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 $51.10 $2,006
SBGI $19.09 $1,420
OPY $25.62 $322
GNW $3.76 $2,233
ACCO $6.53 $617
BKD $3.29 $603
CNO $18.82 $2,667
QEP $0.94 $228
TDS $17.29 $1,851
DHT $5.13 $876
LPG $8.91 $455
FRO $6.45 $1,263
VRS $8.30 $279
INSW $14.71 $412
TA $27.76 $400
XRX $19.89 $4,237
TNK $10.38 $349
NBR $29.50 $215
ANAT $72.15 $1,940
VEON $1.29 $2,375
HCC $14.71 $753
ATGE $27.24 $1,419
NMRK $4.99 $894
SPTN $20.78 $724
BPOP $41.21 $3,471
SANM $26.15 $1,772
AMCX $23.91 $1,244
KRA $29.76 $948
CNSL $5.13 $375
BMA $12.90 $1,933
GTS $19.50 $457
ELP $11.88 $3,051
USM $29.33 $2,521
INT $23.39 $1,485
UNM $19.64 $3,998
CMC $21.22 $2,538
MCY $41.58 $2,302
WMK $47.60 $1,280
SCS $11.80 $1,355
GGAL $6.60 $1,761
TGP $10.85 $943
PTEN $2.81 $527
KOP $24.42 $514
AGO $27.95 $2,335
PRIM $19.72 $952
BRFS $3.37 $2,736
CRTO $13.00 $780
GHC $411.39 $1,684
KNOP $13.70 $456
CPF $15.03 $423
FBM $16.13 $697
ODP $22.17 $1,168
DFIN $13.85 $469
ENVA $17.32 $522
ATKR $22.86 $1,080
BZH $13.05 $405
HOLI $11.59 $702
PAM $11.39 $1,733
REGI $61.86 $2,431
WDR $16.95 $1,105
CLS $6.89 $890
ATI $9.45 $1,198
YPF $3.45 $3,153
GIII $14.87 $719
GCO $20.75 $311
MHO $41.79 $1,193
APOG $27.62 $729
ASB $14.24 $2,188
BPFH $6.60 $542
FBNC $24.50 $710
FFBC $14.54 $1,425
GBX $33.02 $1,080
HVT $23.46 $440
UVV $41.78 $1,023
SF $61.61 $4,224
NAT $3.28 $494
AEL $26.85 $2,470
HFC $19.93 $3,229
PDM $13.10 $1,651
CAI $30.49 $535
FBC $31.95 $1,826
ISBC $8.18 $2,044
EPC $28.18 $1,532
PUMP $4.30 $434
DAC $9.29 $230
FINV $2.20 $415
ASIX $15.51 $435
TRTN $36.66 $2,515
FHB $16.77 $2,178
SFM $20.85 $2,459
PAG $55.31 $4,443
THG $103.12 $3,890
TX $21.02 $4,214
EIG $33.10 $969
TILE $6.32 $370
RDN $17.69 $3,389
ADS $49.58 $2,366
HZO $27.90 $603
KBH $36.56 $3,310
PLAB $10.23 $672
RCII $32.30 $1,739
SWM $34.33 $1,076
CATY $24.38 $1,941
FCF $9.08 $891
EBIX $20.07 $620
STC $42.14 $1,126
MTH $96.34 $3,623
WAFD $22.84 $1,729
GEF $43.82 $2,190
AMKR $13.11 $3,161
MRC $4.93 $405
WD $61.14 $1,903
HIBB $46.36 $767
MYRG $44.32 $741
NAVI $9.15 $1,774
HRI $44.83 $1,307
STNG $10.94 $643
BHF $32.41 $3,015
PQG $12.54 $1,706
SUN $25.15 $2,089
ARCB $33.69 $857
TPH $16.79 $2,188
SATS $25.97 $2,545
BKU $26.77 $2,474
RFP $5.05 $418
VRA $7.26 $243
CLW $39.69 $658
UFS $27.05 $1,493
FDP $25.02 $1,184
FHI $24.82 $2,487
TKC $5.19 $4,564
FL $38.89 $4,060
MTG $10.20 $3,453
DVN $9.34 $3,575
FNB $7.89 $2,550
MTX $58.38 $1,992
MLI $29.64 $1,692
NCR $22.58 $2,899
HMN $35.61 $1,472
HUBG $52.42 $1,792
GTN $13.31 $1,278
DCOM $12.93 $427
WOR $50.80 $2,762
TRMK $24.40 $1,548
FBP $6.68 $1,457
MTOR $25.75 $1,861
HLX $2.71 $407
MUSA $125.75 $3,669
LE $14.47 $472
CATM $20.57 $915
MIK $9.65 $1,423
HMHC $3.07 $386
HY $44.94 $755
DAN $15.76 $2,277
GPK $13.91 $3,767
FF $12.73 $557
UEIC $38.79 $540
CCU $12.25 $2,228
IBOC $29.09 $1,840
MGLN $77.97 $1,973
MTZ $49.38 $3,645
MCS $8.09 $251
CMTL $16.21 $405
FFG $50.65 $1,235
FULT $11.32 $1,835
RTLR $6.59 $1,000

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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.