SIEGY PEG Ratio Analysis
Updated 155h ago·SEC filings & market data
Key Takeaway
The PEG ratio measures a stock's price relative to its expected earnings growth, where a lower number suggests better value for that growth.
Sector Performance
83th percentileSIEGY
2.89x
Sector Median
0.77x
Sector Avg
2.66x
Deep Analysis
The PEG ratio measures a stock's price relative to its expected earnings growth, where a lower number suggests better value for that growth.
At 2.89x, SIEGY’s PEG is well above the sector median of 0.81x, placing it in the 83rd percentile among peers, meaning it is more expensive than most comparable companies on this basis. Trend data is unavailable, with both the year-over-year change and quarter-over-quarter change marked as N/A, so no directional insight can be drawn from prior periods. The combination of a high PEG with no trend history implies a potential valuation risk, but the absence of movement leaves that risk unmeasured. This metric supports the overall NEUTRAL verdict because the elevated PEG alone does not justify a bearish call, yet it also prevents a bullish case, leaving the stock in a balanced position.
Frequently Asked Questions
What does the PEG Ratio tell investors about SIEGY?
The PEG ratio adjusts P/E for expected growth. A PEG below 1.0 may signal undervaluation; above 2.0 may suggest the growth story is priced in.
How is the PEG Ratio calculated?
PEG Ratio is calculated as: P/E Ratio / EPS Growth Rate.
Who are SIEGY's closest peers by PEG Ratio?
The closest peers by PEG Ratio include: PR (0.04x), COLM (0.04x), FIS (0.04x), THC (0.04x), CVX (0.04x).
Learn More About PEG Ratio
The Formula
P/E Ratio / EPS Growth Rate
Why It Matters
The PEG ratio adjusts P/E for expected growth. A PEG below 1.0 may signal undervaluation; above 2.0 may suggest the growth story is priced in.
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2.89x
Sector Median
0.77x
Sector Avg
2.66x
How SIEGY's PEG Ratio compares to sector peers.
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Not financial advice. Research tool only. Data may be delayed.