MFG magellan financial group limited

Ann: Funds Under Management - December 2021, page-77

  1. 3,151 Posts.
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    Hi @Chella

    I have used Yahoo Finance Average EPS forecast for 2022. The reduction is a difference of 6%, the drop is still likely to be significant, 23.22% (assumes investors will use forecast EPS rather than current year EPS).

    If the above is extrapolated to Global Equities FUM, currently $A64.931B from Chella's Table above, Magellan will end up with FUM of $A49.854B [$64.931-23.22%($15.077B)=$49.854B]. This is a difference of about $A4.227B from previous post.

    Here are the underlying values:
    Portfolio Holdings as at September Quarter
    https://hotcopper.com.au/data/attachments/3961/3961580-e644a903c4e35d45d694a04dc37598e3.jpg


    Fall if based on Current EPS and revert back to Historical Average PE Ratios
    https://hotcopper.com.au/data/attachments/3961/3961588-23f78826c5814ac9e5c8d0063c5ceea9.jpg

    Fall if based on Forecast EPS and revert back to Historical Average PE Ratios
    https://hotcopper.com.au/data/attachments/3961/3961598-bd05379bf01c64b0d7dfd5fd2adb38e5.jpg

    The point of this is:
    1> There is no downside protection in Magellan's portfolio if you are an investor in Magellan's Global Equity Fund
    2> Shareholders are not immune from suffering further. Market drop will likely mean FUM drops by a similar amount as SJP leaving the Fund. The above range between -23.22% and -29.73% is a reversion to historical averages and may fall further.

    Best of Luck
    Lost
 
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