ($)
3 Months Ended
Mar. 31, 2024
Mar. 31, 2023
Operating income:  
Revenue$ 1,079,472$ 1,177,061
Cost of revenue381,380412,226
Gross profit698,092764,835
Operating expenses:  
General and administrative expenses4,308,9293,170,063
Depreciation expense1,5642,404
Total operating expenses4,310,4933,172,467
Operating loss(3,612,401)(2,407,632)
Other expenses (income):  
GEM settlement fee expense200,0000
Other income, net(4,118)(62,538)
Interest income(10)(111)
Gain on extinguishment of liability(527,980)0
Loss on debt issuance171,000 
Change in fair value of convertible notes544,0000
Total other expenses, net888,8041,354,213
Loss before income taxes(4,501,205)(3,761,845)
Income tax (benefit) expense(933)3,277
Net loss$ (4,500,272)$ (3,765,122)
Net loss per share  
Basic$ (0.26)$ (0.59)
Diluted$ (0.26)$ (0.59)
Weighted average common shares outstanding  
Basic17,355,6096,382,180
Diluted17,355,6096,382,180
Nonrelated Party [Member]  
Other expenses (income):  
Interest expense$ 451,399$ 537,878
Change in fair value of warrant liability(408,000)0
Change in fair value of simple agreement for future equity022,861
Change in fair value of bifurcated embedded derivative liabilities032,415
Related Party [Member]  
Other expenses (income):  
Interest expense577,513383,284
Change in fair value of warrant liability(115,000)0
Change in fair value of simple agreement for future equity0303,139
Change in fair value of bifurcated embedded derivative liabilities$ 0$ 137,285

VII Balance Sheet

2024-03-31
Unaudited Condensed Consolidated Balance Sheets - USD ($)
Mar. 31, 2024
Dec. 31, 2023
Current assets:  
Cash$ 1,026,932$ 2,093,718
Accounts receivable, net of allowance for credit losses of $3,557 and $5,748, respectively34,670105,049
Prepaid expenses and other current assets1,073,914741,155
Total current assets2,135,5162,939,922
Property and equipment, net3,0804,644
Goodwill2,171,5262,171,526
Operating lease right-of-use assets90,308134,013
Other assets38,38138,381
Total assets4,438,8115,288,486
Current liabilities:  
Accounts payable8,336,9096,439,863
Accrued expenses and other current liabilities3,862,7145,194,240
Deferred underwriting fees4,000,0004,000,000
Deferred fee0500,000
Earnout liability37,12559,399
Due to related party67,11867,118
GEM commitment fee liability02,000,000
Deferred revenue1,245,3061,214,096
Operating lease liabilities, current158,965234,043
Total current liabilities35,206,38637,089,615
Total liabilities35,281,38637,164,615
Other long-term liabilities75,00075,000
Commitments and contingencies (Note 17)
Stockholders' deficit:  
Common stock, $0.0001 par value, 275,000,000 shares authorized and 20,221,589 and 16,019,256 issued and outstanding at March 31, 2024 and December 31, 2023, respectively (Note 15)2,0221,602
Preferred stock, $0.0001 par value, 75,000,000 shares authorized, 0 shares issued and outstanding at March 31, 2024 and December 31, 202300
Additional paid-in capital20,421,99914,888,593
Accumulated deficit(51,266,596)(46,766,324)
Total stockholders' deficit(30,842,575)(31,876,129)
Total liabilities and stockholders' deficit4,438,8115,288,486
Nonrelated Party [Member]  
Current liabilities:  
Convertible notes3,709,8892,693,841
Notes payable6,948,7106,659,787
Warrant liability233,000641,000
Related Party [Member]  
Current liabilities:  
Convertible notes02,540,091
Notes payable3,082,6502,505,137
Warrant liability460,000575,000
Yorkville [Member]  
Current liabilities:  
Convertible notes$ 3,064,000$ 1,766,000
VII
7GC & Co. Holdings Inc. does not have significant operations. It focuses on effecting a merger, capital stock exchange, asset acquisition, stock purchase, reorganization, or related business combination with one or more businesses. The company intends to identify business opportunities in the field of technology. 7GC & Co. Holdings Inc. was incorporated in 2020 and is based in San Francisco, California.
0
 CEO
 WEBSITE7gc.holdings
 INDUSTRYShell Companies

7GC & Co. Holdings Inc. Frequently Asked Questions


What is the ticker symbol for 7GC & Co. Holdings Inc.? What does VII stand for in stocks?

VII is the stock ticker symbol of 7GC & Co. Holdings Inc.. Every public company that trades on a stock exchange gets a ticker symbol.

What is the market capital of 7GC & Co. Holdings Inc. (VII)?

As of Sun Mar 31 2024, market cap of 7GC & Co. Holdings Inc. is 32.56 Million. The market capitalization is calculated by multiplying the stock price with the number of shares outstanding.

What is the fair value of VII stock?

You can check VII's fair value in chart for subscribers.

What is the fair value of VII stock?

You can check VII's fair value in chart for subscribers. The fair value of 7GC & Co. Holdings Inc. is provided for various growth and macro-economic scenarios from very pessimiatic to very optimistic assumptions. These fair values are estimates from Grufity's Fair Value model based on company's past performance. However, past performance of 7GC & Co. Holdings Inc. is no guarantee of future performance. These fairvalue estimates should only be used as one of the inputs in your stock analysis. We provide model's historical fair value estimates for VII so that you know how good or bad the model has been in the past so you can discard it if needed. There are others that provide fair values of stocks such as wallmine, finbox, gurufocus and finviz. Most provide point in time estimates. We provide a history of our models fair value estimates so that you can get a sense of it's usefulness. Otherwise this data point is of little use.

Is 7GC & Co. Holdings Inc. a good stock to buy?

The fair value guage provides a quick view whether VII is over valued or under valued. Whether 7GC & Co. Holdings Inc. is cheap or expensive depends on the assumptions which impact 7GC & Co. Holdings Inc.'s fair value. We provide several scenarios of inflation and growth to encompass these range of assumptions for VII.

What is 7GC & Co. Holdings Inc.'s Price to Earnings (PE) and Price to sales (PS) ratio?

As of Sun Mar 31 2024, VII's PE ratio (Price to Earnings) is -2.16 and Price to Sales (PS) ratio is 7.14. The price to earnings and price to sales ratio are two most important valuation metrics for any company. PE ratio tell us the number of years of earnings investors are ready to pay for owning the company. Historically, S&P500 price to earnings ratio has fallen below 12 during periods of gloom and gone past 30 during periods of euphoria. VII PE ratio will change depending on the future growth rate expectations of investors.