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Vizsla Silver Corp. (VZLA) Corporate Logo

Vizsla Silver Corp. (VZLA) Stock Price & Analysis

Market: AMEX • Sector: Basic Materials • Industry: Industrial Materials

Vizsla Silver Corp. (VZLA) Profile & Business Summary

Vizsla Silver Corp. engages in the acquisition, exploration, and development of precious and base metal assets. The company explores for gold, silver, and coper deposits. Its flagship project is the Panuco-Copala silver gold district located in Sinaloa, Mexico. The company was formerly known as Vizsla Resources Corp. and changed its name to Vizsla Silver Corp. in February 2021. Vizsla Silver Corp. was incorporated in 2017 and is headquartered in Vancouver, Canada.

Key Information

Ticker VZLA
Exchange AMEX
Official Site https://vizslasilvercorp.ca
CIK Number 0001796073
View SEC Filings

Market Trend Overview for VZLA

One model, two time views: what the market looks like right now, and where the larger trend is heading over time.

Longer-Term Market Trend (Mid to Long Term)

Shows the bigger market trend, how strong it is, and where risks may start to build over the next few weeks or months. — Updated as of 2026-08-28 (ET)

As of 2026-08-28, VZLA is moving sideways without a clear direction. Over the longer term, the trend remains bullish.

VZLA last closed at 4.00. The price is about 1.1 ATR above its recent average price (3.75), and the market is currently in a sideways market without a clear direction. Price at 4.00 is moving between minor support near 3.51 and minor resistance near 4.09. Direction remains unclear. View Support & Resistance from Options

The market is moving sideways, with no clear direction. Both upside and downside risks remain in play.

Trend Alignment Summary

Trend score: 35 out of 100. Overall alignment is unclear. The market is currently in a sideways market without a clear direction. The longer-term trend is still positive, but short-term signals are not yet confirming it.

Key Risk Level

A key downside risk boundary is near 3.40. If price falls below this area, the current structure would likely weaken further.

Recent Trend Signal

A systematic trend-activation signal was most recently triggered on 2026-08-06, reflecting a technical shift toward positive directional alignment.

Unusual Price Movement

[2026-08-26] Price moved quickly and looked strong, but participation was limited.

Recent Price Behavior

Recent bars show mixed price behavior without a clear shift in structural quality or efficiency.

Overnight Positioning

There was no clear sign of meaningful positions being carried into the overnight session.

Next-day directional probability forecast Last updated: 2026-08-28 (ET)
Next-session outlook for 2026-08-31 (ET)
No clear next-day edge

What the model sees

The model stays neutral because the setup is not clear enough to justify a directional deployment.


Why the model says this

The model does not deploy this setup because internal signals are not aligned strongly enough and recent price behavior has shown failed reversal memory. Predictability is 37%, agreement is 22%, and reversal risk is 12%.

NOTE: This next-day up/down probability forecast module is still being tested for accuracy. Please do not rely on it for investment decisions. The model does not account for black swan events or company-specific fundamental news, and its estimates are based solely on technical conditions, capital flow, and market sentiment. View forecast history

Recent Cost Distribution Last updated: 2026-08-28 (ET)

This estimate uses 1-minute price, volume, and VWAP data from the last 27 trading days, with turnover-based decay. The sample period is 2026-07-23 to 2026-08-28. The current price is 4.00, 5.49% above the estimated average cost of 3.79. An estimated 68.6% of recent positioning is below the current price, while 30.1% is above it. The peak-density price is 4.03. The largest concentrated cost region is 3.85 to 4.05 and contains 40.0% of the estimated distribution. The current price is within the 3.85 to 4.05 cost region. The nearest region below the current price is 3.81 to 3.83. The nearest region above the current price is 4.08 to 4.09.

Short Interest & Covering Risk for VZLA

This analysis looks at overall short interest positioning, focusing on the broader setup rather than short-term noise.

Squeeze Score 0.72

Shows how likely a short squeeze may be under current market conditions.

Key Market Risk Indicators
Short Crowding (Short Interest / Float) 10.58%
Short Positions Trend Not Increasing
Liquidity Trend (Average Daily Volume) -26.06%
20-Day Return 27.39%
Price vs 20-Day High Below Recent Highs

Short Exposure Percentile

Short interest is relatively low, indicating limited pressure from short positions. (Historical percentile: 33%)

Structure Analysis

VZLA Short positioning looks normal. Current days to cover is 7.3 trading days, meaning short positions would unwind somewhat slower than average. Short covering is likely to have a normal impact on price moves. No meaningful structural fragility is currently detected (Fragility Score 0/100, DTC percentile 93%) despite a strong upward price move (20D return 27.4%) and liquidity contracting meaningfully (volume -26%). Positioning is historically elevated, although price and liquidity conditions do not yet confirm structural fragility.

Risk Summary

No clear bull trap characteristics detected. Recent price behavior remains broadly consistent with current positioning.This reading helps confirm that current price action remains structurally healthy and does not indicate elevated trap risk.

Why Price Reactions May Be Stronger?

Days-to-Cover is elevated versus its own history, but absolute short interest remains moderate. Adaptive thresholds applied to liquidity weakness, near-high detection, and compression sensitivity. As a result, similar news or market events could lead to price moves about 2× larger than usual.


Note: Short interest data is reported every two weeks by FINRA. The most recent snapshot is 2026-07-31 (ET).
Because this data updates slowly, it is not intended to predict short-term price moves. Instead, it helps describe longer-term market structure and where pressure may be building if prices begin to move.

Analytical Modules