Arphra
live
S&P 5000.32
NASDAQ0.00
DOW49,602.49
VIX18.06
US10Y4.47
EUR/USD1.1520
GOLD4,353.9
WTI92.63
BTC63,172.79
S&P 5000.32
NASDAQ0.00
DOW49,602.49
VIX18.06
US10Y4.47
EUR/USD1.1520
GOLD4,353.9
WTI92.63
BTC63,172.79

TPVG

TriplePoint Venture Growth BDC Corp.
Financial ServicesAsset ManagementUSUSDPeers →
$5.37
LiveJun 05, 2026
AI Brief
Market cap
$218.02M
52w range
4.48 – 7.53
P / E
EPS
Volume
135.59K
Revenue · FY

Explain this page

Arphra AI
OHLC · last 20 sessions
· prices_daily
$5.37
Risk stats · trailing 1Y
Volatility (ann.)48.1%
Max drawdown-21.6%
Sharpe (1Y)-0.53
Sortino (1Y)-1.17
Trailing returns
· prices_daily roll-up
computed
1D
-3.07%
5D
-5.29%
1M
+6.34%
3M
-7.09%
6M
YTD
-8.83%
1Y
3Y
5Y
52-week range
$4.62$5.98
Current $5.3755% of range
Volume · 20-session
Today 140KAvg 279K

Adjusted prices · last 60d

DB · prices_daily + stock_splits + dividends
DateOpenHighLowClose · unadjClose · split adjClose · div adjΔ adjVolume
Jun 05, 20265.515.535.365.375.375.370.00%139,649
Jun 02, 20265.505.585.465.545.545.540.00%232,978
Jun 01, 20265.505.615.505.565.565.560.00%192,419
May 29, 20265.495.605.485.525.525.520.00%264,930
May 28, 20265.655.695.555.555.555.550.00%238,441
May 27, 20265.725.725.645.675.675.670.00%111,428
May 26, 20265.545.765.545.655.655.650.00%368,000
May 22, 20265.605.615.495.545.545.540.00%193,557
May 21, 20265.615.705.515.535.535.530.00%267,100
May 20, 20265.625.715.535.705.705.700.00%172,142
May 19, 20265.805.805.615.635.635.630.00%149,406
May 18, 20265.865.975.765.785.785.780.00%560,700
May 15, 20265.835.915.795.855.855.850.00%282,100
May 14, 20265.855.905.795.845.845.840.00%255,474
May 13, 20265.755.785.635.765.765.760.00%263,929
May 12, 20265.625.775.555.755.755.750.00%379,300
May 11, 20265.775.845.605.625.625.620.00%225,700
May 08, 20265.925.995.765.775.775.770.00%209,458
May 07, 20265.586.035.565.985.985.980.00%600,823
Apr 10, 20265.125.175.085.125.125.120.00%472,200
Apr 09, 20265.045.124.935.125.125.120.00%565,100
Derived from prices_daily back-adjusted by stock_splits + dividends. Δ adj = cumulative shift between raw print and dividend-adjusted close.