Valuation + Options Snapshot

LOW

$218.54 · 52-week range $199.40 – $293.06 · as of 2026-08-10

Value

Data incomplete

Volatility setup

Premium-rich

What the numbers show

  • Current P/E: 18.5× (no 5y history available).
  • FCF yield 6.2% — modest.
  • Dividend yield 2.20% — well covered by TTM FCF (2.8×).
  • YoY growth — revenue +6.2%, EPS -2.2%, FCF +14.1%.
  • Share count down 1.2% over 8 quarters — modest buyback.
  • ATM IV 34.1% vs trailing realized vol 27.3% — +6.8 vol points premium (premium-rich for sellers).
  • Liquid chain — ATM-band put OI 12,909.
  • Trading 8.8% above 52-week low — near the bottom of its 1-year range.

Current P/E

18.5×

5y median P/E

vs 5y median

FCF yield

6.22%

Dividend yield

2.20%

Coverage (FCF / div)

2.8×

Revenue YoY

+6.2%

EPS YoY

-2.2%

FCF YoY

+14.1%

Shares Δ (8 quarters)

-1.2%

ATM implied vol

34.1%

Realized vol (1y)

27.3%

IV − RV

+6.8 pts

ATM-band put OI

12,909

Range position

9% above low

Run this analysis on any ticker

Score any name on VOL’s two-axis framework, or calculate the annualized yield of a put-selling setup against live market data.

This page is not a recommendation. It shows structural numbers and classification only. Whether LOW is a name worth owning — at any price or strike — is the analyst work the paid Value Options Letter does every week.