LOW (Lowe's Cos Inc)

Retail

Last Price Last Trade
Tick Volume
Change % Change
Open Prev Close
Day High Day Low
Bid Bid Size
Ask Ask Size
Wk High Wk Low
E.P.S. P/E Ratio
Ex-Div Date Dividend
Yield Shares
Market Cap Exchange

Covestor models holding LOW

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Beckerman Institutional Asset Allocation

  • Multi Asset Class
  • ETF Asset Allocation
  • Global
Performance
  • 4.9%
    90 day
  • 22.8%
    S.I.
  • Avg. Sub.
    4.8%
    90 day
Monthly vs S&P500
Monthly Investment Model Performance vs S&P 500
-5.6% S.I.
2
1% fee
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Stone Fox Capital Net Payout Yields

  • Equity
  • Long-Only
  • Global
  • Large Cap
  • Yield
Performance
  • 13.1%
    90 day
  • 35.4%
    365 days
  • Avg. Sub.
    12.2%
    90 day
Monthly vs S&P500
Monthly Investment Model Performance vs S&P 500
7.8% 12 months
3
1% fee
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American Values Investments American Heroes

  • Equity
  • Long-Only
  • US
  • Multi Cap
Performance
  • 4.6%
    90 day
  • 19.0%
    365 days
  • Avg. Sub.
    -
    90 day
Monthly vs S&P500
Monthly Investment Model Performance vs S&P 500
-4.0% 12 months
3
1% fee
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Shelter Cove Core and Satellite

  • Multi Asset Class
  • Long-Short
  • Global
  • Macro
Performance
  • 0.8%
    90 day
  • 0.4%
    365 days
  • Avg. Sub.
    -
    90 day
Monthly vs S&P500
Monthly Investment Model Performance vs S&P 500
-10.9% 12 months
3
1% fee

Covestor models in the same sector

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Gator Capital Small Cap

  • Equity
  • Long-Only
  • US
  • Small Cap
Performance
  • 11.2%
    90 day
  • 44.4%
    365 days
  • Avg. Sub.
    10.0%
    90 day
Monthly vs S&P500
Monthly Investment Model Performance vs S&P 500
10.1% 12 months
4
1.5% fee
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Timberline Investment Management Dividend and Growth

  • Equity
  • Long-Only
  • US
  • Large Cap
  • Yield
Performance
  • 9.2%
    90 day
  • 23.5%
    365 days
  • Avg. Sub.
    8.3%
    90 day
Monthly vs S&P500
Monthly Investment Model Performance vs S&P 500
-1.7% 12 months
2
1% fee
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Sparrow Capital Management Fundamental Growth

  • Equity
  • Long-Only
  • US
  • Multi Cap
  • Growth
Performance
  • 8.0%
    90 day
  • 19.5%
    365 days
  • Avg. Sub.
    7.2%
    90 day
Monthly vs S&P500
Monthly Investment Model Performance vs S&P 500
-2.8% 12 months
3
1.5% fee
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Leif Eriksen PWP Growth and Income

  • Equity
  • Long-Short
  • Global
  • Multi Cap
Performance
  • 7.3%
    90 day
  • 15.0%
    365 days
  • Avg. Sub.
    7.2%
    90 day
Monthly vs S&P500
Monthly Investment Model Performance vs S&P 500
-8.3% 12 months
4
0.5% fee
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Harvest Financial Partners Domestic Dividend

  • Equity
  • Long-Only
  • US
  • Large Cap
  • Value
Performance
  • 7.2%
    90 day
  • 18.6%
    365 days
  • Avg. Sub.
    6.8%
    90 day
Monthly vs S&P500
Monthly Investment Model Performance vs S&P 500
-1.9% 12 months
3
1.5% fee

Important Information

1. Past performance is no guarantee of future results.

2. Periodic and since inception performance returns are calculated daily. Monthly vs. S&P 500 return and the corresponding spark chart is calculated to the most recent month end date.

3. Benchmark returns have been calculated by Covestor using a time-weighted calculation of daily index valuations and do not include cash or transaction costs.

4. All graph data is as of the end of day for the referenced period, unless otherwise specified.