Valvoline (VVV)
Materials · automotive services · NYSE
Valvoline is a leading automotive quick-lube services provider, operating a national network of retail centers focused on preventive maintenance.
What Valvoline does
Valvoline is a provider of automotive services, primarily through its network of retail preventive maintenance service centers. The company operates and franchises quick-lube locations that offer oil changes, tire rotations, and other vehicle maintenance services.
Themes: automotive aftermarket, preventive maintenance, retail services
Fundamentals
- Price$33.96 as of 2026-08-21 close
- Market cap$4.3B as of 2026-08-21
- 1-year return-12.7% 2025-08-21 close $38.88 → 2026-08-21 close $33.96
- P/E41.84 as of 2026-08-24
- Net margin+5.2% as of 2026-08-24
- Gross margin+38.3% as of 2026-08-24
- ROE+28.7% as of 2026-08-24
- Debt / equity3.84 as of 2026-08-24
- Revenue growth (YoY)+16.1% as of 2026-08-24
- Revenue CAGR (3y)+11.4% SEC XBRL
- Beta1.05 as of 2026-08-24
- Last reported earnings2026-08-05 SEC EDGAR Form 8-K (Item 2.02)
Dividend: yield +1.4%; 1-year non-decreasing per-share dividend streak (SEC XBRL).
How VVV compares in its sector
- price-to-earnings ratiomiddle range 94 covered Materials peers, as of 2026-08-24
- net profit marginmiddle range 142 covered Materials peers, as of 2026-08-24
- operating margintop 25% 142 covered Materials peers, as of 2026-08-24
- gross margintop 25% 141 covered Materials peers, as of 2026-08-24
- return on equitytop 10% 151 covered Materials peers, as of 2026-08-24
- 3-year revenue CAGRtop 25% 127 covered Materials peers
- indicated dividend yieldmiddle range 95 covered Materials peers, as of 2026-08-24
- free cash flow (absolute dollars, latest fiscal year)middle range 124 covered Materials peers, as of FY2025
Position among covered Materials companies that report each metric (minimum 5 peers). A relative position within our covered catalog — not a valuation, quality, or investment judgment. A higher percentile is simply a higher value (for P/E, more expensive on earnings — never "better"). Informational only.
Top 10 scores & list membership
VVV is not currently in any published Top 10 list. Its scores are below.
Long-term score
39.4 #836 of 987 scored · #50 of 66 in Materials
Growth 77th (3-year revenue CAGR 11.4%, revenue growth year over year 16.1%) and profitability 63rd (return on equity 28.7%, operating margin 15.3%); weakest is capital return (11th, consecutive years of dividend increases 1 year).
Short-term score
29.7 #1643 of 1,704 scored · #81 of 83 in Materials
Catalysts 49th: open-market insider buys in 90 days 10, the analyst consensus rating is unchanged since the prior reading; momentum 31st: near the bottom of its 14-day range (oversold); weakest is volume and participation 17th: it gapped 7.3% below the previous close and has not traded back through the level it left behind — an "unfilled gap", which describes a price range no trade has since crossed and is not a forecast that it will be crossed.
Scores as of 21 Aug 2026. Each bar is a percentile: how this company ranked against every company the score ranked, 0–100. A list is a published formula and its output, not a recommendation. Method version 2.
Dividend coverage
Not assessed — last reported dividend predates the accounts. The most recent fiscal year in which VVV reported a dividend payment is FY2023, while its reported financial statements run through FY2025. Coverage is therefore not assessed for the latest year — an FY2023 ratio would not describe VVV today.
Coverage is derived from reported SEC EDGAR XBRL figures, comparing dividends paid against net income and free cash flow for the SAME fiscal year. It is not shown here because the latest fiscal year with a reported dividend payment (FY2023) is older than the latest year of reported financial statements (FY2025), so any ratio would describe an out-of-date year. Informational only — not financial advice.
How Valvoline looks technically
Valvoline (VVV) is trading 1.1% below its 200-day average, the long-term trend line — a long-term downtrend. Its 50-day average crossed above its 200-day average about 43 trading days ago — a "golden cross", a bullish long-term signal. A trend is forming but not yet strong — ADX, a 0–100 trend-strength gauge, is 25 (a reading of 25+ marks a strong trend). Momentum is neutral — its 14-day RSI (a 0–100 momentum gauge) is 37, neither overbought (above 70) nor oversold (below 30). It made a new 20-day low about 9 trading days ago. It is 17.8% below its highest point of the past year.
Trend
8
| Distance from the 200-day | it is trading 1.1% below its 200-day average, the long-term trend line — a long-term downtrend | -1.1% |
|---|---|---|
| 50-day moving average | its average price over the last 50 trading days — a short-term trend line — is $37.64 | $37.64 |
| 200-day moving average | its average price over the last 200 trading days — the long-term trend line — is $34.32 | $34.32 |
| Swing structure | each recent peak has been lower than the one before it and each dip deeper — the pattern chart-watchers call a downtrend, which describes where price has already been and not where it goes next | lower highs and lower lows |
| Last swing turn | its last significant turn was a swing low 9 calendar days ago — the swings before that are what the structure reading is measured on | 9 sessions |
| Wave structure | its recent swings can be read as a five-part downward sequence — what Elliott-wave chartists call an impulse — now in the fourth leg, a pullback against that downward direction; the labelling fails if price closes above 37.99. It is one of several labellings that fit, and it describes the swings already printed, not what comes next. The same swings also read as a completed three-part correction. | possible downward five-wave sequence, in wave 4 (one of several readings) |
| Since the 50/200 cross | its 50-day average crossed above its 200-day average about 43 trading days ago — a "golden cross", a bullish long-term signal | 43 sessions |
| Trend strength (14-day ADX) | a trend is forming but not yet strong — ADX, a 0–100 trend-strength gauge, is 25 (a reading of 25+ marks a strong trend) | 24.5 |
Momentum
3
| 14-day RSI | momentum is neutral — its 14-day RSI (a 0–100 momentum gauge) is 37, neither overbought (above 70) nor oversold (below 30) | 36.9 |
|---|---|---|
| Position in its 14-day range | it is trading near the bottom of its 14-day range ($32.83 to $39.77) — its "stochastic" reading is 16 out of 100, where 0 would mean closing exactly at the 14-session low and 100 exactly at the high. This measures WHERE the price sits inside its recent range, which is a different question from the RSI beside it: RSI is a momentum gauge, measuring how FAST the price has been moving, so a stock can drift quietly to the bottom of its range with an ordinary RSI, or fall sharply and still sit in the middle. It has been climbing within that range over the last few sessions. | 16.3 |
| Since the MACD crossed zero | MACD, a trend-momentum gauge, is in negative territory (momentum leaning bearish) | 36 sessions |
Range
12
| 52-week high | its highest closing price over the past year (about 252 trading days) was $41.33 | $41.33 |
|---|---|---|
| From the 52-week high | it is 17.8% below its 52-week high (its highest price of the past year) | -17.8% |
| Above the 52-week low | it is 19.2% above its 52-week low (its lowest price of the past year) | +19.2% |
| Below the 52-week high | it is 17.8% below its highest point of the past year | 17.8% |
| Since a 20-day breakout | it made a new 20-day low about 9 trading days ago | 9 sessions |
| Since a 55-day breakout | it made a new 55-day high about 27 trading days ago | 27 sessions |
| All-time high | its highest closing price on record is $48.27 (set on 2024-07-17) | $48.27 |
| Given back of the 52-week move | over the past year its closes ranged ($28.87 to $40.67), and it has recovered roughly a third of its fall from last year’s high — 43% of it. Chart-watchers call 61.8%-65% given back the "golden pocket" — for this company that is $36.16 to $36.54. It is watched widely enough that orders cluster there, which is the honest reason it matters; it is not a forecast. | 43.1% |
| From the all-time high | it is 29.6% below its all-time high | -29.6% |
| Nearest price level | it is trading 0.7% below a resistance level at $34.21 — a price it turned at four times since 2025-01-10, most recently on 2025-08-01. Since 2024-08-21 it has 5 such levels below the current price and 9 above. Levels like these describe where the price has reversed or paused before; they are not a forecast of where it will go. | +0.7% |
| All-time low | its lowest closing price on record is $9.06 (set on 2020-03-23) | $9.06 |
| Above the all-time low | it is 274.8% above its all-time low | +274.8% |
Volatility
5
| Band width vs its own 6 months | day-to-day price swings are unusually wide versus its own recent history (wider than about 94% of the past ~6 months) | 94th percentile |
|---|---|---|
| Typical daily range | in a typical session it travels about $1.09 between its high and its low — about 3.2% of its price. That is its "average true range" over the last 14 sessions, which also counts the distance from the previous close, so a day that opens well away from yesterday counts as the large move it was | $1.09 |
| Bollinger bands (20-day, ±2σ) | most of its recent trading has stayed between about $30.92 and $41.03 — the "Bollinger bands", a range drawn two standard deviations either side of its 20-day average price, which widens when the stock gets more volatile and narrows when it settles | $30.92 – $35.98 – $41.03 |
| Typical daily range (% of price) | its price moves about 3.2% in a typical session — about typical for the companies we cover. This is the average gap between a session's high and low over the last 14 sessions, counting overnight moves, expressed against the current price so it can be compared with companies trading at any price | 3.2% |
| Stretch from the 200-day average | it is trading 0.3 daily ranges below its 200-day average price (1.1% below it in plain percentage terms) — a way of asking how far it has stretched from its own average in units of how far it normally moves in a day, so a calm company and a jumpy one can be compared on the same scale | 0.3 daily ranges below its 200-day average |
Volume
1
| Volume vs its 30-day average | trading volume is about normal versus its 30-day average | 0.68× |
|---|
Analyst
2
| Change in the average price target | analysts' average price target is unchanged from the prior reading | 0.0% |
|---|---|---|
| Change in the consensus rating | the analyst consensus rating is unchanged since the prior reading | unchanged |
Candlestick patterns
1
| Since a doji | today it opened and closed at almost the same price after trading through a wider range — a "doji", the classic picture of buyers and sellers finishing the session level | today |
|---|
Price gaps
3
| Gap at the open | it opened on 2026-08-21 0.5% above the previous session's close — an overnight gap, the part of the move that happened while the market was shut, and traded back through that level before the close | +0.5% |
|---|---|---|
| Open gap | it gapped 7.3% below the previous close 12 sessions ago and has not traded back through the level it left behind at 39.28 — an "unfilled gap", which describes a price range no trade has since crossed and is not a forecast that it will be crossed | -7.3% |
| Gap filled | a 2.3% gap up opened on 2026-07-28 has been "filled" 17 sessions ago — price traded back through the level the gap left behind, and it took 1 session to close | 17 sessions ago |
Price streaks
1
| Closing streak | it closed higher in its latest session, after a session that did not close higher — a single up day rather than a run | 1 session up |
|---|
Relative strength
4
| vs market, 1 month | over the past 1 month this stock lagged the market by 16.2 percentage points (the stock lost 13.9% while the market gained 2.3%) | -16.3% |
|---|---|---|
| vs market, 3 months | over the past 3 months this stock lagged the market by 0.9 percentage points (the stock gained 2.2% while the market gained 3.1%) | -0.9% |
| vs market, 6 months | over the past 6 months this stock lagged the market by 23.4 percentage points (the stock lost 12.3% while the market gained 11.1%) | -23.4% |
| vs market, 12 months | over the past 12 months this stock lagged the market by 33.1 percentage points (the stock lost 12.7% while the market gained 20.5%) | -33.1% |
Signal agreement
2
| Bullish technical signals | 2 of the 9 technical signals we can compute for it are currently in a bullish state: a "golden cross" — its 50-day average is above its 200-day, near the bottom of its 14-day range (oversold) — these describe past price behaviour, not a forecast | 2 of 9 |
|---|---|---|
| Bearish technical signals | 4 of the 9 technical signals we can compute for it are currently in a bearish state: trading below its 200-day average, MACD momentum is negative, lagging the market over 6 months, trading below the Ichimoku cloud — these describe past price behaviour, not a forecast | 4 of 9 |
Trend (Ichimoku cloud)
1
| Vs the Ichimoku cloud | trading 6.0% below the Ichimoku cloud — a band drawn from where its own highs and lows sat up to 2026-07-16 and projected forward over today's price, the side traders read as an established downtrend, with the band above acting as the level that would have to be cleared. The band itself is moderate, spanning 6.9% of the share price. | -6.0% |
|---|
Volume-weighted price
2
| Vs this year’s average price paid | the price is 4% below the average price paid so far this year, so the typical buyer over that stretch is under water. That average is $35.32 — a volume-weighted average of daily closes over 155 sessions, not a true tick-by-tick VWAP. | -3.9% |
|---|---|---|
| Vs the average paid since it last reported | the price is 2% below the average price paid since it last reported on 2026-08-05 (its 10-Q), so the typical buyer over that stretch is under water. That average is $34.55 — a volume-weighted average of daily closes over 13 sessions, not a true tick-by-tick VWAP. | -1.7% |
Price levels it has turned at before
VVV last closed at $33.96 on 2026-08-21. Since 2024-08-21 it has turned at 5 prices below its last close and 9 above; the 3 nearest below and the 3 nearest above are listed, nearest first.
| Level | Side | Distance | Evidence |
|---|---|---|---|
| $34.21 | Resistance | 0.7% above the last close | turned there four times · 2025-01-10 to 2025-08-01 |
| $33.13 | Support | 2.5% below the last close | turned there six times · 2025-04-30 to 2026-08-12 |
| $35.45 | Resistance | 4.4% above the last close | turned there 8 times · 2024-12-20 to 2026-04-17 |
| $32.30 | Support | 4.9% below the last close | turned there three times · 2026-01-12 to 2026-03-19 |
| $31.68 | Support | 6.7% below the last close | turned there six times · 2025-05-08 to 2026-05-20 |
| $36.32 | Resistance | 6.9% above the last close | turned there three times · 2025-02-03 to 2025-10-14 |
A level is a price this company reversed or paused at more than once — they describe past behaviour, not a forecast of where the price will go.
Wave structure
Its recent swings can be read as a five-part downward sequence — what Elliott-wave chartists call an impulse — now in leg 4 of five, a pullback against that direction.
This labelling fails — stops being a possible reading at all — if it closes above $37.99.
This is one of several labellings that fit the same swings, so treat it as a reading rather than the reading. It was chosen from 2 labellings that survived the rules, counting shorter readings of the same bars.
On past moves of this shape the leg has usually ended somewhere between $34.72 and $36.83 — that is where it has tended to end if the count holds, not a forecast of where the price goes.
Alternate reading: The same swings also read as a completed three-part correction, which fails on a close below $32.83.
This reading has stood for 3 trading days, since 2026-08-19.
Read from daily closes as of 2026-08-21.
An Elliott-wave count describes the swings already printed and the level that would disprove it. It is not a forecast, a target, or advice.
Screens: Trading below the 200-day moving average · lagging the market · Printed a doji candle · At the bottom of its 14-day range (stochastic below 20) · Under water since its last earnings report (below the anchored VWAP) · Trading below the Ichimoku cloud | Learn: moving average · golden cross · adx · rsi · breakout · fifty two week high low
Based on daily closing prices as of 2026-08-21. Describes past price behavior only — informational, not financial advice.
Analyst consensus
- Consensus ratingBuy (1.67 mean, 1=Strong Buy…5=Strong Sell) — 15 analysts
- Mean price target$43.20 range $35.00 – $48.00; median $45.00
Analyst estimates, as of 2026-08-18. These are third-party analyst opinions and price targets, aggregated — not a recommendation, prediction, or advice from stocks-llm. Informational only.
Analyst EPS estimate for VVV
- Consensus EPS estimate$0.4173 next reporting period, as of 2026-08-18
Change over time is not available yet: it needs two readings of the same reporting period at least 30 days apart, and we have been recording these estimates since 2026-08-04. An estimate for a DIFFERENT quarter is not a revision, so a reading from before the last report is never compared with one after it.
The consensus estimate for the next reporting period, and how it has moved between readings of that SAME period. A change is measured only between readings estimating one period — when a company reports, the consensus moves to the next quarter and the two numbers are not comparable. Informational only, not a forecast and not advice.
Key risks (from latest filing)
["Significant long-term debt levels following recent acquisitions.","Potential integration challenges associated with business acquisitions.","Exposure to volatility in raw material and operational costs."]
What changed in the latest 10-Q
AI-assisted comparison of VVV's 10-Q filed 2026-05-07 against the prior one filed 2026-02-04.
Management's Discussion & Analysis (MD&A)
- Added:
- Added definition of 'Net debt' non-GAAP measure: 'total debt less cash and cash equivalents' in the newer filing (2026-05-07)
- Added 'SECOND FISCAL QUARTER 2026 OVERVIEW' section in the newer filing with quarterly performance metrics and results
- Added disclosure about 331 net store additions in the second fiscal quarter of 2026 in the newer filing
- Added statement about Income from continuing operations growing 18% to $45.3 million and Diluted earnings per share increasing 17% to $0.35 in the newer filing
- Added statement about Adjusted EBITDA increasing 28% over prior year period in the newer filing
- Added reference to 'six months ended March 31, 2026' for gain on sale comparisons in the newer filing
- Removed:
- Removed 'FIRST FISCAL QUARTER 2026 OVERVIEW' section that was present in the older filing (2026-02-04)
- Removed disclosure about first quarter net revenues growing 11% and 335 net store additions from the older filing
- Removed disclosure about Loss from continuing operations of $32.2 million and Diluted loss per share of $0.25 from the older filing
- Removed disclosure about Adjusted EBITDA increasing 14% over prior year period from the older filing
- Removed reference to 'three months ended December 31, 2025' for FTC-required store sale disclosure from the older filing
- Reworded:
- Changed 'approximately 2,400 service center locations' in older filing to 'more than 2,400 service center locations' in newer filing
- Changed Breeze acquisition total cash consideration from '$638.7 million' in older filing to '$637.4 million' in newer filing
- Changed FTC disclosure from 'Federal Trade Commission Decision and Order that required the disposal of certain acquired locations to receive clearance to close the acquisition of Breeze' in older filing to 'Federal Trade Commission ("FTC") Decision and Order that required the disposal of certain acquired locations for the Company to receive regulatory clearance to close the Breeze acquisition' in newer filing
- Removed reference to 'including allocated goodwill' from disposition fair value disclosure in newer filing
- Changed period reference from 'three months ended December 31, 2025' to 'six months ended March 31, 2026' for the $57.9 million pre-tax loss on FTC-required store sale in newer filing
- Changed comparison gain on sale amount from '$73.9 million' in older filing (for 2024 period) to '$74.2 million' in newer filing (for six months ended March 31, 2025 period)
- Changed period reference from 'three months ended December 31, 2025 and 2024' to 'six months ended March 31, 2026 and 2025' for gains on sale transactions in newer filing
- Notes:
- The newer filing covers a six-month period ended March 31, 2026, while the older filing covered a three-month period ended December 31, 2025, making direct operational comparisons not directly equivalent
- The text appears truncated at the end of both filings (ends mid-sentence with 'respecti' and 'ta'), limiting full assessment of any changes in the concluding sections
Risk Factors
- Added:
- Newer filing (2026-05-07) includes financial data for six months ended March 31, 2026 and 2025, whereas older filing (2026-02-04) shows three months ended December 31, 2025 and 2024
- Newer filing shows balance sheet as of March 31, 2026 compared to September 30, 2025; older filing shows December 31, 2025 compared to September 30, 2025
- Newer filing includes cash flow statement for six months ended March 31, 2026 and 2025; older filing shows three months ended December 31, 2025 and 2024
- Newer filing includes stockholders' equity statement covering six months ended March 31, 2026 with both 2026 and 2025 comparative periods; older filing shows three months ended December 31, 2025 and 2024
- Removed:
- Older filing (2026-02-04) included index to notes to condensed consolidated financial statements listing 11 notes; newer filing (2026-05-07) shows this index section is truncated/not fully visible in provided text
- Reworded:
- Page numbering changed: older filing references pages 32-33 for Risk Factors and related items; newer filing references pages 34-35
- Cash flow statement period changed from 'Three months ended December 31' (older) to 'Six months ended March 31' (newer)
- Stockholders' equity statement changed from 'Three months ended December 31' presentation (older) to 'Six months ended March 31' presentation (newer)
- Notes:
- The provided text appears to show primarily financial statements sections, not the actual Risk Factors section content; comparison is limited to structural and presentational changes visible in the provided excerpts
- The text provided is truncated at the end; full Risk Factors content comparison is not possible from the excerpts provided
AI-assisted comparison of two SEC filing sections. It describes wording and theme changes only, makes no materiality, legal, or investment judgement, and is not financial advice. Informational only — not financial advice.
Insider activity (SEC Form 4)
1 open-market purchase and 1 open-market sale by insiders in the last 90 days.
- Last 30 days1 buy ($49999) · 0 sells — 1 buying insider
- Last 90 days1 buy ($49999) · 1 sell ($114040) — 1 buying, 1 selling insiders
- Last 180 days4 buys ($500876) · 1 sell ($114040) — 4 buying, 1 selling insiders
Cluster buying: 3 different insiders reported open-market purchases (SEC code P) of VVV within a 30-day window between 2026-05-14 and 2026-05-15. Disclosed Form 4 activity, not a prediction of performance or a buy signal.
Activity heuristic: mixed (a transparent product heuristic from the counts above, not a prediction or advice)
Most recent open-market transaction: 2026-08-12. As of 2026-08-24.
View full insider trading history → View SEC Form 3/4/5 filingsAsk about VVV's insider activity →
Only open-market purchases (SEC code P) and sales (code S) are counted here. Option exercises, vesting/awards, gifts, and shares withheld for taxes are excluded — they are compensation or mechanical, not open-market conviction. Sales may be planned and non-discretionary (e.g. a Rule 10b5-1 plan) and are not necessarily bearish; open-market buying is not a recommendation to buy. Informational only — not financial advice.
Institutional ownership (13F)
4 institutional 13F filers reported holding VVV as of 2026-03-31 (quarter-end position, filed within 45 days).
- Distinct 13F filers 4
- Reported shares held 18,526,328
- Reported value $623,966,735
reported quarterly holdings change (2025-12-31 → 2026-03-31): 0 new, 3 increased, 1 decreased, 0 exited. Change counts cover only managers that filed 13F reports in BOTH quarters, derived between two quarter-end snapshots — not same-day trades; a single manager is never said to have "bought" or "sold".
Institutional holdings are quarter-end long positions reported on SEC Form 13F-HR, filed up to 45 days after the quarter ends — they are delayed, are not real-time trades, exclude short positions and most non-US securities, and are not investment advice. Any increase/decrease is a reported change between two quarterly snapshots, not a same-day purchase or sale. These are quarter-end snapshots from the 13F filings on SEC EDGAR, filed within 45 days — not real-time, and any change is a difference between two quarterly reports, not a same-day trade. Informational only — not financial advice.
Short interest (FINRA)
VVV had 11,670,644 shares of reported short interest as of the 2026-07-31 FINRA settlement date (delayed, bi-monthly; not real-time).
VVV had 9.15% of its shares outstanding sold short as of the 2026-07-31 FINRA settlement date (percent of FLOAT would be higher — float is not disclosed in the source). FINRA reported 6.38 days to cover at the same settlement.
- Reported short interest (shares) 11,670,644
- Short interest (% of shares outstanding) 9.15%
- Prior settlement (shares) 13,362,337
- Reported change -12.66%
- Days to cover (reported) 6.38
Reported to FINRA as of the 2026-07-31 settlement date. Short interest is reported to FINRA and published on a delayed, bi-monthly schedule (as of a settlement date, disseminated roughly eight business days later) — it is NOT real-time, does not cover every venue or all US trading, and is not a short-squeeze prediction or investment advice. Days-to-cover is the value FINRA reports; percent of float is not shown because the source file carries no share-count denominator — where a percent appears it is of shares OUTSTANDING, the larger base, and is therefore a floor on percent of float. Informational only — not financial advice.
Competitors & peers
- Jiffy Lube (Shell)
- Meineke Car Care Centers (Driven Brands)
- Midas (TBC Corporation)
- Pep Boys
- AutoZone (AZO)
- O'Reilly Automotive (ORLY)
AI-enriched competitor set. Linked names are companies covered by stocks-llm; other named peers are shown for reference only.
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Frequently asked questions
What does Valvoline (VVV) do?
Valvoline is a provider of automotive services, primarily through its network of retail preventive maintenance service centers. The company operates and franchises quick-lube locations that offer oil changes, tire rotations, and other vehicle maintenance services.
What sector is Valvoline (VVV) in?
Valvoline (VVV) is classified in the Materials sector. Its industry is automotive services. It trades on NYSE.
Does VVV pay a dividend?
Yes — Valvoline (VVV) pays a dividend, with an indicated yield of about 1.43% and 1-year non-decreasing per-share dividend streak (SEC EDGAR XBRL) (market data, as of 2026-08-24). Informational only — not financial advice.
Who are Valvoline's (VVV) competitors?
Notable peers of Valvoline (VVV) include Jiffy Lube (Shell), Meineke Car Care Centers (Driven Brands), Midas (TBC Corporation), Pep Boys and AutoZone. This peer set is informational only — not financial advice.
Is Valvoline (VVV) overbought or oversold right now?
Valvoline (VVV) is currently neither overbought nor oversold — its 14-day RSI (a 0–100 momentum gauge) is 37, in the neutral middle (as of 2026-08-21). RSI describes recent price momentum, not a forecast — informational only, not financial advice.
Where does stocks-llm's data on VVV come from?
Fundamentals and prices come from market data, as of 2026-08-24; company filings and profile facts come from SEC EDGAR. All figures are delayed daily-close data shown with their as-of date — informational only, not financial advice.
Fundamentals: market data, as of 2026-08-24. Filings: SEC EDGAR. Prices are delayed daily-close data.
Last updated 2026-08-21.
Informational only — NOT financial advice. All figures are delayed daily-close data from SEC EDGAR & market data, shown with their as-of date.