Screener › Italian & Spanish Small Cap Stocks

Italian & Spanish Small Cap Stocks

🌍 By Region 17 stocks Updated: 05 Apr 2026 🌐 DE

Italian and Spanish small caps from Borsa Italiana and Bolsa de Madrid — industrial specialists, food producers, energy companies, and IT consultancies in Southern Europe.

Results: 17
Total Mkt Cap: $78B
Avg Price: $27.39
Sorted by: Mkt Cap ↓
Ticker Company Price Mkt Cap P/E Div. Yield Rev. Growth
FER.MC Ferrovial $57.28 -0.66% $41.13B 47.3x 1.58% 5.7%
MRL.MC Merlin Properties $14.52 -0.07% $8.99B 10.4x 2.89% 25.1%
BGN.MI Banca Generali $52.40 -0.66% $5.97B 13.4x 5.53% 3.7%
ERG.MI ERG SpA $23.10 +3.4% $3.36B 19.7x 4.33% -0.5%
CIE.MC CIE Automotive $27.35 -2.32% $3.28B 9.7x 3.4% 0%
SLR.MC Solaria Energia $24.79 +1.52% $3.1B 22.5x 74.4%
REY.MI Reply SpA $82.05 +0.18% $3.06B 12.2x 1.65% 0.6%
CAF.MC CAF $59.40 -0.5% $2.03B 13.9x 2.26% 2%
FAE.MC Faes Farma $4.70 -0.95% $1.46B 18.8x 3.81% 47.7%
TIP.MI Tamburi Investment Partners $7.94 -1.24% $1.29B 18.1x 3.27% 139.4%
MOL.MI Mutuionline $31.35 -0.63% $1.18B 41.8x 0.48% 55.6%
CBAV.MC Clinica Baviera $47.90 -0.21% $767.3M 18.6x 3.28% 10.6%
ZV.MI Zignago Vetro $7.00 -0.71% $617.9M 22.6x 3.14% 5.4%
ENC.MC Ence Energia y Celulosa $2.31 -0.94% $560M 5.27% -11.5%
MARR.MI Marr SpA $7.92 +1.02% $503.8M 16.2x 5.93% 23.1%
RWY.MI Rai Way $10.30 +0% $399.7M 18.7x 17.1%
DAL.MI Datalogic $5.27 +2.33% $277M 35.1x 2.28% 10.4%

Analysis and Context

This geographic screener shows 17 stocks from the selected region — updated daily. The average P/E ratio of regional stocks is 21.2x. The average dividend yield is 3.27%. International diversification reduces home market bias and opens access to growth markets and valuations unavailable in domestic indices. Sector Industrials dominates this region with 3 companies. The average analyst price target upside is 23.9%. Factor in currency risk, different accounting standards (IFRS vs. US-GAAP), political risk, and local market liquidity before investing internationally. European stocks historically trade at a discount to US peers — this may reflect structural undervaluation or a deserved premium for lower growth prospects.

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