14 S&P 500 Stocks With the Lowest Price / Cash Ratios

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Includes: AES, BAC, DELL, DFS, ETFC, GNW, GT, HUM, KODK, NOVL, ODP, PHM, SCHW, SLM, XL
by: Kapitall

The following is a list of S&P 500 stocks with the lowest Price/Cash ratios. If you're a value investor, this list can be an interesting starting point. We'll also list the short float for each stock (to give you an idea of the sentiment affecting these stocks). Data sourced from Finviz and Yahoo Finance.



1. Eastman Kodak Co. (EK): Photographic Equipment & Supplies Industry. Market cap of $1,018B. Price/Cash ratio at 0.78. Short float at 21.38%, which implies a short ratio of 9 days. The stock has lost -28.36% over the last year.

2. Discover Financial Services (NYSE:DFS): Credit Services Industry. Market cap of $8,329B. Price/Cash ratio at 0.81. Short float at 1.44%, which implies a short ratio of 1.4 days. The stock has gained 13.58% over the last year.

3. SLM Corporation (NYSE:SLM): Credit Services Industry. Market cap of $5,582B. Price/Cash ratio at 0.89. Short float at 5.68%, which implies a short ratio of 6 days. The stock has gained 35.18% over the last year.

4. E*TRADE Financial Corporation (NASDAQ:ETFC): Investment Brokerage Industry. Market cap of $3,068B. Price/Cash ratio at 0.95. Short float at 2.53%, which implies a short ratio of 1.39 days. The stock has lost -10.32% over the last year.

5. Humana Inc. (NYSE:HUM): Health Care Plans Industry. Market cap of $8,610B. Price/Cash ratio at 0.97. Short float at 1.73%, which implies a short ratio of 1.68 days. The stock has gained 34.64% over the last year.

6. PulteGroup, Inc. (NYSE:PHM): Residential Construction Industry. Market cap of $3,276B. Price/Cash ratio at 1.19. Short float at 11.26%, which implies a short ratio of 4.58 days. The stock has lost -30.63% over the last year.

7. Genworth Financial Inc. (NYSE:GNW): Life Insurance Industry. Market cap of $5,564B. Price/Cash ratio at 1.21. Short float at 1.86%, which implies a short ratio of 0.92 days. The stock has gained 23.86% over the last year.

8. Goodyear Tire & Rubber Co. (NYSE:GT): Rubber & Plastics Industry. Market cap of $2,352B. Price/Cash ratio at 1.4. Short float at 3.3%, which implies a short ratio of 1.73 days. The stock has lost -40.8% over the last year.

9. XL Group plc (NYSE:XL): Property & Casualty Insurance Industry. Market cap of $6,416B. Price/Cash ratio at 1.69. Short float at 4.14%, which implies a short ratio of 2.89 days. The stock has gained 13.9% over the last year.

10. Charles Schwab Corp. (NYSE:SCHW): Investment Brokerage Industry. Market cap of $16,225B. Price/Cash ratio at 1.71. Short float at 4.3%, which implies a short ratio of 3.38 days. The stock has lost -23.87% over the last year.

11. Office Depot, Inc. (NYSE:ODP): Specialty Retail Industry. Market cap of $1,087B. Price/Cash ratio at 1.88. Short float at 6.36%, which implies a short ratio of 2.49 days. The stock has lost -24.08% over the last year.

12. The AES Corporation (NYSE:AES): Electric Utilities Industry. Market cap of $8,734B. Price/Cash ratio at 1.9. Short float at 1.05%, which implies a short ratio of 1.27 days. The stock has lost -18.52% over the last year.

13. Novell Inc. (NASDAQ:NOVL): Security Software & Services Industry. Market cap of $1,994B. Price/Cash ratio at 1.91. Short float at 2.02%, which implies a short ratio of 2.19 days. The stock has gained 31.94% over the last year.

14. Dell Inc. (NASDAQ:DELL): Personal Computers Industry. Market cap of $23,959B. Price/Cash ratio at 1.93. Short float at 2.93%, which implies a short ratio of 2 days. The stock has lost -21.48% over the last year.

Disclosure: No positions