If you’re looking for stocks with rebound potential, you may be interested in this list of undervalued stocks. Below we present 15 stocks that are trading within 10% of their 52-week lows; however, they are also undervalued by several price multiples relative to their industry averages, including TTM P/E, PEG, and TTM P/CF.
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Are these stocks ready to bounce back? Use this list as a starting-off point for your own analysis. List sorted by market cap.
1. Cisco Systems, Inc. (CSCO): Networking & Communication Devices Industry. Market cap of $94.53B. The stock is currently trading 3.51% above its 52-week low. TTM P/E ratio at 12.93 vs. industry average of 26.58. PEG ratio at 1.25 vs. industry average of 1.45. TTM P/CF ratio at 9.61 vs. industry average of 21.95. The stock has lost 37.75% over the last year.
2. Hewlett-Packard Company (HPQ): Diversified Computer Systems Industry. Market cap of $87.70B. The stock is currently trading 9.23% above its 52-week low. TTM P/E ratio at 10.43 vs. industry average of 18.85. PEG ratio at 1.08 vs. industry average of 1.17. TTM P/CF ratio at 6.59 vs. industry average of 13.53. The stock has lost 24.74% over the last year.
3. Mitsubishi UFJ Financial Group, Inc. (MTU): Money Center Banks Industry. Market cap of $65.38B. The stock is currently trading 5.96% above its 52-week low. TTM P/E ratio at 7.53 vs. industry average of 12.94. PEG ratio at 0.64 vs. industry average of 1.53. TTM P/CF ratio at 5.42 vs. industry average of 11.9. The stock has lost 14.76% over the last year.
4. Teva Pharmaceutical Industries Limited (TEVA): Drug Manufacturer. Market cap of $42.96B. The stock is currently trading 1.83% above its 52-week low. TTM P/E ratio at 12.26 vs. industry average of 25.72. PEG ratio at 1.24 vs. industry average of 1.36. TTM P/CF ratio at 9.36 vs. industry average of 15.15. The stock is currently stuck in a downtrend, trading 8.07% below its SMA20, 8.37% below its SMA50, and 11.09% below its SMA200. It's been a rough couple of days for the stock, losing 8.6% over the last week.
5. Target Corp. (TGT): Discount, Variety Stores Industry. Market cap of $34.31B. The stock is currently trading 4.10% above its 52-week low. TTM P/E ratio at 12.44 vs. industry average of 20.45. PEG ratio at 1.04 vs. industry average of 1.72. TTM P/CF ratio at 7.16 vs. industry average of 9.08. The stock has lost 13.25% over the last year.
6. Best Buy Co. Inc. (BBY): Electronics Stores Industry. Market cap of $11.90B. The stock is currently trading 8.04% above its 52-week low. TTM P/E ratio at 9.65 vs. industry average of 18. PEG ratio at 0.94 vs. industry average of 1.22. TTM P/CF ratio at 6.04 vs. industry average of 12.03. The stock has lost 36.41% over the last year.
7. Logitech International SA (LOGI): Computer Peripherals Industry. Market cap of $2.63B. The stock is currently trading 4.18% above its 52-week low. TTM P/E ratio at 16.36 vs. industry average of 18.85. PEG ratio at 1.16 vs. industry average of 1.17. TTM P/CF ratio at 10.61 vs. industry average of 13.53. The stock is a short squeeze candidate, with a short float at 18.73% (equivalent to 18.34 days of average volume). The stock has performed poorly over the last month, losing 25.72%.
8. Itron, Inc. (ITRI): Scientific & Technical Instruments Industry. Market cap of $2.20B. The stock is currently trading 6.97% above its 52-week low. TTM P/E ratio at 21.34 vs. industry average of 28.43. PEG ratio at 1.56 vs. industry average of 2.04. TTM P/CF ratio at 9.35 vs. industry average of 10.58. The stock has lost 29.02% over the last year.
9. WMS Industries Inc. (WMS): Recreational Goods Industry. Market cap of $1.87B. The stock is currently trading 9.36% above its 52-week low. TTM P/E ratio at 17.19 vs. industry average of 29.75. PEG ratio at 1.36 vs. industry average of 1.76. TTM P/CF ratio at 10.66 vs. industry average of 15.94. The stock has lost 33.07% over the last year.
10. Strayer Education Inc. (STRA): Education & Training Services Industry. Market cap of $1.51B. The stock is currently trading 6.51% above its 52-week low. TTM P/E ratio at 12.37 vs. industry average of 22.61. PEG ratio at 1.34 vs. industry average of 1.66. TTM P/CF ratio at 11.05 vs. industry average of 16.93. The stock is a short squeeze candidate, with a short float at 21.14% (equivalent to 10.77 days of average volume).
11. Patni Computer Systems Limited (PTI): Business Software & Services Industry. Market cap of $1.22B. The stock is currently trading 5.19% above its 52-week low. TTM P/E ratio at 10.19 vs. industry average of 19.64. PEG ratio at 1.33 vs. industry average of 1.43. TTM P/CF ratio at 8.14 vs. industry average of 16.03. Short float at 5.92% (equivalent to 13.95 days of average volume), indicating the stock is a short squeeze candidate.
12. Capella Education Co. (CPLA): Education & Training Services Industry. Market cap of $796.64M. The stock is currently trading 6.34% above its 52-week low. TTM P/E ratio at 13.62 vs. industry average of 22.61. PEG ratio at 0.91 vs. industry average of 1.66. TTM P/CF ratio at 10.31 vs. industry average of 16.93. The stock is a short squeeze candidate, with a short float at 18.19% (equivalent to 10.35 days of average volume). The stock has lost 47.28% over the last year.
13. Grand Canyon Education, Inc. (LOPE): Education & Training Services Industry. Market cap of $625.78M. The stock is currently trading 7.84% above its 52-week low. TTM P/E ratio at 14.28 vs. industry average of 22.61. PEG ratio at 0.8 vs. industry average of 1.66. TTM P/CF ratio at 11.11 vs. industry average of 16.93. The stock is a short squeeze candidate, with a short float at 7.23% (equivalent to 5.55 days of average volume). The stock has lost 46.19% over the last year.
14. Flagstone Reinsurance Holdings SA (FSR): Property & Casualty Insurance Industry. Market cap of $571.29M. The stock is currently trading 1.74% above its 52-week low. TTM P/E ratio at 6.69 vs. industry average of 10.85. PEG ratio at 0.89 vs. industry average of 0.93. TTM P/CF ratio at 5.97 vs. industry average of 7.44. The stock has lost 27.18% over the last year.
15. hhgregg, Inc. (HGG): Electronics Stores Industry. Market cap of $477.31M. The stock is currently trading 1.09% above its 52-week low. TTM P/E ratio at 11.22 vs. industry average of 18. PEG ratio at 0.61 vs. industry average of 1.22. TTM P/CF ratio at 7.02 vs. industry average of 12.03. The stock is a short squeeze candidate, with a short float at 29.07% (equivalent to 12.72 days of average volume). It's been a rough couple of days for the stock, losing 7.61% over the last week.
Price multiples sourced from Fidelity, all other data sourced from Finviz.
Disclosure: I have no positions in any stocks mentioned, and no plans to initiate any positions within the next 72 hours.
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