|Day Low/High||13.88 / 14.61|
|52 Wk Low/High||10.23 / 22.60|
I've built a lot of tracking portfolios over the years, and this one had the lowest variability of returns.
So far, so good, the portfolio is up about 14.5% versus 11% for the S&P Mid Cap 400 Index.
Several lesser-known banks make my stock screening cut, though higher-profile Snap-on, Tractor Supply and Manpower also are on the list.