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
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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.