Small-Cap Value Stocks

Small-cap value has been one of the best performing investing styles over time. The combination of buying stocks that are cheap and underfollowed has been a powerful one for long-term investors. Below are the cheapest small-cap value stocks in our database using our value composite, which combines the P/E Ratio, Price/Sales, Price/Cash Flow, Price/Book, EV/EBITDA and shareholder yield.

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Cheapest Small-Cap Value Stocks

Ticker Price Market Cap
($mil)
BIG $52.09 $1,811
USM $32.47 $2,653
UNFI $22.20 $994
NAT $2.98 $457
OPY $32.58 $403
SNX $87.52 $4,548
CNSL $5.51 $413
ACCO $8.83 $851
CNO $23.60 $3,226
TDS $20.24 $2,048
SPTN $17.99 $619
DHT $5.69 $987
FRO $6.29 $1,305
VRS $12.54 $429
INSW $18.07 $531
MESA $6.54 $230
TA $32.45 $455
TNK $11.83 $402
XRX $22.49 $4,606
ANAT $97.70 $2,597
NBR $65.14 $489
CEIX $9.53 $237
LPG $13.58 $743
VRTV $23.03 $381
TPH $17.76 $2,200
QIWI $10.27 $654
RFP $7.53 $588
NGVC $14.54 $326
BZH $15.37 $474
BKD $4.59 $816
KOP $35.75 $740
TGP $13.42 $1,128
AEL $30.50 $2,763
BGFV $11.21 $283
ELP $12.49 $3,382
CLS $8.47 $1,062
WMK $47.86 $1,295
INT $31.89 $2,083
MHO $44.86 $1,265
MTH $82.03 $3,123
CMC $21.29 $2,724
APOG $36.79 $936
MCY $52.73 $2,932
GGAL $8.00 $1,631
EIG $33.00 $982
HTH $28.43 $2,679
SXC $5.62 $516
VRA $8.04 $283
CLW $40.19 $692
SANM $34.26 $2,279
SFM $20.92 $2,322
KNOP $17.62 $577
FBM $19.21 $832
ATGE $36.90 $1,892
GHC $556.75 $2,760
SATS $23.90 $2,242
HAFC $12.81 $390
AMCX $42.05 $1,695
HIBB $54.31 $921
CAI $33.69 $596
BMA $14.00 $1,630
AGO $38.49 $3,100
FL $47.85 $4,926
GEF $50.47 $2,519
HZO $42.52 $957
CTB $39.17 $2,130
HVT $33.14 $579
EBF $18.63 $481
KBAL $12.81 $484
FDP $24.55 $1,184
GPI $151.94 $2,826
SCS $13.20 $1,554
ECPG $31.81 $1,009
CASH $39.21 $1,304
THG $119.40 $4,493
PTEN $6.59 $1,237
FBC $44.71 $2,285
CRTO $19.49 $1,178
TPRE $9.99 $959
ENVA $26.37 $914
CURO $15.83 $559
NMRK $7.09 $1,282
EGO $11.26 $2,144
ODP $45.86 $2,418
DSSI $7.18 $305
STNG $13.78 $778
SUN $30.24 $2,483
MUSA $124.59 $3,680
NAVI $11.64 $2,083
HOLI $14.70 $915
REGI $80.01 $3,390
MTOR $26.34 $1,988
CPF $20.73 $594
PRIM $30.76 $1,528
SAFT $79.76 $1,201
AMKR $18.04 $4,279
WAFD $28.31 $2,168
PLAB $11.96 $768
SWM $42.02 $1,329
TEN $10.76 $954
FFIC $19.07 $531
FNB $10.97 $3,539
SBGI $33.20 $2,446
MDC $48.01 $3,075
WOR $56.22 $2,949
RDN $21.69 $4,130
ADS $71.02 $3,659
BGS $28.23 $1,713
VHC $5.69 $353
ESGR $215.36 $4,790
GTN $17.06 $1,693
BCC $48.66 $1,947
OFG $20.12 $1,050
ISBC $11.22 $2,847
DFIN $19.27 $612
TGNA $14.90 $3,359
ARCB $47.40 $1,208
PRDO $12.79 $885
BXS $30.15 $3,174
SNDR $22.72 $3,997
SPWH $17.59 $765
PBH $37.52 $1,879
HNI $33.59 $1,507
AXS $50.92 $4,302
DCOM $17.39 $585
FHI $30.74 $3,035
HMN $42.64 $1,806
HUBG $58.98 $2,031
SWX $60.11 $3,398
SMP $41.96 $971
STC $49.89 $1,404
POWL $32.94 $385
RCII $47.36 $2,422
FFG $56.95 $1,386
ASB $20.11 $3,060
MTX $66.30 $2,362
FFBC $20.33 $1,973
HE $34.13 $3,704
TRMK $30.55 $1,951
WDR $25.03 $1,572
GBX $35.71 $1,209
RGP $12.63 $389
RYAM $7.38 $500
TRTN $50.39 $3,577
INVA $12.72 $1,251
TGH $19.47 $1,011
UFS $31.39 $1,781
SSP $14.84 $1,261
MYRG $63.01 $1,054
SOHU $16.43 $626
PRG $58.62 $3,683
DAC $28.82 $674
LRN $23.84 $943
TPC $16.21 $817
AAWW $53.26 $1,439
BXC $36.23 $345
HRI $67.81 $2,093
MIK $16.47 $2,284
CCS $44.17 $1,423
HCI $54.10 $436
HWKN $53.84 $596
WERN $41.94 $2,884
SLGN $36.07 $4,115
UVV $52.27 $1,283
MTG $13.41 $4,489
NBTB $34.81 $1,542
FULT $14.52 $2,325
GCO $38.27 $591
THFF $41.80 $563
DLX $34.76 $1,369

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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.

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.