SNOW: Snowflake, Inc.

Stock

About

Snowflake, Inc. engages in the provision of cloud data warehousing software. The firm offers Data Cloud, an ecosystem where Snowflake customers, partners, data providers, and data consumers can break down data silos and derive value from data. Its platform supports a range of use cases including data warehousing, data lakes, data engineering, data science, data application development, and data sharing. The cloud-native architecture consists of layers across storage, compute, and cloud services. The storage layer ingests structured and semi-structured data to create a unified data record. The compute layer provides dedicated resources to enable users to access common data sets for many use cases without latency. The cloud services layer optimizes each use case's performance requirements with no administration. The company was founded by Marcin Zukowski, Thierry Cruanes, and Benoit Dageville on July 23, 2012 and is headquartered in Bozeman, MT.

Year Founded
2012
Employees
7,004
Sector
Information Technology
HQ Location
Bozeman, MT

Current Value

$131.26

1 Year Return

-$33.67
-20.41%

Key Details

Market Cap

$43.66B

P/E Ratio

-42.55

1Y Stock Return

-21.86%

1Y Revenue Growth

31.21%

Dividend Yield

0.00%

Price to Book

10.6

Strategies that include
SNOW

High risk

$1,200

Growth at a Fair Price

speculation
maximum growth

These stocks above $1B in Market Cap are modestly valued (PE below 15) but are in the the top 20% of stocks for revenue growth over the past 5 years. We weight them by market cap.

Top Sector

Health Care

Top Holdings

Return

+24.56%

Expense Ratio

0.00%

Holdings

229

Medium risk

$1,100

U.S. Equity Factor Rotation

growth
balanced
growth income

Optimizes returns by rotating investments across five historically successful styles: quality, value, size, minimum volatility, and momentum. By shifting focus among these factors based on forward-looking insights, this index capitalizes on market opportunities and provides a diversified approach to enhancing returns. This strategy offers a flexible and adaptive way to navigate changing markets, combining multiple styles in a single portfolio to maximize returns while managing risk.

Top Sector

Information Technology

Top Holdings

Return

+16.36%

Expense Ratio

0.00%

Holdings

70

Medium risk

$5,200

Growth Stocks

growth
balanced
growth income

Growth Stocks focuses on companies with strong growth prospects, often found in sectors driving innovation and technological advancement. This ETF invests in companies demonstrating robust revenue and earnings growth, including technology giants, healthcare innovators, and consumer discretionary leaders.

Top Sector

Information Technology

Top Holdings

Return

+18.77%

Expense Ratio

0.00%

Holdings

180

High risk

$1,000

Desi CEO Focus

speculation
maximum growth

Created by finding company's with CEO's of Indian Heritage. CEO data was last updated in Oct 2024, and was is a snapshot and not a complete list of every possible Indian CEO. Please review the individual holding closely before investing.

Top Sector

Information Technology

Top Holdings

Return

+23.25%

Expense Ratio

0.00%

Holdings

18

Medium risk

$3,600

USA Mid-Cap Companies

growth
balanced
growth income

Targeting mid-sized U.S. companies, striking a balance between growth potential and stability. Investing in sectors like industrials, technology, consumer goods, and healthcare, it offers exposure to companies with established market positions and growth opportunities.

Top Sector

Industrials

Top Holdings

Return

+11.46%

Expense Ratio

0.00%

Holdings

310

High risk

$1,000

Sequoia Capital Investments

speculation
maximum growth

Sequoia Capital is considered by many to be the worlds best venture capital firm. This Strategy comprises of all the eligible stocks that they've invested in. We've equally weighted the strategy.

Top Sector

Information Technology

Top Holdings

Return

+17.50%

Expense Ratio

0.00%

Holdings

33

High risk

$8,000

Information Technology Sector

speculation
maximum growth

This strategy concentrates on the technology sector, including companies involved in software, hardware, IT services, and semiconductor industries. It captures the growth potential of tech companies driving innovation and digital transformation, appealing to investors seeking exposure to this dynamic sector.

Top Sector

Information Technology

Top Holdings

Return

+22.36%

Expense Ratio

0.00%

Holdings

282

Medium risk

$13,000

US 1000

growth
balanced
growth income

This strategy tracks a market-cap-weighted index of the 1000-largest US companies. It offers broad exposure to the US equity market, encompassing a diverse range of sectors and industries. By investing in this fund, you gain access to the performance of large and well-established companies within the US economy.

Top Sector

Information Technology

Top Holdings

Return

+19.47%

Expense Ratio

0.00%

Holdings

391

High risk

$1,000

Cloud Computing

speculation
maximum growth

This strategy tracks US companies primarily focused on cloud software and services. Stocks are equal weighted in the index.

Top Sector

Information Technology

Top Holdings

Return

+9.11%

Expense Ratio

0.00%

Holdings

64

Medium risk

$33,000

US 1000

growth
balanced
growth income

This strategy tracks a market-cap-weighted index of the 1000-largest US companies. It offers broad exposure to the US equity market, encompassing a diverse range of sectors and industries. By investing in this fund, you gain access to the performance of large and well-established companies within the US economy.

Top Sector

Information Technology

Top Holdings

Return

+15.03%

Expense Ratio

0.00%

Holdings

995

Create your own
strategy with

SNOW
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Stock's related to
SNOW

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MDB55.17%$21.36B-28.69%0.00%
DDOG52.46%$45.32B+19.19%0.00%
XMTR49.14%$1.48B+50.13%0.00%
NET46.88%$33.09B+30.49%0.00%
AMZN46.47%$2.15T+42.19%0.00%
PTC45.31%$22.74B+21.30%0.00%
BRZE44.40%$3.72B-30.26%0.00%
DOCN42.54%$3.51B+33.83%0.00%
GTLB42.08%$9.77B+31.98%0.00%
MQ41.84%$1.96B-36.48%0.00%
DAVA41.75%$1.16B-59.28%0.00%
AMPL41.45%$1.34B-0.66%0.00%
ASAN41.07%$3.14B-33.65%0.00%
TY41.06%--3.32%
SDGR40.93%$1.38B-35.46%0.00%
DV40.77%$3.26B-37.48%0.00%
FA40.54%$3.04B+17.64%0.00%
ZS40.36%$31.16B+6.79%0.00%
S40.23%$8.76B+59.38%0.00%
BSY39.94%$14.13B-11.17%0.49%

Uncorrelated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
T-0.06%$163.09B+40.40%4.87%
HE0.06%$1.82B-17.47%0.00%
TR-0.10%$2.33B-0.74%1.10%
KHC0.17%$36.98B-10.45%5.23%
PLMR-0.18%$2.84B+79.77%0.00%
CI0.20%$89.70B+12.57%1.68%
IMNN-0.25%$10.02M-22.89%0.00%
INSW0.25%$2.07B+1.70%1.14%
MRCC0.28%--11.82%
NR-0.35%$620.19M+0.14%0.00%
MNST0.40%$52.25B-1.95%0.00%
COP-0.43%$130.16B-1.63%2.59%
TSN0.44%$21.95B+31.14%3.11%
JNJ-0.47%$368.37B+1.24%3.18%
SAVA0.50%$1.35B+25.50%0.00%
DOGZ-0.55%$614.77M+1,372.26%0.00%
DG-0.60%$16.82B-37.95%3.17%
SWBI-0.62%$592.05M-5.38%3.79%
FENG-0.64%$13.37M+96.77%0.00%
CLLS0.69%$141.30M-30.99%0.00%

Inversely Correlated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
COR-18.18%$47.48B+21.20%0.86%
HLN-17.80%$42.91B+13.94%1.67%
HRL-16.09%$16.30B-8.38%3.81%
WEC-14.26%$31.33B+22.40%3.38%
KODK-13.70%$422.90M+41.40%0.00%
ED-13.52%$33.59B+7.16%3.43%
MCK-13.14%$78.15B+35.51%0.42%
GIS-12.05%$34.85B-2.91%3.78%
CYD-11.86%$364.46M-2.94%4.26%
D-11.86%$48.38B+24.06%4.62%
CPB-11.73%$12.96B+7.08%3.40%
K-10.09%$27.77B+52.50%2.79%
MNR-9.57%$1.66B-10.71%15.90%
PNW-9.34%$10.34B+26.67%3.90%
TCTM-9.21%$8.10M-42.99%0.00%
HUSA-9.12%$16.69M-11.56%0.00%
ETR-8.57%$32.14B+49.00%3.05%
FDP-8.53%$1.62B+45.67%2.97%
EXC-8.50%$39.29B+0.57%3.88%
TIGO-8.41%$4.45B+59.08%0.00%

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NameCorrelationAUMExpense Ratio
QQA61.08%$135.01M0%
FDN60.25%$6.98B0.51%
WCLD59.01%$454.67M0.45%
SKYY58.43%$3.41B0.6%
CLOU57.36%$349.39M0.68%
IGV56.48%$9.18B0.41%
TECB55.89%$429.37M0.3%
PNQI55.65%$834.26M0.6%
WTAI55.01%$192.86M0.45%
XSW54.73%$402.79M0.35%
HLAL54.07%$558.76M0.5%
FXL54.05%$1.39B0.62%
RSPA53.69%$273.87M0%
METV53.57%$339.15M0.59%
VV53.54%$39.13B0.04%
ESGV53.39%$9.91B0.09%
SECT53.21%$2.00B0.77%
SCHG53.16%$35.11B0.04%
PFUT53.13%$326.69M0.64%
IYY53.12%$2.29B0.2%

Uncorrelated ETFs

NameCorrelationAUMExpense Ratio
CTA-0.05%$350.27M0.78%
MINT0.09%$11.62B0.35%
DUSB0.20%$797.63M0.15%
GSG-0.28%$914.42M0.75%
COMT-0.34%$829.06M0.48%
VTIP-0.36%$11.71B0.04%
STPZ-0.44%$483.31M0.2%
DBA-0.74%$755.88M0.93%
CLOI0.88%$715.40M0.4%
STIP1.03%$8.74B0.03%
ICSH-1.09%$5.57B0.08%
TPMN-1.11%$40.60M0.65%
SCHO1.14%$11.10B0.03%
IVOL1.19%$548.70M1.02%
PDBC1.24%$4.40B0.59%
HDRO-1.25%$164.26M0.3%
BSCO-1.26%$2.35B0.1%
BOXX-1.39%$4.43B0.1949%
FMF1.43%$244.61M0.95%
IBTE-1.53%$1.70B0.07%

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