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The following is a list of 30 oversold stocks, as defined by the Relative Strength, or RSI(14), indicator. All of the stocks mentioned below have RSI(14) levels below 40, which usually signals oversold conditions.

In addition, all of these stocks have solid management teams, as defined by the return on asset, return on investment and return on equity ratios. Based on average ratios over the past five years, all of these management teams have outperformed their competitors.

Considering the track record of the management teams listed below, are these stocks worth a closer look? Full details below.

Management data sourced from Reuters, RSI(14) values sourced from Finviz.

click for expanded image

1. Perusahaan Perseroan Telekomunikasi Indonesia Tbk. (NYSE:TLK): Telecom Services Industry. Market cap of $17.93B. RSI(14) at 38.58. 5-year average return on assets at 19.18% vs. industry average at 4.15%. 5-year average return on investments at 30.32% vs. industry average at 5.85%. 5-year return on equity at 37.0% vs. industry average at 8.61%. Short float at 0.41%, which implies a short ratio of 2.83 days. The stock has lost -2.83% over the last year.

2. LHC Group, Inc. (NASDAQ:LHCG): Home Health Care Industry. Market cap of $462.14M. RSI(14) at 38.16. 5-year average return on assets at 19.92% vs. industry average at 3.29%. 5-year average return on investments at 24.69% vs. industry average at 4.24%. 5-year return on equity at 20.25% vs. industry average at 6.06%. Short float at 10.1%, which implies a short ratio of 10.07 days. The stock has lost -21.44% over the last year.

3. NutriSystem Inc. (NASDAQ:NTRI): Consumer Services Industry. Market cap of $513.29M. RSI(14) at 35.36. 5-year average return on assets at 38.0% vs. industry average at 7.22%. 5-year average return on investments at 51.72% vs. industry average at 9.82%. 5-year return on equity at 51.70% vs. industry average at 14.25%. Short float at 32.99%, which implies a short ratio of 26.43 days. The stock has lost -20.95% over the last year.

4. DreamWorks Animation SKG Inc. (NASDAQ:DWA): Movie Production Industry. Market cap of $2.63B. RSI(14) at 39.92. 5-year average return on assets at 9.67% vs. industry average at 1.99%. 5-year average return on investments at 12.61% vs. industry average at 2.45%. 5-year return on equity at 12.62% vs. industry average at 3.39%. Short float at 7.84%, which implies a short ratio of 8.26 days. The stock has lost -17.59% over the last year.

5. Philippine Long Distance Telephone Co. (NYSE:PHI): Telecom Services Industry. Market cap of $10.37B. RSI(14) at 39.18. 5-year average return on assets at 14.63% vs. industry average at 4.15%. 5-year average return on investments at 19.02% vs. industry average at 5.85%. 5-year return on equity at 40.45% vs. industry average at 8.61%. Short float at 0.2%, which implies a short ratio of 2.05 days. The stock has gained 6.66% over the last year.

6. Harbin Electric, Inc. (NASDAQ:HRBN): Industrial Electrical Equipment Industry. Market cap of $508.44M. RSI(14) at 37.37. 5-year average return on assets at 12.46% vs. industry average at 4.54%. 5-year average return on investments at 14.97% vs. industry average at 6.26%. 5-year return on equity at 18.24% vs. industry average at 4.75%. Short float at 20.76%, which implies a short ratio of 5.53 days. The stock has lost -25.71% over the last year.

7. Noble Corp. (NYSE:NE): Oil & Gas Drilling & Exploration Industry. Market cap of $8.47B. RSI(14) at 39.28. 5-year average return on assets at 19.71% vs. industry average at 5.93%. 5-year average return on investments at 21.37% vs. industry average at 7.71%. 5-year return on equity at 26.98% vs. industry average at 10.78%. Short float at 1.97%, which implies a short ratio of 1.26 days. The stock has lost -13.98% over the last year.

8. Aeropostale, Inc. (NYSE:ARO): Apparel Stores Industry. Market cap of $2.13B. RSI(14) at 35.37. 5-year average return on assets at 24.46% vs. industry average at 8.84%. 5-year average return on investments at 34.54% vs. industry average at 13.13%. 5-year return on equity at 47.03% vs. industry average at 15.07%. Short float at 7.74%, which implies a short ratio of 2.06 days. The stock has gained 19.64% over the last year.

9. National Health Investors Inc. (NYSE:NHI): REIT Industry. Market cap of $1.22B. RSI(14) at 37.09. 5-year average return on assets at 10.96% vs. industry average at 3.29%. 5-year average return on investments at 11.86% vs. industry average at 4.24%. 5-year return on equity at 13.63% vs. industry average at 6.06%. Short float at 2.94%, which implies a short ratio of 6.85 days. The stock has gained 38.68% over the last year.

10. Texas Pacific Land Trust (NYSE:TPL): Diversified Investments Industry. Market cap of $358.43M. RSI(14) at 36.7. 5-year average return on assets at 29.38% vs. industry average at 8.61%. 5-year average return on investments at 30.94% vs. industry average at 12.27%. 5-year return on equity at 38.92% vs. industry average at 16.45%. Short float at 0.63%, which implies a short ratio of 2.22 days. The stock has gained 33.84% over the last year.

11. Mindray Medical International Limited (NYSE:MR): Medical Instruments & Supplies Industry. Market cap of $2.85B. RSI(14) at 39.71. 5-year average return on assets at 18.43% vs. industry average at 5.71%. 5-year average return on investments at 24.73% vs. industry average at 8.05%. 5-year return on equity at 25.98% vs. industry average at 12.83%. Short float at 20.04%, which implies a short ratio of 18.13 days. The stock has lost -12.74% over the last year.

12. Gentiva Health Services Inc. (NASDAQ:GTIV): Home Health Care Industry. Market cap of $662.14M. RSI(14) at 37.34. 5-year average return on assets at 7.94% vs. industry average at 3.29%. 5-year average return on investments at 10.0% vs. industry average at 4.24%. 5-year return on equity at 18.04% vs. industry average at 6.06%. Short float at 5.75%, which implies a short ratio of 5.83 days. The stock has lost -6.73% over the last year.

13. Alkermes, Inc. (NASDAQ:ALKS): Drug Delivery Industry. Market cap of $1.01B. RSI(14) at 33.73. 5-year average return on assets at 10.06% vs. industry average at 4.67%. 5-year average return on investments at 11.59% vs. industry average at 5.47%. 5-year return on equity at 22.87% vs. industry average at 7.19%. Short float at 6.21%, which implies a short ratio of 4.33 days. The stock has gained 20.02% over the last year.

14. The Kroger Co. (NYSE:KR): Grocery Stores Industry. Market cap of $13.46B. RSI(14) at 34.83. 5-year average return on assets at 4.22% vs. industry average at 2.06%. 5-year average return on investments at 6.46% vs. industry average at 3.60%. 5-year return on equity at 19.45% vs. industry average at 5.14%. Short float at 2.1%, which implies a short ratio of 1.89 days. The stock has lost -3.39% over the last year.

15. DIRECTV (NASDAQ:DTV): CATV Systems Industry. Market cap of $34.75B. RSI(14) at 33.19. 5-year average return on assets at 7.37% vs. industry average at 4.52%. 5-year average return on investments at 9.57% vs. industry average at 1.22%. 5-year return on equity at 18.25% vs. industry average at 10.87%. Short float at 2.97%, which implies a short ratio of 3.3 days. The stock has gained 27.34% over the last year.

16. Cisco Systems, Inc. (NASDAQ:CSCO): Networking & Communication Devices Industry. Market cap of $105.7B. RSI(14) at 28.25. 5-year average return on assets at 12.41% vs. industry average at 5.35%. 5-year average return on investments at 16.27% vs. industry average at 8.03%. 5-year return on equity at 21.51% vs. industry average at 9.15%. Short float at 0.71%, which implies a short ratio of 0.56 days. The stock has lost -19.97% over the last year.

17. Buffalo Wild Wings Inc. (NASDAQ:BWLD): Restaurants Industry. Market cap of $829.46M. RSI(14) at 33.3. 5-year average return on assets at 10.53% vs. industry average at 3.90%. 5-year average return on investments at 12.81% vs. industry average at 5.20%. 5-year return on equity at 14.82% vs. industry average at 9.55%. Short float at 16.34%, which implies a short ratio of 7.93 days. The stock has gained 14.86% over the last year.

18. Alon Holdings Blue Square (NYSE:BSI): Grocery Stores Industry. Market cap of $366.61M. RSI(14) at 33.22. 5-year average return on assets at 3.68% vs. industry average at 2.06%. 5-year average return on investments at 6.60% vs. industry average at 3.60%. 5-year return on equity at 12.42% vs. industry average at 5.14%. Short float at 1.22%, which implies a short ratio of 2.35 days. The stock has gained 3.14% over the last year.

19. China Automotive Systems Inc. (NASDAQ:CAAS): Auto Parts Industry. Market cap of $401.65M. RSI(14) at 39.81. 5-year average return on assets at 9.35% vs. industry average at 5.53%. 5-year average return on investments at 27.06% vs. industry average at 8.30%. 5-year return on equity at 17.17% vs. industry average at 10.41%. Short float at 17.08%, which implies a short ratio of 4.39 days. The stock has lost -29.84% over the last year.

20. Oppenheimer Holdings Inc. (NYSE:OPY): Investment Brokerage Industry. Market cap of $320.64M. RSI(14) at 39.24. 5-year average return on assets at 1.41% vs. industry average at 0.88%. 5-year average return on investments at 4.91% vs. industry average at 2.49%. 5-year return on equity at 7.39% vs. industry average at 3.12%. Short float at 4.29%, which implies a short ratio of 18.01 days. The stock has lost -24.91% over the last year.

21. PS Business Parks Inc. (NYSE:PSB): REIT Industry. Market cap of $1.32B. RSI(14) at 35.24. 5-year average return on assets at 5.58% vs. industry average at 2.37%. 5-year average return on investments at 7.06% vs. industry average at 2.78%. 5-year return on equity at 5.09% vs. industry average at 4.64%. Short float at 3.07%, which implies a short ratio of 5.59 days. The stock has gained 12.42% over the last year.

22. American States Water Company (NYSE:AWR): Water Utilities Industry. Market cap of $651.33M. RSI(14) at 39.41. 5-year average return on assets at 2.70% vs. industry average at 1.40%. 5-year average return on investments at 3.0% vs. industry average at 1.71%. 5-year return on equity at 8.74% vs. industry average at 4.39%. Short float at 3.22%, which implies a short ratio of 6.2 days. The stock has gained 7.66% over the last year.

23. Frontline Ltd. (NYSE:FRO): Shipping Industry. Market cap of $2.03B. RSI(14) at 37.06. 5-year average return on assets at 12.34% vs. industry average at 9.32%. 5-year average return on investments at 15.13% vs. industry average at 10.63%. 5-year return on equity at 73.23% vs. industry average at 21.19%. Short float at 10.4%, which implies a short ratio of 4.43 days. The stock has lost -2.58% over the last year.

24. Suburban Propane Partners LP (NYSE:SPH): Gas Utilities Industry. Market cap of $1.89B. RSI(14) at 33.47. 5-year average return on assets at 12.27% vs. industry average at 8.72%. 5-year average return on investments at 15.41% vs. industry average at 11.43%. 5-year return on equity at 56.14% vs. industry average at 18.30%. Short float at 0.4%, which implies a short ratio of 1.46 days. The stock has gained 29.64% over the last year.

25. Turkcell Iletisim Hizmetleri AS (NYSE:TKC): Wireless Communications Industry. Market cap of $15.B. RSI(14) at 36.98. 5-year average return on assets at 16.61% vs. industry average at 9.41%. 5-year average return on investments at 23.11% vs. industry average at 12.70%. 5-year return on equity at 26.06% vs. industry average at 17.14%. Short float at 0.73%, which implies a short ratio of 3.53 days. The stock has gained 5.44% over the last year.

Source: 25 Oversold Stocks With Solid Management Teams