LULULEMON ATHLETICA INC's ticker is LULU and the CUSIP is 550021109. A total of 963 filers reported holding LULULEMON ATHLETICA INC in Q2 2022. The put-call ratio across all filers is 1.06 and the average weighting 0.2%.
About LULULEMON ATHLETICA INC
Lululemon Athletica Inc. is a Canadian athletic apparel company that has been making waves in the stock market recently. The company has been growing steadily over the past few years, with a focus on high-quality, fashionable athletic wear. Lululemon has a strong brand identity and a loyal customer base, which has helped it to weather the storm of the COVID-19 pandemic.
One of the key factors driving Lululemon's success is its commitment to sustainability. The company has made a number of efforts to reduce its environmental impact, including using recycled materials in its products and reducing waste in its supply chain. This has helped to attract environmentally-conscious consumers, who are willing to pay a premium for sustainable products.
Another factor contributing to Lululemon's success is its focus on innovation. The company has been investing heavily in research and development, and has introduced a number of new products in recent years. This has helped to keep the brand fresh and relevant, and has helped to attract new customers.
Overall, Lululemon Athletica Inc. is a strong company with a bright future. While there are always risks associated with investing in the stock market, Lululemon's commitment to sustainability and innovation make it a solid choice for investors looking for a long-term investment.
It's important to note that this information is for educational purposes only and has not been fact-checked. As with any investment, it's important to do your own research and consult with a financial advisor before making any investment decisions.
Quarter-by-quarter ownership
Value | Shares | Weighting | ||||
---|---|---|---|---|---|---|
Q4 2022 | $162,433 | +14.4% | 507 | 0.0% | 0.01% | +7.7% |
Q3 2022 | $142,000 | +4.4% | 507 | +1.6% | 0.01% | 0.0% |
Q2 2022 | $136,000 | -26.1% | 499 | -0.8% | 0.01% | -18.8% |
Q1 2022 | $184,000 | +26.0% | 503 | +34.5% | 0.02% | 0.0% |
Q4 2021 | $146,000 | -30.8% | 374 | -28.4% | 0.02% | -23.8% |
Q3 2021 | $211,000 | +6.6% | 522 | -3.7% | 0.02% | 0.0% |
Q2 2021 | $198,000 | +23.8% | 542 | +3.6% | 0.02% | +10.5% |
Q1 2021 | $160,000 | -14.4% | 523 | -2.8% | 0.02% | -20.8% |
Q4 2020 | $187,000 | -0.5% | 538 | -5.6% | 0.02% | -17.2% |
Q3 2020 | $188,000 | -19.7% | 570 | -24.1% | 0.03% | -27.5% |
Q2 2020 | $234,000 | +61.4% | 751 | -1.7% | 0.04% | +21.2% |
Q1 2020 | $145,000 | -11.6% | 764 | +7.8% | 0.03% | +6.5% |
Q4 2019 | $164,000 | -29.3% | 709 | -41.1% | 0.03% | -38.0% |
Q3 2019 | $232,000 | +19.0% | 1,204 | +11.1% | 0.05% | +13.6% |
Q2 2019 | $195,000 | +69.6% | 1,084 | +54.0% | 0.04% | +37.5% |
Q1 2019 | $115,000 | +0.9% | 704 | +0.3% | 0.03% | -11.1% |
Q3 2018 | $114,000 | -17.4% | 702 | -36.3% | 0.04% | -26.5% |
Q2 2018 | $138,000 | +40.8% | 1,102 | 0.0% | 0.05% | +32.4% |
Q1 2018 | $98,000 | +12.6% | 1,102 | 0.0% | 0.04% | +8.8% |
Q4 2017 | $87,000 | – | 1,102 | – | 0.03% | – |
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Other shareholders
Name | Shares | Value | Weighting ↓ |
---|---|---|---|
SIB LLC | 56,793 | $21,899,949 | 12.97% |
Cannon Global Investment Management, LLC | 2,400 | $925,464 | 6.46% |
BENDER ROBERT & ASSOCIATES | 56,974 | $21,969,744 | 6.42% |
Avala Global LP | 158,700 | $61,196,307 | 5.94% |
Value Star Asset Management (Hong Kong) Ltd | 39,980 | $15,416,687 | 5.44% |
Manchester Global Management (UK) Ltd | 36,643 | $14,129,907 | 5.41% |
BWCP, LP | 36,475 | $14,065,125 | 5.06% |
DEEPWATER ASSET MANAGEMENT, LLC | 28,400 | $10,951,324 | 5.03% |
North Fourth Asset Management, LP | 21,000 | $8,097,810 | 4.95% |
WINSLOW ASSET MANAGEMENT INC | 53,707 | $20,710 | 4.80% |