Posts Tagged ‘below’

Ideas – 81 Stocks Selling Below Cash

Thursday, June 24th, 2010
Name Symbol M. Cap Cash/Price Book Value Debt/Equity Industry
ALPINE GROUP INC APNI $1.8M 6.8 0.2 12.06% Industrials
LEADIS TECHNOLOGY LDIS $6.5M 4.4 0.2 0.00% Information Technology
QIAO XING UNIVERSAL RESOURCES, INC. COMMON STOCK XING $117.0M 4.1 0.2 27.83% Materials
TRAVELCENTERS OF AMERICA LLC TA $45.2M 3.4 0.2 26.84% Consumer Discretionary
CHINA CRESCENT ENTERP INC CCTR $4.2M 3.3 0.1 11.56% Information Technology
PROGEN FPO PGLA $7.4M 3 0.3 0.00% Health Care
INFOSONICS CORP IFON $9.1M 2.8 0.4 34.23% Consumer Discretionary
PARTICLE DRILLING PDTR $212.3K 2.4 0.1 11.67% Energy
THE9 LIMITED – AMERICAN DEPOSITORY SHARES REPRESENTING ONE ORDINARY SHARE NCTY $104.1M 2.4 0.3 0.00% Information Technology
EXPRESSJET HOLDINGS INC. XJT $49.7M 2.1 0.3 17.17% Industrials
ALTEX INDUSTRIES INC ALTX $1.7M 2.1 0.4 0.00% Energy
MGT CAPITAL INVESTMENTS INC MGT $7.5M 2.1 0.9 0.00% Health Care
FORBES MEDI-TECH FMTI $695.8K 2.1 0.4 0.00% Health Care
ENVOY CAPITAL GRP COM NPV ECGI $7.9M 2 0.4 4.43% Consumer Discretionary
BONSO ELECTRONICS INTERNATIONAL, INC. BNSO $5.6M 2 0.4 17.87% Information Technology
ADM TRONICS UNLTD ADMT $539.4K 2 0.4 13.37% Materials
DAXOR CORP DXR $42.5M 1.9 0.9 1.64% Health Care
HUTCHINSON TECHNOLOGY INCORPORATED HTCH $105.1M 1.9 0.3 42.39% Information Technology
CHINA MASS MEDIA CMM $48.9M 1.8 0.7 0.00% Consumer Discretionary
LIVEDEAL, INC. LIVE $3.2M 1.8 0.4 1.41% Information Technology
MELO BIOTECHNOLG HLD MLOBF $236.0K 1.7 0.1 0.00% Consumer Discretionary
LINKTONE LTD. – AMERICAN DEPOSITORY SHARES LTON $57.2M 1.7 0.4 0.00% Telecommunication Services
UNITED AMERICAN HEALTHCARE CORPORATION UAHC $5.5M 1.7 0.5 0.00% Health Care
ALL AMERICAN GROUP INC COHM $8.9M 1.7 0.2 12.15% Consumer Discretionary
CHINA 3C GROUP CHCG $17.5M 1.6 0.2 0.00% Information Technology
INTL LOTT & TOTL SYS ITSI $3.5M 1.6 0.9 0.00% Information Technology
ASPEN EXPLORATION CORP ASPN $2.2M 1.6 0.6 0.00% Energy
DEFENSE IND INTL INC DFNS $4.5M 1.5 0.4 6.51% Industrials
MYRIAD PHARMACEUTICALS, INC. MYRX $97.6M 1.5 0.6 0.00% Health Care
GRAVITY CO., LTD. – AMERICAN DEPOSITORY SHARES GRVY $43.1M 1.5 0.6 0.00% Information Technology
PARAGON TECH INC PGNT $3.7M 1.5 0.7 0.00% Industrials
OPTIBASE LTD. OBAS $23.1M 1.4 0.7 33.79% Information Technology
ACTIONS SEMICONDUCTOR CO., LTD. – AMERICAN DEPOSITARY SHARES ACTS $188.3M 1.4 0.6 0.00% Information Technology
GLOBAL-TECH ADVANCED INNOVATIONS INC. GAI $32.5M 1.4 0.4 0.00% Consumer Discretionary
PLUG POWER, INC. PLUG $74.7M 1.4 1 40.55% Industrials
CHINA TECHFAITH WIRELESS COMMUNICATION TECH LTD – ADR CNTF $132.1M 1.4 0.5 5.16% Information Technology
ARC WIRELESS SOLUTIONS, INC. ARCW $8.5M 1.3 0.7 0.90% Information Technology
NEWTEK BUSINESS SERVICES INC. NEWT $49.2M 1.3 0.9 22.76% Information Technology
INSMED, INC. INSM $91.8M 1.3 0.7 0.00% Health Care
MEADE INSTRUMENTS CORP. MEAD $3.9M 1.3 0.3 0.00% Consumer Discretionary
INTERPHASE CORPORATION INPH $12.2M 1.3 0.7 17.08% Information Technology
SIMON WORLDWIDE INC SWWI $10.2M 1.3 0.8 0.00% Consumer Discretionary
NOVOGEN LIMITED – AMERICAN DEPOSITARY SHARES NVGN $14.1M 1.3 0.9 0.00% Health Care
COSINE COMM INC COSN $17.4M 1.3 0.8 0.00% Information Technology
HAMPSHIRE GROUP LT# HAMP $31.6M 1.3 0.6 0.20% Consumer Discretionary
ADOLOR CORPORATION ADLR $56.6M 1.3 1.6 0.00% Health Care
ALCATEL-LUCENT ALU $6.3B 1.3 1.2 46.98% Information Technology
CADUS CORP KDUS $18.9M 1.3 0.8 0.00% Health Care
NOVT CORPORATION NVTP $11.0M 1.3 0.8 0.00% Health Care
PEERLESS SYSTEMS CORPORATION PRLS $44.4M 1.3 0.8 0.00% Information Technology
OPTIMAL GROUP, INC. OPMR $12.4M 1.3 1 34.84% Consumer Discretionary
CREATIVE TECH ORD CREAF $221.3M 1.2 0.6 0.00% Information Technology
CONVERA CORPORATION CNVR $3.7M 1.2 0.7 0.00% Information Technology
INTERLINK ELECTRON# LINK $3.4M 1.2 0.8 0.00% Information Technology
HEAD N.V. HEDYY $37.8M 1.2 0.2 44.16% Consumer Discretionary
INFOSMART GROUP INC IFSG $290.8K 1.2 0 36.43% Consumer Discretionary
ENTORIAN TECHNOLGIES ENTN $7.6M 1.2 0.2 0.00% Information Technology
CHINA SUNERGY CO., LTD. – AMERICAN DEPOSITARY SHARES CSUN $171.1M 1.2 1 46.44% Industrials
CLEAN DIESEL TECHNOLOGIES, INC. CDTI $10.9M 1.2 1.4 47.66% Materials
SENETEK PLC ADR NEW SNKTY $7.5M 1.2 0.9 19.04% Health Care
BROADVISION, INC. BVSN $54.3M 1.2 1 0.00% Information Technology
CAPSTONE THERAPEUTICS CORP COMMON STOCK CAPS $28.5M 1.2 0.9 0.00% Health Care
ORBCOMM INC. ORBC $79.2M 1.1 0.5 0.82% Information Technology
TEGAL CORPORATION TGAL $6.4M 1.1 0.5 0.00% Information Technology
ACORN INTERNATIONAL, ATV $107.5M 1.1 0.5 0.29% Consumer Discretionary
AMICUS THERAPEUTICS, INC. FOLD $72.4M 1.1 1 4.49% Health Care
AMERICAN RAILCAR INDUSTRIES, INC. ARII $290.1M 1.1 0.9 45.33% Industrials
LOOKSMART, LTD. LOOK $22.3M 1.1 0.9 10.08% Information Technology
ELECTRONIC SYS TECHNOLOGY INC ELST $2.1M 1.1 0.7 0.00% Information Technology
PONIARD PHARMACEUTICALS, INC. PARD $35.3M 1.1 1.6 45.35% Health Care
I.D. SYSTEMS, INC. IDSY $32.3M 1.1 0.6 15.30% Information Technology
PHARMOS CORP PARS $3.6M 1.1 1.2 25.79% Health Care
GUSHAN ENV EGY ADS GU $73.4M 1.1 0.2 0.00% Energy
MARSHALL EDWARDS, INC. COMMON STOCK NEW MSHL $10.7M 1.1 1.2 0.00% Health Care
SELECTICA, INC. COMMON STOCK NEW SLTC $16.3M 1 1.4 29.76% Information Technology
SPORT-HALEY INC SPOR $2.4M 1 0.4 10.52% Consumer Discretionary
HUMANA INC. HUM $8.3B 1 1.4 21.59% Health Care
ADVENTRX PHARMACEUTICALS INCCOM NEW ANX $26.4M 1 1 0.00% Health Care
THERAGENICS CORP. TGX $42.0M 1 0.5 27.18% Health Care
DIGUANG INTL DEV CO DGNG $12.8M 1 0.7 48.41% Information Technology
MARKET LEADER, INC LEDR $48.5M 1 0.9 0.00% Information Technology

Analysis of the ideas generated to come.

71 Stocks Selling Below Cash

Tuesday, February 2nd, 2010

Filtering criteria.

  • Cash/price greater than 1.0
  • Market cap between $0.2 million and $10 billion
  • Financials excluded
  • Worthless bankruptcies excluded

 

Symbol Name Exchange Note
ACTS Actions Semiconductor NASDAQ Chinese
ATV Acorn Internation NYSE Chinese
CHCG China 3C Group OTC Chinese
GRO Agria Corp NYSE Chinese
LTON Linktone LTD NASDAQ Chinese
NCTY The9 Limited NASDAQ Chinese
NINE Ninetowns Internet Technology Group NASDAQ Chinese
QXM Qiao Xing Mobile Communication NASDAQ Chinese
XING Qiao Xing Universal Telephone NASDAQ Chinese
DFNS Defense Industries OTC Israeli
MNDO MIND C.T.I. NASDAQ Israeli
GRVY Gravity NASDAQ Korean
CNVR Convera corp NASDAQ Liquidation
FTAR Footstar Ltd OTC Liquidation
ADPT Adaptec NASDAQ Normal
ALTX Altex Industries OTC Normal
ARCW ARC Wireless Solutions NASDAQ Normal
AVRNQ Aventine Renewable Energy Holdings OTC Normal
CAPS Orthologic Corporation NASDAQ Normal
CLHI CLST Holdings OTC Normal
CLNW Call NOW Inc OTC Normal
CSLMF Condsolidated Mercantile OTC Normal
CSPI CSP Inc NASDAQ Normal
DITC Ditech Networks NASDAQ Normal
DXR Daxor Corp AMEX Normal
ELST Electronic System Technology OTC Normal
EMAK Emak Worldwide OTC Normal
ENTZ Entrx Corp OTC Normal
EZEN Ezenia! Inc. OTC Normal
HTH Hilltop Holdings NYSE Normal
IDSY I.D. Systems NASDAQ Normal
INPH Interphase NASDAQ Normal
INSM Insmed NASDAQ Normal
ISSM Integrated Surgical Systems OTC Normal
ITSI International Lottery & Totalizator OTC Normal
IVA ValueRich AMEX Normal
KNTH Kent International Holdings OTC Normal
LEDR Market Leader NASDAQ Normal
LOAN Manhattan Bridge Capital NASDAQ Normal
LOOK LookSmart NASDAQ Normal
MEAD Mead Instruments NASDAQ Normal
MGT MGT Capital Investments AMEX Normal
NVTP Novt Corp OTC Normal
OBAS Optibase Ltd NASDAQ Normal
OPMR Optimal Group NASDAQ Normal
OPST Opt-Sciences Corp OTC Normal
PGNT Paragon Technologies OTC Normal
PLCC Paulson Capital Corp NASDAQ Normal
PLUG Plug Power NASDAQ Normal
PRLS Peerless Systems NASDAQ Normal
SCMR Sycamore Networks NASDAQ Normal
SNKTY Senetek PLC OTC Normal
SODI Solitron Devices OTC Normal
SPOR Sport-Haley OTC Normal
SWWI Simon Worldwide OTC Normal
TEEE Golf Rounds.com OTC Normal
TREE Tree.com NASDAQ Normal
TRID Trident Semiconductor NASDAQ Normal
VXGN Vaxgen OTC Normal
ENWV Endwave Corporation NASDAQ Normal/Shell
ABCP AmBase Corporation OTC Shell Co.
BXLC Bexil Corp OTC Shell Co.
CLRS Clarus Corp OTC Shell Co.
COSN CoSine Communications OTC Shell Co.
IEP Icahn Enterprises NYSE Shell Co.
KDUS Cadus Corp OTC Shell Co.
UAHC United American Healthcare Corp NASDAQ Shell Co.
ADMT ADM Tronic Unlimited OTC Sub-Nano
LVFHF Las Vegas From Home Ent OTC Sub-Nano
MGOF MangoSoft OTC Sub-Nano

This list is provided for informational purposes and may not be entirely accurate.