Kernodle & Katon Asset Management Group’s Lowe's Companies LOW Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2017
Q1
$404K Hold
4,915
0.24% 62
2016
Q4
$350K Buy
4,915
+315
+7% +$22.3K 0.21% 70
2016
Q3
$332K Buy
4,600
+3,733
+431% +$290K 0.21% 71
2016
Q2
$69K Buy
867
+12
+1% +$928 0.06% 112
2016
Q1
$65K Buy
855
+217
+34% +$15.3K 0.06% 104
2015
Q4
$49K Buy
+638
New +$47.4K 0.05% 114

Other funds holding LOW

Kernodle & Katon Asset Management Group's LOW Position: Q1 2017 in Review

Kernodle & Katon Asset Management Group held its Lowe's Companies (LOW) position steady in Q1 2017 at 4,915 shares worth $404K. The position accounts for 0.24% of the portfolio, ranked #62.

Kernodle & Katon Asset Management Group first reported a position in LOW in Q4 2015 and has held it in 6 quarters since. 1,296 funds tracked by Wall St. Rank hold LOW as of Q1 2017.

  • Kernodle & Katon Asset Management Group held 4,915 shares of Lowe's Companies worth $404K as of Q1 2017.
  • Kernodle & Katon Asset Management Group left its Lowe's Companies share count unchanged in Q1 2017.
  • Lowe's Companies made up 0.24% of Kernodle & Katon Asset Management Group's portfolio in Q1 2017, its #62 holding.
  • Kernodle & Katon Asset Management Group first reported a position in Lowe's Companies in Q4 2015 and has held it in 6 quarters since.
  • 1,296 funds tracked by Wall St. Rank held Lowe's Companies as of Q1 2017.

Based on Kernodle & Katon Asset Management Group's 13F filing for Q1 2017, filed 12 May 2017.