LOWES COMPANIES INC - Common Stock, par value $0.50 per share (LOW)

Historical Holders from Q1 2014 to Q3 2025

Symbol
LOW on NYSE
Type / Class
Equity / Common Stock, par value $0.50 per share
Shares outstanding
565M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
428M
Holdings value
$107B
% of all portfolios
0.109%
Grand Portfolio weight change
0%
Number of holders
2606
Number of buys
1213
Number of sells
-1087
Average Value change %
0%
Average buys %
+0.008%
Average sells %
-0.009%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of LOWES COMPANIES INC - Common Stock, par value $0.50 per share (LOW)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
JPMORGAN CHASE & CO 6.5% +16.7% $9.23B $1.45B 36.7M +18.6% JPMORGAN CHASE & CO. 30 Sep 2025

Institutional Holders of LOWES COMPANIES INC - Common Stock, par value $0.50 per share (LOW)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 428M $107B -$268M $251.31 2,606
2025 Q2 430M $95.4B +$2.29B $221.87 2,578
2025 Q1 420M $97.9B -$468M $233.23 2,615
2024 Q4 425M $105B -$663M $246.80 2,684
2024 Q3 425M $115B -$182M $270.85 2,529
2024 Q2 425M $93.7B -$91M $220.46 2,433
2024 Q1 424M $108B +$36.2M $254.73 2,480
2023 Q4 425M $94.5B -$1.67B $222.55 2,443
2023 Q3 432M $89.8B +$371M $207.84 2,297
2023 Q2 430M $96.8B -$2.27B $225.70 2,329
2023 Q1 439M $87.8B -$1.79B $199.97 2,279
2022 Q4 450M $89.6B -$1.76B $199.24 2,281
2022 Q3 461M $86.5B -$3.18B $187.81 2,154
2022 Q2 477M $83.4B -$2.29B $174.67 2,150
2022 Q1 493M $99.8B -$1.73B $202.19 2,282
2021 Q4 500M $129B -$2.29B $258.48 2,382
2021 Q3 508M $103B -$2.78B $202.86 2,112
2021 Q2 523M $101B -$2.43B $193.97 2,094
2021 Q1 535M $102B -$2.47B $190.18 2,062
2020 Q4 549M $88.1B -$3.18B $160.51 2,010
2020 Q3 569M $94.3B -$264M $165.86 1,898
2020 Q2 570M $77.1B +$245M $135.12 1,799
2020 Q1 570M $49.1B -$889M $86.05 1,579
2019 Q4 575M $68.8B -$552M $119.76 1,735
2019 Q3 578M $63.6B -$1.95B $109.96 1,585
2019 Q2 597M $60.2B -$219M $100.91 1,536
2019 Q1 610M $66.8B +$236M $109.47 1,547
2018 Q4 608M $56.1B -$3.93M $92.36 1,499
2018 Q3 606M $69.6B +$363M $114.82 1,513
2018 Q2 604M $57.7B -$842M $95.57 1,471
2018 Q1 617M $54.1B +$267M $87.75 1,437
2017 Q4 614M $57B +$6.16M $92.94 1,445
2017 Q3 615M $49.1B -$1.01B $79.94 1,274
2017 Q2 629M $48.8B -$1.05B $77.53 1,271
2017 Q1 644M $53B +$4.84B $82.21 1,293
2016 Q4 647M $46B -$891M $71.12 1,233
2016 Q3 657M $47.5B -$820M $72.21 1,198
2016 Q2 668M $52.9B -$1.04B $79.17 1,204
2016 Q1 681M $51.6B -$638M $75.75 1,163
2015 Q4 691M $52.5B -$562M $76.04 1,162
2015 Q3 697M $48B -$303M $68.92 1,078
2015 Q2 708M $47.4B -$1.01B $66.97 1,077
2015 Q1 722M $53.7B -$1.19B $74.39 1,068
2014 Q4 739M $50.9B -$635M $68.80 1,029
2014 Q3 751M $39.8B -$744M $52.92 943
2014 Q2 766M $36.7B -$441M $47.99 939
2014 Q1 771M $37.7B -$270M $48.90 947