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Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$314K+140%$0$247K-61.0%$1.97M+523%$131K+57.8%
-$159K+78.8%$1.74M+61.0%$1.69M-$518K-115%-$749K+66.7%
-$537K+17.0%$237K+1,085%$944K+1.0%$938K+97.9%-$647K-16,275%
$46K-46.5%$55K$62K$96K-84.8%$86K-40.3%
$1.02M+13.2%$105K-85.3%$900K
$2.16M-5.1%$2.19M-4.3%$2.2M-5.9%$2.24M-4.0%$2.28M-2.1%
$678K-82.0%$2.21M+106%$2K-100.0%$4.15M$3.78M
$93K-67.6%$226K-33.5%-$287K$287K-48.5%
$228K-53.1%$608K+204%$486K+292%
-$519K-152%$7.04M-$4.38M$1.27M+115%$991K-53.8%
$1.42M-4.3%$1.42M-4.3%$1.42M-4.3%$1.42M-4.3%
-$9.04M+2.4%$12.36M-$12.38M$11M-$9.26M+23.6%
$6.4M+698%$0-100%-$5.01M$2.75M+298%-$1.07M-128%
$1.1M+148%$459K-13.4%$751K-25.3%$601K+28.4%$441K+5.0%
$1.02M+13.2%$105K-85.3%$900K
$405.75K-29.5%$405.75K-29.5%$405.75K-29.5%$405.75K-29.5%
$8.79M+382%$17.9M+142%-$2.37M-133%$3.35M-39.7%-$3.12M-136%

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Questions, answered.

How much cash does Superior Group of Companies, Inc. generate?
Superior Group of Companies, Inc. (SGC) generated $32.7M in operating cash flow over the trailing twelve months.
What is Superior Group of Companies, Inc.'s free cash flow?
After $3.4M of capital expenditures, Superior Group of Companies, Inc.'s free cash flow was $27.7M over the trailing twelve months, up 61.8% year over year.
Where does Superior Group of Companies, Inc.'s cash flow data come from?
Every line is extracted from Superior Group of Companies, Inc.'s SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.