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)
ODP $21.89 $1,152
OPY $21.84 $278
GNW $2.28 $1,152
ACCO $6.53 $617
BKD $3.04 $557
TX $15.26 $2,996
KRA $16.74 $533
CNO $14.85 $2,133
QEP $1.32 $320
REGI $23.74 $927
LPG $7.35 $374
VRS $11.63 $394
DFIN $8.86 $299
HCC $14.92 $763
XRX $15.73 $3,349
ARCH $29.46 $446
DHT $5.10 $749
NMRK $4.59 $818
BBAR $3.63 $1,193
TNK $12.51 $421
BTU $2.75 $269
TDS $19.97 $2,142
PAM $10.39 $1,041
BPOP $36.22 $3,105
CMRE $5.10 $612
CPA $50.90 $2,152
INT $24.01 $1,520
ALK $36.49 $4,473
UNM $16.10 $3,275
BIG $40.37 $1,584
GBX $22.09 $722
CRS $24.19 $1,156
BPFH $6.35 $519
CMA $35.27 $4,904
SBGI $18.16 $1,455
AEL $22.82 $2,089
WCC $32.18 $1,610
BMA $18.06 $1,825
TCBI $28.68 $1,446
AMCX $23.16 $1,205
FRO $6.97 $1,392
AR $2.95 $792
CRTO $11.37 $701
NBR $34.60 $253
MTW $10.60 $366
TALO $9.01 $589
PUMP $4.90 $494
ASIX $11.55 $323
SANM $24.77 $1,690
GHC $336.77 $1,764
HFC $27.22 $4,407
DAN $11.77 $1,701
PRIM $17.53 $846
RDN $15.03 $2,862
PTEN $3.36 $627
SF $45.83 $3,139
ELP $11.02 $2,988
AIR $20.80 $730
FFBC $13.11 $1,284
HVT $15.22 $288
MHO $32.10 $916
MAN $67.93 $3,943
GIII $12.94 $622
GCO $21.31 $313
ANF $10.83 $676
APOG $22.70 $597
TK $2.30 $233
SCS $10.34 $1,187
USM $30.81 $2,630
STC $31.26 $740
RCII $26.68 $1,435
GEF $34.87 $1,834
AGO $23.95 $2,082
BJRI $19.30 $430
BKU $18.61 $1,719
CPF $15.04 $423
TPH $14.01 $1,825
INSW $15.73 $454
CURO $8.20 $334
FBM $14.87 $642
VEON $1.79 $3,087
HMHC $1.70 $213
KNOP $13.65 $455
ARCB $25.66 $648
TRTN $30.07 $2,113
VRTV $16.53 $262
BZH $9.77 $303
FBP $5.35 $1,167
KOP $18.38 $386
GGAL $9.22 $1,664
ADS $43.70 $2,081
WDR $15.49 $1,016
GPI $64.43 $1,171
MTX $46.06 $1,571
FNB $7.05 $2,278
MTG $7.92 $2,681
CMC $19.83 $2,361
MDP $14.67 $795
ANAT $68.97 $1,854
FL $29.40 $3,064
RGP $11.90 $383
TGP $11.28 $996
MYRG $32.12 $536
KAR $13.45 $1,737
MRC $5.71 $468
ENVA $14.48 $435
SNV $19.29 $2,841
NWLI $194.26 $706
FHB $16.57 $2,151
NAVI $6.90 $1,337
BHF $26.75 $2,510
HY $37.28 $626
WD $49.08 $1,528
MTOR $20.00 $1,445
BRFS $3.81 $3,092
CSIQ $20.04 $1,183
AN $37.08 $3,234
YPF $5.80 $3,529
CX $2.82 $4,304
FCF $7.62 $748
KBAL $11.32 $417
MCS $13.24 $411
GEL $6.67 $817
NCR $17.81 $2,276
ASB $13.30 $2,044
SCSC $23.21 $588
HSII $21.09 $407
CLS $6.84 $883
FDP $23.57 $1,125
ABG $76.59 $1,477
IVZ $10.55 $4,841
GTS $19.11 $455
SIG $10.60 $555
UFS $20.55 $1,134
HAFC $9.26 $284
FBC $28.07 $1,592
HAYN $23.10 $290
BCEI $15.81 $328
ISBC $8.11 $2,029
NGHC $20.85 $2,372
ATKR $26.13 $1,233
TAC $6.13 $1,692
BHLB $10.04 $504
HNI $29.00 $1,237
WBS $26.85 $2,421
EAT $22.15 $996
CTB $27.33 $1,374
FBNC $22.95 $666
CATY $25.06 $1,994
DSSI $7.90 $320

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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.