Magellan Financial Group Stock

Magellan Financial Group EBIT Margin

The EBIT Margin (Operating Margin) of Magellan Financial Group (MFG.AX) as of Aug 2, 2026 is 64.00 %. In the previous year, EBIT Margin (Operating Margin) was 86.63 % — a change of -26.12% (lower).

EBIT Margin

64.00 %

YoY

-26.12%

Last updated:

EBIT Margin (Operating Margin) of Magellan Financial Group is 2026 64.00 % . EBIT Margin (Operating Margin) of Magellan Financial Group was 2025 86.63 % . It decreases by -26.12% lower compared to the previous year.

Magellan Financial Group's operating (EBIT) margin stands at 64.0%, down from 84.2% several years earlier.

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Magellan Financial Group Stock analysis

What does Magellan Financial Group do? Magellan Financial Group Ltd is an Australian company founded in 2006 by Hamish Douglass and Chris Mackay. The company is listed on the Australian stock exchange and has its headquarters in Sydney. Business model: Magellan Financial Group is an asset manager that primarily invests in international stocks. The company manages its clients' assets and invests them in a diverse portfolio of stocks and bonds from different countries, sectors, and industries. The goal is to achieve long-term returns that outperform market returns while minimizing risk. Divisions: Magellan has various business divisions that pursue different investment strategies: ● Magellan Global Fund: Invests globally in high-quality, well-established companies with long-term growth potential. ● Magellan Infrastructure Fund: Invests in infrastructure companies worldwide that have stable cash flows and attractive dividend yields. ● Magellan High Conviction Fund: Invests in a limited number of high-conviction companies that the company sees as having long-term growth opportunities. ● Magellan Global Equities Fund: Invests globally in blue-chip companies considered as long-term assets. Products: Magellan offers a range of investment products, including: ● Magellan Global Fund: An actively managed fund that invests globally in a wide range of companies. ● Magellan Infrastructure Fund: A fund that invests in companies providing infrastructure projects and services. ● Magellan High Conviction Fund: A fund that invests in a limited number of companies in which the company has a high level of conviction. ● Magellan Global Equities Fund: A fund that invests in a wide range of blue-chip companies. ● Magellan Global Fund Hedged: An actively managed fund that invests in a wide range of companies while also hedging currency risk. Conclusion: Magellan Financial Group is an established asset manager in Australia that invests globally. The company offers various investment strategies and products and has gained a reputation as a reliable partner for investors and institutional clients. Magellan Financial Group is one of the most popular companies on Eulerpool.

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EBIT Margin (Operating Margin) of Magellan Financial Group is 64.00 % in 2026.

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