Financhill
Buy
53

SGPPY Quote, Financials, Valuation and Earnings

Last price:
$6.85
Seasonality move :
-31.6%
Day range:
$6.85 - $6.85
52-week range:
$6.01 - $16.33
Dividend yield:
0%
P/E ratio:
67.95x
P/S ratio:
0.16x
P/B ratio:
2.18x
Volume:
--
Avg. volume:
--
1-year change:
-58.05%
Market cap:
$1.3B
Revenue:
$8.2B
EPS (TTM):
$0.10

Price Performance History

Performance vs. Valuation Benchmarks

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Competitors

Company Revenue Forecast Earnings Forecast Revenue Growth Forecast Earnings Growth Forecast Analyst Price Target Median
SGPPY
Spar Group
-- -- -- -- --
ALFDF
Astral Foods
-- -- -- -- --
AVSFY
AVI
-- -- -- -- --
OCGPF
Oceana Group
-- -- -- -- --
RCLFF
RCL Foods
-- -- -- -- --
TBLMF
Tiger Brands
-- -- -- -- --
Company Price Analyst Target Market Cap P/E Ratio Dividend per Share Dividend Yield Price / LTM Sales
SGPPY
Spar Group
$6.85 -- $1.3B 67.95x $0.00 0% 0.16x
ALFDF
Astral Foods
$7.39 -- $284.1M 7.01x $0.35 0% 0.26x
AVSFY
AVI
$28.10 -- $1.9B 15.54x $1.89 5.79% 2.21x
OCGPF
Oceana Group
$3.50 -- $419.9M 7.07x $0.16 7.73% 0.77x
RCLFF
RCL Foods
$0.47 -- $422.6M 4.87x $0.02 4.18% 0.30x
TBLMF
Tiger Brands
$15.86 -- $2.5B 15.23x $0.19 3.41% 1.23x
Company Total Debt / Total Capital Beta Debt to Equity Quick Ratio
SGPPY
Spar Group
50.11% 0.000 46.13% 0.61x
ALFDF
Astral Foods
13.66% 0.000 15.53% 0.77x
AVSFY
AVI
17.53% 0.742 4.44% 0.71x
OCGPF
Oceana Group
30.71% -0.097 45.82% 0.68x
RCLFF
RCL Foods
11.2% -0.563 21.94% 0.44x
TBLMF
Tiger Brands
4.21% -0.124 2.16% 0.78x
Company Gross Profit Operating Income Return on Invested Capital Return on Common Equity EBIT Margin Free Cash Flow
SGPPY
Spar Group
-- -- 1.65% 3.46% -- --
ALFDF
Astral Foods
-- -- 13.62% 17.03% -- --
AVSFY
AVI
-- -- 32.19% 41.74% -- --
OCGPF
Oceana Group
-- -- 9.86% 13.73% -- --
RCLFF
RCL Foods
-- -- 10.65% 12.88% -- --
TBLMF
Tiger Brands
-- -- 15.23% 17.09% -- --

Spar Group vs. Competitors

  • Which has Higher Returns SGPPY or ALFDF?

    Astral Foods has a net margin of -- compared to Spar Group's net margin of --. Spar Group's return on equity of 3.46% beat Astral Foods's return on equity of 17.03%.

    Company Gross Margin Earnings Per Share Invested Capital
    SGPPY
    Spar Group
    -- -- $1.2B
    ALFDF
    Astral Foods
    -- -- $321.5M
  • What do Analysts Say About SGPPY or ALFDF?

    Spar Group has a consensus price target of --, signalling downside risk potential of --. On the other hand Astral Foods has an analysts' consensus of -- which suggests that it could fall by --. Given that Spar Group has higher upside potential than Astral Foods, analysts believe Spar Group is more attractive than Astral Foods.

    Company Buy Ratings Hold Ratings Sell Ratings
    SGPPY
    Spar Group
    0 0 0
    ALFDF
    Astral Foods
    0 0 0
  • Is SGPPY or ALFDF More Risky?

    Spar Group has a beta of 0.000, which suggesting that the stock is 100% less volatile than S&P 500. In comparison Astral Foods has a beta of 0.000, suggesting its less volatile than the S&P 500 by 100%.

  • Which is a Better Dividend Stock SGPPY or ALFDF?

    Spar Group has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. Astral Foods offers a yield of 0% to investors and pays a quarterly dividend of $0.35 per share. Spar Group pays -- of its earnings as a dividend. Astral Foods pays out -- of its earnings as a dividend.

  • Which has Better Financial Ratios SGPPY or ALFDF?

    Spar Group quarterly revenues are --, which are smaller than Astral Foods quarterly revenues of --. Spar Group's net income of -- is lower than Astral Foods's net income of --. Notably, Spar Group's price-to-earnings ratio is 67.95x while Astral Foods's PE ratio is 7.01x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for Spar Group is 0.16x versus 0.26x for Astral Foods. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    SGPPY
    Spar Group
    0.16x 67.95x -- --
    ALFDF
    Astral Foods
    0.26x 7.01x -- --
  • Which has Higher Returns SGPPY or AVSFY?

    AVI has a net margin of -- compared to Spar Group's net margin of --. Spar Group's return on equity of 3.46% beat AVI's return on equity of 41.74%.

    Company Gross Margin Earnings Per Share Invested Capital
    SGPPY
    Spar Group
    -- -- $1.2B
    AVSFY
    AVI
    -- -- $372.4M
  • What do Analysts Say About SGPPY or AVSFY?

    Spar Group has a consensus price target of --, signalling downside risk potential of --. On the other hand AVI has an analysts' consensus of -- which suggests that it could fall by --. Given that Spar Group has higher upside potential than AVI, analysts believe Spar Group is more attractive than AVI.

    Company Buy Ratings Hold Ratings Sell Ratings
    SGPPY
    Spar Group
    0 0 0
    AVSFY
    AVI
    0 0 0
  • Is SGPPY or AVSFY More Risky?

    Spar Group has a beta of 0.000, which suggesting that the stock is 100% less volatile than S&P 500. In comparison AVI has a beta of 0.000, suggesting its less volatile than the S&P 500 by 100%.

  • Which is a Better Dividend Stock SGPPY or AVSFY?

    Spar Group has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. AVI offers a yield of 5.79% to investors and pays a quarterly dividend of $1.89 per share. Spar Group pays -- of its earnings as a dividend. AVI pays out 75.73% of its earnings as a dividend. AVI's payout ratio is sufficient to cover dividend payouts with earnings for the foreseeable future.

  • Which has Better Financial Ratios SGPPY or AVSFY?

    Spar Group quarterly revenues are --, which are smaller than AVI quarterly revenues of --. Spar Group's net income of -- is lower than AVI's net income of --. Notably, Spar Group's price-to-earnings ratio is 67.95x while AVI's PE ratio is 15.54x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for Spar Group is 0.16x versus 2.21x for AVI. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    SGPPY
    Spar Group
    0.16x 67.95x -- --
    AVSFY
    AVI
    2.21x 15.54x -- --
  • Which has Higher Returns SGPPY or OCGPF?

    Oceana Group has a net margin of -- compared to Spar Group's net margin of --. Spar Group's return on equity of 3.46% beat Oceana Group's return on equity of 13.73%.

    Company Gross Margin Earnings Per Share Invested Capital
    SGPPY
    Spar Group
    -- -- $1.2B
    OCGPF
    Oceana Group
    -- -- $647M
  • What do Analysts Say About SGPPY or OCGPF?

    Spar Group has a consensus price target of --, signalling downside risk potential of --. On the other hand Oceana Group has an analysts' consensus of -- which suggests that it could fall by --. Given that Spar Group has higher upside potential than Oceana Group, analysts believe Spar Group is more attractive than Oceana Group.

    Company Buy Ratings Hold Ratings Sell Ratings
    SGPPY
    Spar Group
    0 0 0
    OCGPF
    Oceana Group
    0 0 0
  • Is SGPPY or OCGPF More Risky?

    Spar Group has a beta of 0.000, which suggesting that the stock is 100% less volatile than S&P 500. In comparison Oceana Group has a beta of -0.045, suggesting its less volatile than the S&P 500 by 104.545%.

  • Which is a Better Dividend Stock SGPPY or OCGPF?

    Spar Group has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. Oceana Group offers a yield of 7.73% to investors and pays a quarterly dividend of $0.16 per share. Spar Group pays -- of its earnings as a dividend. Oceana Group pays out -- of its earnings as a dividend.

  • Which has Better Financial Ratios SGPPY or OCGPF?

    Spar Group quarterly revenues are --, which are smaller than Oceana Group quarterly revenues of --. Spar Group's net income of -- is lower than Oceana Group's net income of --. Notably, Spar Group's price-to-earnings ratio is 67.95x while Oceana Group's PE ratio is 7.07x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for Spar Group is 0.16x versus 0.77x for Oceana Group. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    SGPPY
    Spar Group
    0.16x 67.95x -- --
    OCGPF
    Oceana Group
    0.77x 7.07x -- --
  • Which has Higher Returns SGPPY or RCLFF?

    RCL Foods has a net margin of -- compared to Spar Group's net margin of --. Spar Group's return on equity of 3.46% beat RCL Foods's return on equity of 12.88%.

    Company Gross Margin Earnings Per Share Invested Capital
    SGPPY
    Spar Group
    -- -- $1.2B
    RCLFF
    RCL Foods
    -- -- $804.5M
  • What do Analysts Say About SGPPY or RCLFF?

    Spar Group has a consensus price target of --, signalling downside risk potential of --. On the other hand RCL Foods has an analysts' consensus of -- which suggests that it could fall by --. Given that Spar Group has higher upside potential than RCL Foods, analysts believe Spar Group is more attractive than RCL Foods.

    Company Buy Ratings Hold Ratings Sell Ratings
    SGPPY
    Spar Group
    0 0 0
    RCLFF
    RCL Foods
    0 0 0
  • Is SGPPY or RCLFF More Risky?

    Spar Group has a beta of 0.000, which suggesting that the stock is 100% less volatile than S&P 500. In comparison RCL Foods has a beta of 0.000, suggesting its less volatile than the S&P 500 by 100%.

  • Which is a Better Dividend Stock SGPPY or RCLFF?

    Spar Group has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. RCL Foods offers a yield of 4.18% to investors and pays a quarterly dividend of $0.02 per share. Spar Group pays -- of its earnings as a dividend. RCL Foods pays out -- of its earnings as a dividend.

  • Which has Better Financial Ratios SGPPY or RCLFF?

    Spar Group quarterly revenues are --, which are smaller than RCL Foods quarterly revenues of --. Spar Group's net income of -- is lower than RCL Foods's net income of --. Notably, Spar Group's price-to-earnings ratio is 67.95x while RCL Foods's PE ratio is 4.87x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for Spar Group is 0.16x versus 0.30x for RCL Foods. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    SGPPY
    Spar Group
    0.16x 67.95x -- --
    RCLFF
    RCL Foods
    0.30x 4.87x -- --
  • Which has Higher Returns SGPPY or TBLMF?

    Tiger Brands has a net margin of -- compared to Spar Group's net margin of --. Spar Group's return on equity of 3.46% beat Tiger Brands's return on equity of 17.09%.

    Company Gross Margin Earnings Per Share Invested Capital
    SGPPY
    Spar Group
    -- -- $1.2B
    TBLMF
    Tiger Brands
    -- -- $1.1B
  • What do Analysts Say About SGPPY or TBLMF?

    Spar Group has a consensus price target of --, signalling downside risk potential of --. On the other hand Tiger Brands has an analysts' consensus of -- which suggests that it could fall by --. Given that Spar Group has higher upside potential than Tiger Brands, analysts believe Spar Group is more attractive than Tiger Brands.

    Company Buy Ratings Hold Ratings Sell Ratings
    SGPPY
    Spar Group
    0 0 0
    TBLMF
    Tiger Brands
    0 0 0
  • Is SGPPY or TBLMF More Risky?

    Spar Group has a beta of 0.000, which suggesting that the stock is 100% less volatile than S&P 500. In comparison Tiger Brands has a beta of 0.405, suggesting its less volatile than the S&P 500 by 59.55%.

  • Which is a Better Dividend Stock SGPPY or TBLMF?

    Spar Group has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. Tiger Brands offers a yield of 3.41% to investors and pays a quarterly dividend of $0.19 per share. Spar Group pays -- of its earnings as a dividend. Tiger Brands pays out -- of its earnings as a dividend.

  • Which has Better Financial Ratios SGPPY or TBLMF?

    Spar Group quarterly revenues are --, which are smaller than Tiger Brands quarterly revenues of --. Spar Group's net income of -- is lower than Tiger Brands's net income of --. Notably, Spar Group's price-to-earnings ratio is 67.95x while Tiger Brands's PE ratio is 15.23x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for Spar Group is 0.16x versus 1.23x for Tiger Brands. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    SGPPY
    Spar Group
    0.16x 67.95x -- --
    TBLMF
    Tiger Brands
    1.23x 15.23x -- --

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