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The following is a list of low risk companies trading near their 52-week lows, as defined by the Zacks Investment Research risk ratings. All of these stocks have market caps north of $1B, with expected earnings growth exceeding 10% over the next 3-5 years.

Risk ratings sourced from Zacks Investment Research, short float data sourced from Finviz.



1. Applied Materials Inc. (NASDAQ:AMAT): Technology Industry. Market cap of $14,209B. Short float at 1.85%, which implies a short ratio of 1.13 days. The stock has lost -20.99% over the last year.

2. Bio-Rad Laboratories, Inc. (NYSE:BIO): Technology Industry. Market cap of $2,340B. Short float at 0.87%, which implies a short ratio of 1.92 days. The stock has lost -4.38% over the last year.

3. Covidien plc (NYSE:COV): Healthcare Industry. Market cap of $18,342B. Short float at 0.36%, which implies a short ratio of 0.39 days. The stock has lost -5.41% over the last year.

4. Giant Interactive Group, Inc. (NYSE:GA): Services Industry. Market cap of $1,387B. Short float at 0.22%, which implies a short ratio of 1.88 days. The stock has lost -19.1% over the last year.

5. China Life Insurance Co. Ltd. (NYSE:LFC): Financial Industry. Market cap of $109,949B. Short float at 0.55%, which implies a short ratio of 4.21 days. The stock has lost -11.38% over the last year.

6. SAIC, Inc. (SAI): Services Industry. Market cap of $5,668B. Short float at 4.01%, which implies a short ratio of 5.42 days. The stock has lost -14.04% over the last year.

7. Silicon Laboratories, Inc. (NASDAQ:SLAB): Technology Industry. Market cap of $1,590B. Short float at 17.77%, which implies a short ratio of 9.18 days. The stock has lost -27.04% over the last year.

8. Smith & Nephew plc (NYSE:SNN): Healthcare Industry. Market cap of $7,381B. Short float at 0.45%, which implies a short ratio of 8.21 days. The stock has lost -4.22% over the last year.

9. Safeway Inc. (NYSE:SWY): Services Industry. Market cap of $7,430B. Short float at 7.9%, which implies a short ratio of 5.03 days. The stock has gained 1.51% over the last year.

10. Toyota Motor Corp. (NYSE:TM): Consumer Goods Industry. Market cap of $108,380B. Short float at 0.12%, which implies a short ratio of 2.58 days. The stock has lost -17.54% over the last year.

11. Taiwan Semiconductor Manufacturing Co. Ltd. (NYSE:TSM): Technology Industry. Market cap of $49,323B. Short float at 0.44%, which implies a short ratio of 1.72 days. The stock has lost -9.68% over the last year.


Disclosure: No positions

Source: 11 Low Risk Companies Trading Near 52-Week Lows