SGC
Superior Group of Companies, In (SGC)
Consumer Cyclical • Apparel Manufacturing • $12.73 • MCap: 202,982,400
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https://www.superiorgroupofcompanies.com • Superior Group of Companies, Inc. produces, manufactures, and sells promotional products and branded uniforms, and healthcare apparel and accessories in the United States and internationally. It operates through three segments: Branded Products, Healthcare Apparel, and Contact Centers. The Branded Products segment produces and sells customized merchandising solutions, promotional products, and branded uniform programs to retail, hotel, food service, entertainment, technology, transportation, and other industries under the BAMKO and HPI brands. The Healthcare Apparel segment manufactures and sells a range of healthcare apparel, such as scrubs, lab coats, protective apparel, and patient apparel to healthcare laundries, dealers, distributors, and physical and e-commerce retailers under the Wink, Fashion Seal Healthcare, CID Resources, and Carhartt Medical brands. The Contact Centers segment offers outsourced, nearshore and onshore business process outsourcing, and contact and call-center support services under The Office Gurus brand. The company was formerly known as Superior Uniform Group, Inc. and changed its name to Superior Group of Companies, Inc. in May 2018. Superior Group of Companies, Inc. was founded in 1920 and is headquartered in Saint Petersburg, Florida.
Buy Decision Core
Total Score
49
Business Quality
7
Financial Strength
11
Growth Outlook
4
Momentum
5
Price Action
Current
12.73
52W High
13.98
52W Low
8.18
Above 50DMA
12.77 (-0.33%)
Above 200DMA
11.05 (15.20%)
Relative Strength
Relative Strength
0.14
RS 3M
0.0
RS 6M
0.28
RS 9M
0.31
RS 12M
0.13
Fundamentals
Revenue Growth
0.03%
Earnings Growth
-0.20%
ROE
0.04%
ROA
0.03%
Valuation
PE (Fwd)
13.79
PEG
1.22
P/B
1.05
Upside
41.40%
Risk
Beta
1.43
Short %
0.04
Risk Score
5.00
Analyst
Rating
none
Target
18.00
Beta
1.43
Analysts
0
Total Score
49
Upside
41.40%
Relative Strength
0.14
Beta
1.43
Why Buy?
- Trading above 200 DMA
- Analyst upside exceeds 15%
Key Risks
- Earnings growth is negative
Score Breakdown
Business
7
7
Financial
11
11
Growth
4
4
Valuation
15
15
Risk
3
3
Momentum
5
5
Technical
52W High: 13.98
52W Low: 8.18
Above 50DMA: -0.33%
Above 200DMA: 15.20%
Valuation
Forward PE: 13.79
PEG: 1.22
P/B: 1.05
Upside: 41.40%
Risk
Beta: 1.43
Short Float: 0.04%
ROE: 0.04%
ROA: 0.03%