SGU Star Group L.P. Common Stock

NYSE · Utilities · Visualizza su SEC EDGAR ↗
$12,62
Prezzo · Giu 25, 2026
Fondamentali al Mag 6, 2026

SGU Snapshot del titolo Prezzo, capitalizzazione di mercato, P/E, EPS, ROE, debito/capitale proprio, intervallo 52 settimane

Prezzo
$12.62
Capitalizzazione di Mercato
P/E (TTM)
EPS (TTM)
Ricavi (TTM)
$1.78B
Rendimento div.
ROE
D/E Debito/Patrimonio
Intervallo 52 sett.
$11 – $14

SGU Grafico del prezzo delle azioni OHLCV giornaliero con indicatori tecnici — panoramica, zoom e personalizza la tua visualizzazione

Performance decennale Andamento di ricavi, utile netto, margini e EPS

Ricavi e Utile Netto $1.78B
10-point trend, +53.7%
2016-09-30 2025-09-30
EPS
Flusso di cassa libero $56M
9-point trend, -39.0%
2016-09-30 2025-09-30
Margini 4.1%
9-point trend, -6.7%
2016-09-30 2025-09-30

Valutazione Rapporti P/E, P/S, P/B, EV/EBITDA — il titolo è costoso o economico?

Metrica
Tendenza 5 anni
SGU
Mediana dei peer

Redditività Margini lordi, operativi e netti; ROE, ROA, ROIC

Metrica
Tendenza 5 anni
SGU
Mediana dei peer
Gross Margin (Margine lordo)
5-point trend, -2.6%
31.5%
32.6%
Operating Margin (Margine Operativo)
5-point trend, +1.3%
6.4%
Net Profit Margin (Margine di Profitto Netto)
5-point trend, +8.1%
4.1%
10.6%
ROA
5-point trend, +11.4%
7.8%
3.9%
ROIC
5-point trend, -21.4%
43.5%

Salute finanziaria Debito, liquidità, solvibilità — solidità del bilancio

Metrica
Tendenza 5 anni
SGU
Mediana dei peer
Current Ratio (Rapporto corrente)
5-point trend, -9.6%
0.6
0.8
Quick Ratio
5-point trend, -10.9%
0.4

Crescita Crescita di ricavi, EPS e utile netto: YoY, CAGR 3Y, CAGR 5Y

Metrica
Tendenza 5 anni
SGU
Mediana dei peer
Revenue YoY (Ricavi YoY)
5-point trend, +19.2%
1.0%
Revenue CAGR 3Y (CAGR Ricavi 3Y)
5-point trend, +19.2%
-3.8%
Revenue CAGR 5Y (CAGR Ricavi 5Y)
5-point trend, +19.2%
4.0%
Net Income YoY (Utile Netto YoY)
5-point trend, -16.2%
108.7%

Metriche per Azione EPS, valore contabile per azione, flusso di cassa per azione, dividendo per azione

Metrica
Tendenza 5 anni
SGU
Mediana dei peer

Efficienza del Capitale Rotazione delle attività, rotazione delle scorte, rotazione dei crediti

Metrica
Tendenza 5 anni
SGU
Mediana dei peer
Payout Ratio (Rapporto di Distribuzione Utili)
5-point trend, -18.8%
35.5%

Dividendi Rendimento, payout ratio, storico dividendi, CAGR 5Y

Dividend Yield
Rapporto di Distribuzione Utili
35.5%
CAGR Dividendi 5Y
Data ex-dividendoImporto
27 Aprile 2026$0,1980
26 Gennaio 2026$0,1850
27 Ottobre 2025$0,1850
28 Luglio 2025$0,1850
28 Aprile 2025$0,1850
27 Gennaio 2025$0,1730
28 Ottobre 2024$0,1730
29 Luglio 2024$0,1730
26 Aprile 2024$0,1730
19 Gennaio 2024$0,1630
19 Ottobre 2023$0,1630
21 Luglio 2023$0,1630
21 Aprile 2023$0,1630
20 Gennaio 2023$0,1530
28 Ottobre 2022$0,1530
22 Luglio 2022$0,1530
22 Aprile 2022$0,1530
21 Gennaio 2022$0,1430
29 Ottobre 2021$0,1430
23 Luglio 2021$0,1430

SGU Consenso degli analisti Opinioni degli analisti, sia rialziste che ribassiste, target price a 12 mesi, potenziale di rialzo

COMPRA 5 analisti
  • Acquisto forte 1 20,0%
  • Compra 3 60,0%
  • Mantieni 1 20,0%
  • Vendi 0 0,0%
  • Vendita forte 0 0,0%

Cronologia utili EPS effettivo vs stima, surprise %, tasso di superamento, data prossimi utili

Prossimo report
Ago 04, 2026
Periodo EPS Actual EPS Stimato Sorpresa
30 Giugno 2026 $2.66
31 Marzo 2026 $0.89
31 Dicembre 2025 $-0.84
30 Settembre 2025 $-0.48
30 Giugno 2025 $2.01

Confronto tra pari Metriche chiave rispetto ai pari del settore

Ticker Capitalizzazione di Mercato P/E Rev YoY Margine Netto ROE Margine lordo
SGU 1.0% 4.1% 31.5%
SR
MDU 21.0 6.7% 10.2% 6.9%
CPK 20.9 18.1% 15.1% 9.1%
NWN $1.94B 16.9 11.8% 8.8% 7.9%
SPH 11.5 7.9% 7.4%
RGCO $232M 17.4 12.6% 13.9% 11.5%
ATO $27.59B 22.9 12.9% 25.5% 9.0%

Fondamentali Completi Tutte le metriche per anno — conto economico, stato patrimoniale, rendiconto finanziario

Conto Economico 13
Dati annuali Conto Economico per SGU
Metrica Tendenza 202520242023202220212020201920182017201620152014
Revenue 12-point trend, -9.0% $1.78B $1.77B $1.95B $2.01B $1.50B $1.47B $1.75B $1.68B $1.32B $1.16B $1.67B $1.96B
Cost of Revenue 4-point trend, -50.0% · · · · · · · · $675M $540M $978M $1.35B
Gross Profit 12-point trend, +38.5% $563M $502M $471M $484M $478M $475M $488M $463M $408M $392M $471M $406M
SG&A Expense 12-point trend, +35.1% $31M $28M $26M $25M $25M $25M $28M $24M $25M $23M $26M $23M
Operating Income 12-point trend, +43.3% $114M $61M $63M $60M $130M $93M $37M $66M $55M $87M $94M $80M
Interest Expense · · · · · · · · · · · $17M
Other Non-op 7-point trend, -45.7% $4M $0 $0 · $0 $-6M $0 $7M · · · ·
Pretax Income 12-point trend, +67.6% $103M $49M $46M $49M $121M $77M $25M $63M $47M $79M $70M $61M
Income Tax 12-point trend, +16.2% $29M $13M $14M $14M $34M $21M $8M $8M $20M $34M $33M $25M
Net Income 12-point trend, +103.7% $73M $35M $32M $35M $88M $56M $18M $56M $27M $45M $38M $36M
Shares (Basic) 6-point trend, -24.9% 34,276,000 35,273,000 35,694,000 37,384,000 40,553,000 45,656,000 · · · · · ·
Shares (Diluted) 6-point trend, -24.9% 34,276,000 35,273,000 35,694,000 37,384,000 40,553,000 45,656,000 · · · · · ·
EBITDA 11-point trend, +46.4% $151M · $96M $94M $165M $129M $71M $99M $84M $115M $120M $103M
Stato Patrimoniale 23
Dati annuali Stato Patrimoniale per SGU
Metrica Tendenza 202520242023202220212020201920182017201620152014
Cash & Equivalents 12-point trend, -49.6% $25M $117M $45M $15M $5M $57M $5M $15M $52M $139M $101M $49M
Receivables 12-point trend, -17.5% $102M $95M $114M $138M $100M $84M $120M $133M $97M $79M $89M $124M
Inventory 12-point trend, -20.6% $47M $42M $56M $84M $61M $50M $65M $56M $60M $46M $56M $59M
Prepaid Expense 12-point trend, +36.4% $33M $28M $28M $32M $30M $30M $37M $35M $27M $27M $25M $24M
Current Assets 12-point trend, -30.1% $207M $281M $255M $288M $222M $226M $227M $257M $241M $295M $271M $296M
PP&E (Net) 12-point trend, +90.8% $129M $105M $105M $108M $99M $93M $98M $88M $80M $70M $68M $67M
PP&E (Gross) 12-point trend, +66.1% $283M $251M $245M $247M $238M $220M $231M $211M $201M $184M $180M $170M
Accum. Depreciation 12-point trend, +49.9% $154M $146M $139M $139M $139M $127M $132M $123M $122M $114M $112M $103M
Goodwill 12-point trend, +40.1% $293M $276M $262M $254M $253M $240M $245M $228M $226M $213M $211M $209M
Intangibles 12-point trend, +23.9% $125M $99M $76M $85M $95M $90M $108M $98M $105M $98M $107M $101M
Other Non-current Assets 12-point trend, +3.5% $12M $13M $15M $18M $18M $18M $17M $13M $10M $11M $11M $11M
Total Assets 12-point trend, +36.8% $937M $940M $875M $912M $854M $839M $753M $730M $674M $692M $686M $685M
Accounts Payable 12-point trend, +55.5% $34M $32M $36M $49M $37M $31M $34M $36M $27M $26M $25M $22M
Accrued Liabilities 12-point trend, +16.1% $119M $116M $116M $126M $121M $127M $121M $116M $108M $104M $108M $103M
Short-term Debt · · · · · · · · · · · $0
Current Liabilities 12-point trend, +37.8% $349M $374M $365M $381M $345M $345M $326M $283M $272M $290M $279M $253M
Capital Leases 6-point trend, -10.1% $77M $76M $78M $81M $84M $86M · · · · · ·
Deferred Tax 11-point trend, +22.4% $31M $22M $26M $26M $29M $17M $20M $21M $6M · $22M $25M
Other Non-current Liabilities 12-point trend, +86.4% $16M $16M $16M $15M $25M $25M $26M $24M $24M $25M $27M $9M
Long-term Debt 12-point trend, +51.0% $188M $209M $148M $184M $119M $123M $153M $101M $76M $92M $100M $125M
Total Debt 11-point trend, +51.0% $188M · $148M $164M $110M $123M $129M $99M $76M $92M $100M $125M
AOCI 12-point trend, +52.0% $-11M $-12M $-14M $-16M $-14M $-15M $-17M $-18M $-19M $-21M $-23M $-24M
Liabilities + Equity 12-point trend, +36.8% $937M $940M $875M $912M $854M $839M $753M $730M $674M $692M $686M $685M
Flusso di cassa 15
Dati annuali Flusso di cassa per SGU
Metrica Tendenza 202520242023202220212020201920182017201620152014
D&A 12-point trend, +56.7% $36M $32M $33M $34M $34M $36M $34M $33M $29M $28M $27M $23M
Deferred Tax 2-point trend, -722.3% · · · · · · · · · · $-4M $659.0K
Amort. of Intangibles 12-point trend, +73.9% $20M $18M $19M $18M $19M $20M $19M $20M $17M $15M $14M $12M
Other Non-cash 11-point trend, -210.8% $-39M · $58M $-35M $-53M $84M $46M $-31M $-35M $29M $77M $35M
Operating Cash Flow 12-point trend, -25.4% $71M $111M $124M $34M $69M $176M $97M $57M $21M $102M $137M $95M
CapEx 12-point trend, +63.7% $15M $11M $9M $19M $15M $14M $11M $14M $12M $10M $10M $9M
Investing Cash Flow 10-point trend, -408.7% $-100M $-61M $-28M $-33M $-50M $-28M $-82M $-65M $-66M $-20M · ·
Debt Issued 9-point trend, -100.0% $0 $210M $0 $165M $0 $130M $0 $100M · · $100M ·
Net Debt Issued 10-point trend, -121.0% $-21M · $-16M $54M $-13M $31M $-8M $24M $-16M $-8M $100M ·
Dividends Paid 12-point trend, +31.6% $26M $25M $24M $23M $23M $24M $26M $26M $24M $23M $21M $20M
Financing Cash Flow 10-point trend, -46.1% $-64M $22M $-65M $9M $-71M $-96M $-25M $-30M $-41M $-44M · ·
Net Change in Cash 12-point trend, -157.0% $-93M $72M $31M $10M $-52M $52M $-10M $-38M $-86M $39M $52M $-36M
Taxes Paid 12-point trend, -13.9% $22M $17M $15M $17M $22M $25M $5M $3M $4M $23M $38M $26M
Free Cash Flow 11-point trend, -34.9% $56M · $115M $15M $54M $162M $86M $44M $9M $92M $127M $86M
Levered FCF · · · · · · · · · · · $76M
Redditività 7
Dati annuali Redditività per SGU
Metrica Tendenza 202520242023202220212020201920182017201620152014
Gross Margin 11-point trend, +52.2% 31.5% · 24.1% 24.1% 31.9% 32.4% 27.8% 27.6% 30.9% 33.8% 28.1% 20.7%
Operating Margin 11-point trend, +57.7% 6.4% · 3.2% 3.0% 8.7% 6.3% 2.1% 3.9% 4.2% 7.5% 5.6% 4.1%
Net Margin 11-point trend, +123.9% 4.1% · 1.6% 1.8% 5.9% 3.8% 1.0% 3.3% 2.0% 3.9% 2.2% 1.8%
Pretax Margin 11-point trend, +84.3% 5.8% · 2.4% 2.4% 8.1% 5.2% 1.4% 3.8% 3.6% 6.8% 4.2% 3.1%
EBITDA Margin 11-point trend, +60.8% 8.5% · 4.9% 4.7% 11.0% 8.8% 4.1% 5.9% 6.4% 9.9% 7.2% 5.3%
ROA 11-point trend, +42.9% 7.8% · 3.6% 4.0% 10.4% 7.0% 2.4% 7.9% 3.9% 6.5% 5.4% 5.5%
ROIC 11-point trend, +15.4% 43.5% · 29.4% 26.5% 85.5% 55.3% 20.2% 58.5% 41.6% 54.0% 50.0% 37.7%
Liquidità e Solvibilità 3
Dati annuali Liquidità e Solvibilità per SGU
Metrica Tendenza 202520242023202220212020201920182017201620152014
Current Ratio 11-point trend, -49.3% 0.6 · 0.7 0.8 0.6 0.7 0.7 0.9 0.9 1.0 1.1 1.2
Quick Ratio 11-point trend, -46.7% 0.4 · 0.4 0.4 0.3 0.4 0.4 0.5 0.5 0.8 0.7 0.7
Interest Coverage · · · · · · · · · · · 4.7
Efficienza 3
Dati annuali Efficienza per SGU
Metrica Tendenza 202520242023202220212020201920182017201620152014
Asset Turnover 11-point trend, -36.1% 1.9 · 2.2 2.3 1.8 1.8 2.4 2.4 1.9 1.7 2.4 3.0
Inventory Turnover 4-point trend, -39.6% · · · · · · · · 12.8 10.6 17.0 21.2
Receivables Turnover 11-point trend, +1.5% 18.1 · 15.5 16.9 16.3 14.4 13.9 14.6 15.1 13.8 15.7 17.8
Per Azione 2
Dati annuali Per Azione per SGU
Metrica Tendenza 202520242023202220212020201920182017201620152014
Revenue / Share 3-point trend, -3.0% $52.06 · $54.71 $53.67 · · · · · · · ·
Cash Flow / Share 3-point trend, +128.2% $2.07 · $3.46 $0.91 · · · · · · · ·
Tassi di Crescita 7
Dati annuali Tassi di Crescita per SGU
Metrica Tendenza 202520242023202220212020201920182017201620152014
Revenue YoY 5-point trend, -48.5% 1.0% -9.6% -2.7% 34.0% 2.0% · · · · · · ·
Revenue CAGR 3Y 3-point trend, -138.4% -3.8% 5.7% 10.0% · · · · · · · · ·
Revenue CAGR 5Y 4.0% · · · · · · · · · · ·
Net Income YoY 5-point trend, +91.0% 108.7% 10.3% -9.5% -59.8% 56.9% · · · · · · ·
Net Income CAGR 3Y 3-point trend, +262.8% 27.7% -26.2% -17.0% · · · · · · · · ·
Net Income CAGR 5Y 5.6% · · · · · · · · · · ·
Dividend CAGR 5Y 1.3% · · · · · · · · · · ·
Valutazione (TTM) 4
Dati annuali Valutazione (TTM) per SGU
Metrica Tendenza 202520242023202220212020201920182017201620152014
Revenue TTM 12-point trend, -9.0% $1.78B $1.77B $1.95B $2.01B $1.50B $1.47B $1.75B $1.68B $1.32B $1.16B $1.67B $1.96B
Net Income TTM 12-point trend, +103.7% $73M $35M $32M $35M $88M $56M $18M $56M $27M $45M $38M $36M
Payout Ratio 11-point trend, -35.4% 35.5% · 74.3% 65.7% 26.7% 43.7% 145.1% 46.1% 90.4% 51.4% 56.7% 55.0%
Annual Payout 12-point trend, +31.6% $26M $25M $24M $23M $23M $24M $26M $26M $24M $23M $21M $20M

Bilanci Conto economico, stato patrimoniale, flusso di cassa — annuale, ultimi 5 anni

Conto Economico
2025-09-302024-09-302023-09-302022-09-302021-09-30
Ricavi $1.78B$1.77B$1.95B$2.01B$1.50B
Margine Lordo % 31.5%24.1%24.1%31.9%
Margine Operativo % 6.4%3.2%3.0%8.7%
Utile netto $73M$35M$32M$35M$88M
Stato Patrimoniale
2025-09-302024-09-302023-09-302022-09-302021-09-30
Rapporto corrente 0.60.70.80.6
Quick Ratio 0.40.40.40.3
Flusso di cassa
2025-09-302024-09-302023-09-302022-09-302021-09-30
Flusso di cassa libero $56M$115M$15M$54M

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