Cheapest Value Stocks

Last Updated: 10/11/2024

A value composite seeks to find cheap stocks using a combination of value metrics. Since all value metrics have both strengths and weaknesses, research has shown that using a combination of them can both enhance returns and limit risk. Our value composite combines the P/E Ratio, Price/Sales, Price/Cash Flow, Price/Book, EV/EBITDA and shareholder yield.

Cheapest Value Stocks

Ticker Price Market Cap
($mil)
AGRO $11.09 $1,136
AMCX $7.95 $351
AMPY $6.90 $274
CIB $31.82 $7,967
CLW $27.12 $451
CMRE $14.73 $1,760
DBD $44.83 $1,684
DAC $87.06 $1,684
DINO $45.92 $8,762
EC $8.81 $17,911
FIHL $17.94 $2,081
GGB $3.44 $6,929
GIII $30.35 $1,332
GM $47.69 $53,600
IMKTA $60.97 $1,158
JXN $98.05 $7,377
KSS $18.79 $2,090
KT $14.99 $7,547
LX $3.10 $510
LYG $3.08 $47,649
MOV $18.47 $291
PBF $33.20 $3,889
PDS $62.77 $888
SKM $22.83 $8,827
SXC $8.53 $717
TK $9.26 $850
TNK $59.05 $2,026
SPTN $21.01 $709
RYI $21.09 $700
SHEL $68.84 $210,550
PBR $14.88 $93,129
PVH $95.92 $5,354
MUR $35.51 $5,358
ORAN $11.06 $29,520
TTE $68.46 $163,690
UVE $18.96 $540
WNC $18.15 $799
MOMO $7.27 $1,282
MGA $41.27 $11,891
EQNR $25.42 $70,925
E $31.24 $51,242
GES $19.06 $980
GSM $4.41 $829
HMC $31.82 $55,668
HOV $188.39 $1,150
DOLE $15.96 $1,515
CHRD $134.15 $8,301
CNDT $3.98 $646
CAL $31.71 $1,116
ANDE $48.69 $1,659
BBVA $10.06 $58,169
BFH $49.16 $2,442
AVT $54.22 $4,738
ASC $17.55 $734
AMR $225.72 $2,938
FF $6.14 $269
GPOR $149.48 $2,707
M $15.44 $4,283
MPC $164.85 $55,173
JKS $23.05 $1,354
HVT $25.41 $419
WF $35.68 $8,829
TWI $7.00 $505
VALE $10.99 $49,805
VLO $142.71 $45,722
PCRX $15.51 $715
SMP $30.79 $669
TAP $54.39 $10,625
TEX $53.11 $3,010
STNG $70.99 $3,604
TS $32.22 $18,710
SDRL $37.94 $2,612
PK $14.29 $2,985
SB $4.81 $514
SBH $12.52 $1,285
OBE $6.25 $473
MTUS $14.60 $635
UAL $60.26 $19,816
UGP $3.75 $4,178
WHR $103.21 $5,666
HY $66.07 $1,156
KELYA $20.11 $717
LEA $105.12 $5,914
LNC $31.44 $5,351
MSBI $21.98 $470
METC $11.21 $585
GSL $25.06 $884
GTN $5.35 $551
F $10.68 $42,456
EIG $48.04 $1,193
ASO $53.12 $3,735
ATKR $85.60 $3,070
ARW $132.57 $7,019
ADM $57.29 $27,393
CSTM $14.74 $2,156
CPA $94.43 $3,928
DLX $18.76 $829
DAL $50.29 $32,458
DXC $19.91 $3,600
CMC $52.98 $6,092
AN $163.54 $6,489
AXL $6.01 $707
BWA $34.89 $7,947
GPI $354.09 $4,747
HP $35.13 $3,469
HELE $72.36 $1,654
LPG $34.65 $1,477
JILL $24.22 $365
KB $65.81 $26,290
ZEUS $39.13 $436
UFCS $19.45 $493
MTW $9.25 $325
NOV $16.18 $6,370
PHIN $44.80 $1,957
SAH $53.62 $1,830
SCS $12.60 $1,436
SU $40.46 $51,442
SYF $51.58 $20,386
TIMB $15.47 $7,459
TPH $43.15 $4,038
TM $174.35 $273,072
SPB $89.38 $2,505
SBLK $21.66 $2,574
NE $35.64 $5,962
NOMD $17.68 $2,881
OZK $42.38 $4,809
PAGS $8.15 $2,574
UGI $23.92 $5,135
VIRC $13.83 $225
WKC $30.15 $1,782
L $78.21 $17,168
MRO $28.33 $15,847
HDSN $7.69 $350
HAFC $19.30 $584
GT $8.65 $2,463
FINV $6.14 $1,595
GAP $20.71 $7,794
GCO $26.42 $296
EZPW $11.38 $623
BP $32.34 $86,966
AMBC $11.07 $525
ADT $6.71 $6,118
AIG $76.53 $49,282
CX $6.16 $9,347
CXW $12.88 $1,420
CVLG $51.41 $677
DNOW $12.71 $1,353
DK $19.10 $1,233
CAR $84.40 $3,010
CRBG $29.97 $17,743
CRI $60.68 $2,193
CNXC $46.02 $2,983
ADNT $21.88 $1,908
AMN $38.56 $1,465
EPC $34.11 $1,682
ECVT $6.57 $765
HCC $63.20 $3,306
HLF $7.19 $724
IMMR $8.32 $268
YY $35.00 $1,999
UNM $61.63 $11,449
OMI $13.46 $1,038
PTVE $11.43 $2,048
SCSC $47.69 $1,146
SIG $96.72 $4,260
TMHC $66.90 $6,974
TKC $6.31 $5,547
T $21.22 $152,153
SUPV $7.82 $754
TEF $4.77 $27,422
TSCDY $14.33 $32,191
SID $2.14 $2,813
PRG $47.15 $1,995
SCHL $27.20 $765
OSK $99.67 $6,487
NUE $150.90 $35,814
NXST $166.42 $5,368
VSCO $25.09 $1,970
WRLD $112.69 $660
WTM $1,811.19 $4,652
MT $24.76 $21,085
MTH $192.08 $6,978
MATW $21.64 $662
ACCO $5.23 $501
ALLY $35.11 $10,697
AXAHY $38.11 $83,939
BEN $20.20 $10,565
BRDCY $19.06 $27,159
BRKL $9.80 $871
BTU $26.77 $3,370
BLX $33.57 $1,235
CMCSA $41.10 $159,160
DBI $5.92 $329
DDS $360.10 $5,826
DAN $10.58 $1,534
CION $11.78 $630
CUBI $45.15 $1,431
BMBL $6.57 $831
BZH $31.38 $975
BERY $67.04 $7,683
BG $96.06 $13,607
ALNT $18.42 $310
AL $42.79 $4,766
MGM $39.59 $12,026
MITSY $439.94 $64,760
MNRO $26.71 $799
MOS $26.39 $8,409
KBH $79.81 $6,002
KR $55.21 $39,944
HPE $20.54 $26,675
HOPE $12.31 $1,486
HOUS $4.52 $503
USNA $35.79 $682
VOYA $79.13 $7,780
VIV $9.66 $15,928
NTB $36.60 $1,676
OIS $4.85 $309
PLAB $23.78 $1,507
PINC $19.11 $1,915
SLM $22.69 $4,934
SM $44.89 $5,136
SMC $35.91 $382
SKYW $88.68 $3,556
STLD $128.46 $19,822
RES $7.06 $1,518
REVG $26.50 $1,378
RYAM $8.70 $573
PAGP $18.77 $3,703
VC $91.87 $2,536
URBN $35.97 $3,319
UVSP $26.98 $787
XRX $10.12 $1,258
WMK $64.33 $1,730
HG $18.74 $1,985
EG $393.86 $17,044
LNVGY $27.62 $17,179
LKQ $38.31 $10,085
IMBBY $29.42 $24,985
CSAN $8.90 $4,173
CCS $95.99 $3,008
CEIX $109.30 $3,213
DHLGY $41.07 $49,317
DIN $30.20 $462
Performance Disclaimer: Returns presented on Validea.com are model returns and do not represent actual trading. As a result, they do not incorporate any commissions or other trading costs or fees. Model portfolios with inception dates on or after 12/30/2005 include a combination of back tested and live model returns. The back-tested performance results shown are hypothetical and are not the result of real-time management of actual accounts. The back-testing of performance differs from actual account performance because the investment strategy may be adjusted at any time, for any reason and can continue to be changed until desired or better performance results are achieved. Back-tested returns are presented to provide general information regarding how the underlying strategy behind the portfolio performed in our historical testing. A back-tested strategy has the benefit of hindsight and the results do not reflect the impact that material economic or market factors may have had on advisor's decision-making if actual client assets were being managed using this approach. The model portfolios offered on Validea are concentrated and as a result they will exhibit high levels of volatility and their performance can be substantially impacted by the performance of individual positions.

Optimal portfolios presented on Validea.com represent the rebalancing period that has led to the best historical performance for each of our equity models. Each optimal portfolio was determined after the fact with performance information that was not available at portfolio inception. As a result, an investor could not have invested in the optimal portfolio since its inception. Optimal portfolios are presented to allow investors to quickly determine the portfolio size and rebalancing period that has performed best for each of our models in our historical testing.

Both the model portfolio and benchmark returns presented for all equity portfolios on Validea.com are not inclusive of dividends. Returns for our ETF portfolios and trend following system, and the benchmarks they are compared to, are inclusive of dividends. The S&P 500 is presented as a benchmark because it is the most widely followed benchmark of the overall US market and is most often used by investors for return comparison purposes. As with any investment strategy, there is potential for profit as well as the possibility of loss and investors may incur a loss despite a past history of gains. Past performance does not guarantee future results. Results will vary with economic and market conditions.

Validea.com is a research provider that is owned and operated by The Reese Group, LLC. Validea.com offers model portfolios, screening and stock analysis that is not customized to any individual. No information on Validea.com should be construed as investment advice. Validea Capital Management is a separate investment advisory firm registered with the state of Connecticut. Validea Capital offers investment management services directly to clients and is a separate entity from The Reese Group, LLC. The Reese Group and Validea Capital are affiliated entities and share partial common ownership.