Somnigroup International Inc (SGI) Stock

Somnigroup International Inc (SGI) is a Consumer Discretionary stock trading at $64.70 (as of 2026-08-21), with a market capitalization of $13.61B and a trailing P/E of 25.5. Figures are sourced from first-party U.S. SEC EDGAR filings and market data.

Somnigroup International Inc. develops sleep technology and wellness solutions, including products intended to support better sleep quality. Its offerings use smart technology and data-driven insights to help interpret sleep patterns for customers.

Understand Somnigroup International Inc: how it makes money

Somnigroup International develops sleep technology and wellness solutions that use science-backed methods, smart technology, and data-driven insights to improve sleep quality, and it makes money by selling products (net sales).

SGI's profit engine is the balance between direct sales and wholesale sales, because channel mix (direct is 65%, wholesale is 35%) aligns with different like-for-like net sales trends and drives overall net sales performance.

Revenue by segment (latest quarter)
Mattress Firm$0.9B
Tempur Sealy NA$0.6B
Tempur Sealy Int$0.3B

Business quality (Solid): Segment revenue breakdown is available, but the provided operating KPIs are mostly channel and regional mix measures, so investors should focus on those drivers rather than company-wide revenue alone.

Valuation: At 31× earnings, SGI trades 18% above the Consumer Goods average (26×). Note: one-time items can distort reported P/E.

Bull case

  • Direct versus wholesale mix is a clear lever on sales performance: Direct sales mix is 65% of net sales, while wholesale is 35%, and management reports like-for-like net sales by channel (direct is -7%, wholesale is 6%).
  • International distribution expansion could support growth beyond North America: International Temper Products Distribution Expansion is reported at 10%.

Bear case

  • Direct channel momentum appears weaker than wholesale: Tempur Sealy North America Like-for-Like Net Sales (Direct Channel) is -7%, while the wholesale channel figure is 6%.
  • If direct sales mix shifts away from current levels, overall net sales could be pressured: Direct Sales Mix As a Percent of Net Sales is 65%, so changes in mix would directly affect the company’s net sales mix profile.
Valuation — source: SEC EDGAR (first-party)
Price$64.70
Market Cap$13.61B
P/E Ratio25.5
EV / EBITDA10.8
Price / Book4.21
Price / Sales1.79
FCF Yield6.7%
DCF Value (model)$9.11
DCF Upside vs Price-85.9%
Profitability & Growth — source: SEC EDGAR
Revenue (TTM)$7.48B
Net Margin5.1%
Revenue Growth (YoY)-3.0%
EPS Growth (YoY)12.8%
FCF Growth (YoY)171.0%
Financial Health — source: SEC EDGAR
Altman Z-Score2.25 (grey)
Piotroski F-Score4/9 (moderate)
Valuation vs Sector & Industry
Stock P/E25.5
Sector P/E (Consumer Discretionary)20.7
Industry P/E (Consumer Goods)22.1
vs Sector23.3%
vs Industry15.6%
Smart-Money Activity — SEC Form 4 / 13F / Congressional disclosures
Top Institutional HolderFMR LLC ($2.06B)
Institutional Holders Tracked10
Congressional Trades (recent)10
Company
SectorConsumer Discretionary
IndustryConsumer Goods
CEOScott L. Thompson
Employees12,000
CountryUS
IPO Date2018-08-28

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SGI earnings history · SGI institutional & insider holders · SGI KPIs & operating metrics · SGI financials · SGI investor presentations & press releases · SGI SEC filings · SGI peers · Congress trades · Insider trades · Short interest · Stock screener

Data as of 2026-08-21.

Figures sourced from U.S. Securities and Exchange Commission (SEC EDGAR) filings and market data. Not personalized investment advice.