Somnigroup International Inc

Somnigroup International Inc (SGI) Stock Analysis

$64.370

+1.944 (+3.02%)At close

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High
66.500
Open
63.530
VWAP
64.68
Vol
8.55M
Mkt Cap
Low
63.160
Amount
552.73M
EV/EBITDA, TTM
16.98

Somnigroup International Inc. is a bedding company. The Company is engaged in the business of designing, manufacturing, distributing and retailing. Its portfolio of product brands includes various brands, including Tempur-Pedic, Sealy and Stearns & Foster. Its portfolio of retail brands includes Tempur-Pedic, Sealy, Stearns & Foster, and Sleepy's. The Company operates in three segments: Tempur Sealy North America, Tempur Sealy International and Mattress Firm. Its Mattress Firm segment consists of retail stores and distribution centers located in the United States. It sells products through two channels in each operating business segment: Wholesale and Direct. Its Wholesale channel consists of third-party retailers, including third-party distribution, hospitality and healthcare. Its Direct channel includes company-owned stores, e-commerce and call centers. The Company is also a diversified manufacturer of engineered components and products.

AI analysis of Somnigroup International Inc (SGI)

buy

Somnigroup International Inc is a good buy right now due to its current price of $64.37, which is significantly lower than the analyst price targets of $90 to $100. Additionally, the company has shown a gross margin of 48.90% in Q1 2026, indicating strong profitability. The main risk is the recent decline in stock price, with a year-to-date change of -27.46%, reflecting market volatility and competitive pressures.

Valuation Metrics

The current forward P/E ratio for Somnigroup International Inc (SGI) is 22.47, compared to its 5-year average forward P/E of 25.01.

Forward P/E

Fair
5Y Average P/E
25.01
Current P/E
22.47
Overvalued
27.88
Undervalued
22.13

Forward EV/EBITDA

Fair
5Y Average EV/EBITDA
17.00
Current EV/EBITDA
16.98
Overvalued
20.80
Undervalued
13.21

Forward P/S

Undervalued
5Y Average P/S
1.98
Current P/S
1.67
Overvalued
2.26
Undervalued
1.70

Whales holding SGI

T

The Linonia Partnership LP

+ HoldingSGI

+13.25%

3M Return

A

Abrams Capital Management, L.P.

+ HoldingSGI

+9.05%

3M Return

B

Beck, Mack & Oliver LLC

+ HoldingSGI

+8.98%

3M Return

T

The WindAcre Partnership LLC

+ HoldingSGI

+5.10%

3M Return

T

The London Company of Virginia, LLC

+ HoldingSGI

+3.03%

3M Return

E

Engineers Gate Manager LP

+ HoldingSGI

+2.72%

3M Return

Events Timeline

2026-08-26 (ET)

13:00:00

Somnigroup Completes Merger with Leggett & Platt Valued at Approximately $2.3B

2026-08-25 (ET)

16:00:00

Leggett & Platt Shareholders Approve Merger with Somnigroup

2026-08-06 (ET)

07:00:00

Company Revises 2026 EPS Expectations to $2.85-$3.15

07:00:00

Company Reports Q2 Revenue of $1.82B, Below Consensus

2026-05-07 (ET)

07:01:00

Company Reports Q1 Revenue of $1.8B, Below Consensus

News

SGI FAQ — answered by Alphio AI

Somnigroup International Inc. is a bedding company. The Company is engaged in the business of designing, manufacturing, distributing and retailing. Its portfolio of product brands includes various brands, including Tempur-Pedic, Sealy and Stearns & Foster. Its portfolio of retail brands includes Tempur-Pedic, Sealy, Stearns & Foster, and Sleepy's. The Company operates in three segments: Tempur Sealy North America, Tempur Sealy International and Mattress Firm. Its Mattress Firm segment consists of retail stores and distribution centers located in the United States. It sells products through two channels in each operating business segment: Wholesale and Direct. Its Wholesale channel consists of third-party retailers, including third-party distribution, hospitality and healthcare. Its Direct channel includes company-owned stores, e-commerce and call centers. The Company is also a diversified manufacturer of engineered components and products. It operates in the Consumer Cyclicals sector.

Somnigroup International Inc is a good buy right now due to its current price of $64.37, which is significantly lower than the analyst price targets of $90 to $100. Additionally, the company has shown a gross margin of 48.90% in Q1 2026, indicating strong profitability. The main risk is the recent decline in stock price, with a year-to-date change of -27.46%, reflecting market volatility and competitive pressures.

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