Magellan Financial Group (MFG.AX) Osake Kurssi
Magellan Financial Group Kurssi
Liikevaihto on kasvanut 19,9 % vuodessa viimeisten 19 vuoden aikana 206,78 M AUD:een. Osakekohtainen tulos on kasvanut 19,6 % vuodessa viimeisten 19 vuoden aikana. Magellan Financial Groupn nettomarginaali on nyt 42,5 %, laskenut 57,2 %:sta muutama vuosi sitten. Magellan Financial Groupn osinkotuotto on tällä hetkellä noin 4,61 %. Jakosuhde on noin 84 % tuloksesta. Osinko on kasvanut 9,0 % vuodessa viimeisten 19 vuoden aikana. Analyytikoiden mediaanitavoitehinta on 9,69 AUD, eli yli nykyhintaa 13,2 %. 13 analyytikosta 0 suosittaa ostoa — kokonaiskonsensus on Myy.
Magellan Financial Group osakekurssi
Magellan Financial Group liiketoimintamalli ja osakeanalyysi
Usein kysytyt kysymykset Magellan Financial Group -osakkeesta
The business model of Magellan Financial Group Ltd revolves around investment management and financial services. As a global investment management company, Magellan specializes in global equities and global infrastructure investments. The company aims to deliver strong risk-adjusted returns to its investors through its active investment approach, rigorous research process, and long-term investing philosophy. Magellan seeks to identify high-quality companies with sustainable competitive advantages and invests in them with a long-term perspective. With its focus on delivering superior investment outcomes, Magellan strives to serve the best interests of its clients and create long-term value for its shareholders.
Magellan Financial Group Ltd is primarily active in the financial services industry.
The main competitors of Magellan Financial Group Ltd in the market include global asset management firms such as BlackRock Inc., Vanguard Group Inc., and State Street Global Advisors. These companies, like Magellan Financial Group Ltd, offer a wide range of investment strategies and products to investors. However, Magellan Financial Group Ltd distinguishes itself through its active investment approach and focus on global equities. As a leading Australian investment manager, Magellan Financial Group Ltd competes with these industry giants by leveraging its expertise in identifying high-quality investment opportunities and delivering strong long-term returns for its clients.
Magellan Financial Group Ltd is an Australian-based global investment management company. Founded in 2006 by Hamish Douglass and Chris Mackay, the company has quickly risen to prominence in the financial industry. Magellan specializes in global equities investment, managing a diverse range of funds for institutional and retail investors. With a focus on investing in quality companies with sustainable competitive advantages, Magellan has achieved impressive growth and delivered strong investment returns. The company's success is attributed to its disciplined investment approach, experienced management team, and commitment to delivering long-term value for its clients. Today, Magellan Financial Group Ltd is recognized as a leading player in the global investment management sector.
Magellan Financial Group Ltd has achieved several significant milestones. Firstly, the company gained recognition as one of Australia's leading investment management firms, known for its expertise in global equities. Additionally, Magellan successfully expanded its international presence, establishing offices in the United States and the United Kingdom. The company consistently delivers strong investment performance, with its funds being highly regarded by investors worldwide. Notably, Magellan has garnered multiple industry awards and accolades, affirming its commitment to excellence. Through its innovative strategies and dedicated team, Magellan Financial Group Ltd has continuously solidified its position as a prominent player in the financial market.
Magellan Financial Group Ltd is primarily present in Australia.
Magellan Financial Group Ltd represents values of integrity, excellence, and client-centeredness. With a strong corporate philosophy, the company is committed to delivering superior investment solutions and exceptional service to its clients. Magellan Financial Group believes in transparency, accountability, and a long-term approach to investing. The company prioritizes the needs and interests of its clients, focusing on generating sustainable and consistent returns for their investments. By staying true to these values and corporate philosophy, Magellan Financial Group continues to establish itself as a trusted and leading global investment manager.
Analyytikot asettavat tällä hetkellä Magellan Financial Group-osakkeelle keskimääräisen tavoitehinnan 9,52 AUD (mediaani: 9,69 AUD), mikä merkitsee +11,2 % viimeisimpään hintaan verrattuna. Konsensus perustuu 13 analyytikkoarvioon.
Magellan Financial Group Analyytikkojen kursstavoitteet 2026
13 analyytikkoa arvioi tällä hetkellä Magellan Financial Group-osaketta: 0 suosittaa ostoa, 5 pitoa ja 8 myyntiä.
Magellan Financial Group Analyytikkojen kursstavoitteet 2026
Nykyisellä valuuttakurssilla Magellan Financial Group-osake noteerataan hintaan 5,33 EUR (8,56 AUD).
Magellan Financial Group-osake (MFG.AX) on listattuna 5 pörssissä, muun muassa: SIX (Zürich) (NNA.SW), ASX (MFG.AX), Frankfurt (NNA.F), München (NNA.MU).
The Magellan Financial Group Ltd is an Australian investment company specializing in international stock investments. The company was founded in 2006 and is headquartered in Sydney. Magellan offers various divisions focusing on investment management for private and business clients. These include the following: 1. International stock investments: Magellan invests in stocks of companies from around the world. The company relies on careful selection and analysis of investments to minimize risk for its clients while achieving high returns. 2. Infrastructure investments: Magellan invests in infrastructure projects such as power supply, water and wastewater management, and airports. The company relies on long-term contracts and stable cash flows to achieve high returns for its clients. 3. Term deposits: Magellan also offers term deposit accounts, where clients can invest their money for a specific period of time. Variable or fixed interest rates are offered, depending on the duration of the savings product. Magellan's business model is based on an innovative investment strategy to achieve high returns for its clients while minimizing risk. The company has chosen to invest only in companies or infrastructure projects that it considers promising based on thorough analysis. By focusing on a limited number of investments and strictly adhering to risk management principles, returns can be maximized and risk can be minimized. Magellan offers its products and services through various channels, including financial advisors and online platforms. Customers have access to a variety of information tools, such as webinars, to assist them in making investment decisions. Overall, Magellan offers a wide range of investment and savings products for clients around the world. By focusing on a limited number of investments and strictly adhering to risk management principles, the company can achieve high returns while minimizing risk for its clients. Magellan's business model has proven successful in the past and has made the company one of the leading players in the investment industry.
liikevaihto Magellan Financial Group on 206,78 M AUD. Tämä luku perustuu nykyisiin talousarvoihin ja heijastaa yhtiön liiketoimintasuoritusta.
voitto Magellan Financial Group on 87,92 M AUD. Nettovoitto kuvastaa yhtiön kannattavuutta kaikkien kulujen vähentämisen jälkeen.
Magellan Financial Group:n hinta-voitto-suhde (P/E) on tällä hetkellä 18,94. P/E-suhde vertaa nykyistä osakekurssia osakekohtaiseen tulokseen ja auttaa sijoittajia arvioimaan Magellan Financial Group-osakkeen arvostusta.
Magellan Financial Group:n hinta-myynti-suhde (P/S) on tällä hetkellä 8,05. P/S-suhde vertaa markkina-arvoa vuosittaisiin tuloihin ja toimii Magellan Financial Group-osakkeen arvostuskennuslukuna.
Magellan Financial Group:n Eulpool-laatuscore on 2/10.
Magellan Financial Group:n ISIN on AU000000MFG4. ISIN (International Securities Identification Number) on maailmanlaajuisesti ainutlaatuinen arvopaperin tunnus.
Magellan Financial Group:n WKN on A0LFMD. WKN (Wertpapierkennnummer) on kuusinumeroinen saksalainen arvopaperin tunnus.
Magellan Financial Group:n ticker on MFG.AX. Tämä pörssinoteeraus käytetään Magellan Financial Group-osakkeiden kauppaan pörssissä.
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Kaikki tunnusluvut ja syvällinen analyysi Magellan Financial Group:sta
Meidän osakeanalyysimme Magellan Financial Group-osakkeesta sisältää tärkeitä taloudellisia tunnuslukuja, kuten liikevaihdon, voiton, P/E-luvun, P/S-luvun, EBIT:n sekä tietoja osingosta. Lisäksi tarkastelemme asioita kuten osakkeet, markkina-arvo, velat, oma pääoma ja vastuut Magellan Financial Group:n yhteydessä. Jos etsit yksityiskohtaisempaa tietoa näistä aiheista, tarjoamme alisivuillamme kattavia analyysejä: