Potentially Undervalued Stocks

Finding stocks trading below their potential value requires looking beyond just P/E ratios. Our Valuation Model analyzes multiple metrics (price-to-earnings, price-to-free-cash-flow, PEG ratio, and more) to identify companies that may be mispriced. These 25 US stocks have the highest Valuation Model scores among companies with solid overall fundamentals.

Data updated: May 18, 2026

Top 25 potentially undervalued stocks ranked by Valuation Model

1
ATAT
Atour Lifestyle Holdings Ltd
Valuation Model 5.00
P/FCF 18.8x
P/E 22.1x
Overall Score 4.70
FCF Margin 19.5%
ROE 45.1%
Financial Health Score 5.00
Growth Score 5.00
Industry Hotels, Restaurants & Leisure
Market Cap $5.3B
2
PLMR
Palomar Holdings Inc
Valuation Model 5.00
P/FCF 8.8x
P/E 15.4x
Overall Score 4.67
FCF Margin 39.8%
ROE 20.9%
Financial Health Score 4.25
Growth Score 5.00
Industry Insurance
Market Cap $3B
3
TIGR
UP Fintech Holding Ltd
Valuation Model 5.00
P/FCF 1.2x
P/E 6.4x
Overall Score 4.64
FCF Margin 145.7%
ROE 19.7%
Financial Health Score 4.00
Growth Score 5.00
Industry Financial Services
Market Cap $1.1B
4
PAGS
PagSeguro Digital Ltd
Valuation Model 5.00
P/FCF 2.4x
P/E 6.1x
Overall Score 4.44
FCF Margin 25.9%
ROE 14.5%
Financial Health Score 5.00
Growth Score 3.75
Industry Financial Services
Market Cap $2.6B
5
QFIN
Qfin Holdings Inc
Valuation Model 5.00
P/FCF 1.0x
P/E 1.8x
Overall Score 4.43
FCF Margin 57.7%
ROE 24.8%
Financial Health Score 5.00
Growth Score 3.00
Industry Financial Services
Market Cap $1.6B
6
DXCM
Dexcom Inc
Valuation Model 5.00
P/FCF 17.2x
P/E 26.4x
Overall Score 4.43
FCF Margin 29.7%
ROE 31.5%
Financial Health Score 4.40
Growth Score 4.50
Industry Health Care
Market Cap $24.5B
7
ADBE
Adobe Inc
Valuation Model 5.00
P/FCF 10.0x
P/E 14.3x
Overall Score 4.40
FCF Margin 42.2%
ROE 63.0%
Financial Health Score 4.50
Growth Score 4.00
Industry Technology
Market Cap $103.2B
8
ADMA
ADMA Biologics Inc
Valuation Model 5.00
P/FCF 17.8x
P/E 11.6x
Overall Score 4.39
FCF Margin 21.1%
ROE 42.4%
Financial Health Score 4.40
Growth Score 4.67
Industry Biotechnology
Market Cap $1.9B
9
RMD
Resmed Inc
Valuation Model 5.00
P/FCF 17.0x
P/E 19.4x
Overall Score 4.36
FCF Margin 31.4%
ROE 23.4%
Financial Health Score 4.50
Growth Score 4.00
Industry Health Care
Market Cap $29.6B
10
SE
Sea Ltd
Valuation Model 5.00
P/FCF 10.1x
P/E 33.7x
Overall Score 4.35
FCF Margin 21.1%
ROE 12.5%
Financial Health Score 5.00
Growth Score 5.00
Industry Retail
Market Cap $54B
11
INTR
Inter & Co Inc
Valuation Model 5.00
P/FCF 1.8x
P/E 9.0x
Overall Score 4.35
FCF Margin 78.5%
ROE 13.9%
Financial Health Score 1.00
Growth Score 4.78
Industry Banking
Market Cap $2.5B
12
AUPH
Aurinia Pharmaceuticals Inc
Valuation Model 5.00
P/FCF 11.8x
P/E 6.6x
Overall Score 4.35
FCF Margin 55.9%
ROE 52.5%
Financial Health Score 5.00
Growth Score 4.33
Industry Biotechnology
Market Cap $2B
13
EBC
Eastern Bankshares Inc
Valuation Model 5.00
P/FCF 10.7x
P/E 11.9x
Overall Score 4.35
FCF Margin 39.0%
ROE 8.7%
Financial Health Score 2.50
Growth Score 4.71
Industry Banking
Market Cap $4.4B
14
MELI
MercadoLibre Inc
Valuation Model 4.75
P/FCF 6.8x
P/E 41.6x
Overall Score 4.44
FCF Margin 37.2%
ROE 26.4%
Financial Health Score 4.33
Growth Score 4.50
Industry Retail
Market Cap $79.8B
15
NTES
NetEase Inc
Valuation Model 4.75
P/FCF 10.0x
P/E 14.4x
Overall Score 4.37
FCF Margin 43.2%
ROE 21.1%
Financial Health Score 4.50
Growth Score 4.20
Industry Media
Market Cap $71.4B
16
LLY
Eli Lilly and Co
Valuation Model 4.50
P/FCF 89.3x
P/E 36.6x
Overall Score 4.66
FCF Margin 14.4%
ROE 81.0%
Financial Health Score 4.25
Growth Score 5.00
Industry Pharmaceuticals
Market Cap $925.9B
17
KSPI
Kaspi.kz AO
Valuation Model 4.50
P/FCF 15.5x
P/E 7.1x
Overall Score 4.65
FCF Margin 15.7%
ROE 43.1%
Financial Health Score 5.00
Growth Score 4.78
Industry Financial Services
Market Cap $16.2B
18
SFBS
ServisFirst Bancshares Inc
Valuation Model 4.50
P/FCF 11.1x
P/E 13.8x
Overall Score 4.42
FCF Margin 62.8%
ROE 15.5%
Financial Health Score 5.00
Growth Score 3.89
Industry Banking
Market Cap $4.1B
19
NEM
Newmont Corporation
Valuation Model 4.25
P/FCF 12.5x
P/E 13.9x
Overall Score 4.50
FCF Margin 37.6%
ROE 24.2%
Financial Health Score 4.80
Growth Score 5.00
Industry Metals & Mining
Market Cap $117.1B
20
BLBD
Blue Bird Corp
Valuation Model 4.25
P/FCF 12.5x
P/E 17.3x
Overall Score 4.38
FCF Margin 12.3%
ROE 44.6%
Financial Health Score 4.60
Growth Score 4.33
Industry Machinery
Market Cap $2.3B
21
IFS
Intercorp Financial Services Inc
Valuation Model 4.00
P/FCF 13.8x
P/E 5.3x
Overall Score 4.55
FCF Margin 10.0%
ROE 27.6%
Financial Health Score 4.50
Growth Score 4.56
Industry Banking
Market Cap $5.2B
22
HL
Hecla Mining Co
Valuation Model 4.00
P/FCF 23.9x
P/E 42.4x
Overall Score 4.43
FCF Margin 30.7%
ROE 10.6%
Financial Health Score 4.20
Growth Score 5.00
Industry Metals & Mining
Market Cap $11.6B
23
SSRM
SSR Mining Inc
Valuation Model 4.00
P/FCF 16.8x
P/E 28.0x
Overall Score 4.41
FCF Margin 20.3%
ROE 6.3%
Financial Health Score 5.00
Growth Score 5.00
Industry Metals & Mining
Market Cap $6.5B
24
AX
Axos Financial Inc
Valuation Model 4.00
P/FCF 18.6x
P/E 9.9x
Overall Score 4.38
FCF Margin 17.9%
ROE 15.5%
Financial Health Score 4.50
Growth Score 4.56
Industry Banking
Market Cap $4.7B
25
HALO
Halozyme Therapeutics Inc
Valuation Model 4.00
P/FCF 22.4x
P/E 25.3x
Overall Score 4.33
FCF Margin 25.5%
ROE 649.2%
Financial Health Score 4.50
Growth Score 4.00
Industry Biotechnology
Market Cap $8B

Click column headers to sort • Data updated May 18, 2026

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How We Screen potentially undervalued stocks

This list is generated using Stock Unlock's Stock Scores, which evaluate companies across seven dimensions: growth, valuation, financial health, profitability, dividends, analyst sentiment, and management effectiveness. Each company is rated 1-5 in each category, with the overall Stock Score reflecting comprehensive quality.

Filters Used

  • Exchanges: NYSE and NASDAQ
  • Valuation Model: Minimum 4/5 valuation rating (indicates potential undervaluation)
  • Stock Score: Minimum 4/5 overall quality rating
  • Market Cap: At least $1 billion (excludes micro-caps)

Results are sorted by Valuation Model (highest first) and limited to the top 25 matches.

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Frequently Asked Questions

How does Stock Unlock identify undervalued stocks?

Our Valuation Model synthesizes multiple metrics rather than relying on any single ratio: P/E (price-to-earnings), P/FCF (price-to-free-cash-flow), PEG (price-to-earnings-growth), EV/EBITDA (enterprise value to operating earnings), and price-to-book value. Each metric captures different aspects of value: P/E for earnings power, P/FCF for cash generation, PEG for growth-adjusted value. A high Valuation Model score (4-5) indicates the stock appears reasonably priced or cheap across multiple measures, reducing the chance of false signals from any single metric.

What is a value trap and how does this screen avoid them?

A value trap is a stock that looks cheap by traditional metrics but deserves its low valuation: perhaps the business is declining, margins are compressing, or debt is unsustainable. This screen avoids value traps by requiring both a high Valuation Model score AND a minimum 3/5 Stock Score. The Stock Score evaluates growth trends, profitability, financial health, and management effectiveness. A company must pass quality tests, not just valuation tests, to appear on this list. Cheap AND good is the goal, because cheap alone isn't enough.

Why use P/FCF instead of P/E for valuation?

Price-to-free-cash-flow (P/FCF) is often more reliable than P/E because earnings can be manipulated through accounting choices while cash flow is harder to fake. A company can report strong earnings through aggressive revenue recognition or depreciation policies while actually burning cash. FCF represents real money the business generates after funding operations and capital expenditures, available for dividends, buybacks, debt reduction, or acquisitions. This screen includes both metrics, but P/FCF often reveals true value that P/E might miss.

How often is this data updated?

Stock Unlock updates all stock data daily, including prices, dividend yields, financial ratios, and Stock Scores. Our screener covers 100,000+ stocks across 70+ global exchanges, ensuring you see current fundamentals rather than stale data from weeks ago.

What are Stock Scores and how are they calculated?

Stock Scores are our proprietary 1-5 ratings across seven dimensions: Valuation, Growth, Profitability, Financial Health, Dividends, Management, and Analyst sentiment. Unlike one-size-fits-all systems that treat banks, tech stocks, and REITs the same way, our algorithms are calibrated per industry using metrics specific to each business type. Scores update in real-time as prices change and when new financial data arrives. Green (4-5) indicates strength, yellow (3) is neutral, red (1-2) signals caution. They're not trading signals; they help you quickly assess fundamental health across 100,000+ stocks. Learn more about Stock Scores →

What makes Stock Unlock different from other screeners?

Most screeners like Yahoo Finance or Finviz cover only US stocks with basic filters. Stock Unlock is a complete research platform: 85+ screening criteria across 100,000+ stocks on 70+ global exchanges, proprietary Stock Scores calibrated per industry, portfolio tracking with brokerage sync, dividend analysis with 35 years of history, and tools for valuation, comparison, and deep fundamental research. Free accounts get several searches per week, with unlimited access for power users. For international investors or anyone wanting deeper analysis than basic screeners provide, Stock Unlock surfaces opportunities that US-only tools miss entirely.

Disclaimer: This is not financial advice. Stock screens are starting points for research, not buy recommendations. Past performance doesn't guarantee future results. Do your own research. Stock Unlock is not a brokerage.