Coming back to MFG share market performance, I don’ t get it how the market has reacted. I know these are short term reactions, but I like to know what the others see so negative. Just to put down the numbers-: —Underlying profit 454 m for 2021 FY in the annual reporting excluding $154m and $41m. —Ignore 154m on fund restructure- one off not in 2022FY — Ignore loss of $41m as this is part of $156m already invested in principle investments. These are not reoccurring expenditure. In the worst scenario MFG can walk away without incurring further $. —-So in 2021 MFG profit is $454m on ave FUM of 103.5, which is EPS of $ 2.45 , slightly better than last year. —FUM for 2022 is $117m already in July. Ignoring the rest of the year, based on 117B eps for 2022 is $2.80 or so. —In addition during last few days A$ drops significantly and most of the portfolio goes up in spite of the two Chinese stocks. —-Based on these numbers how did the MFG SP price drop more than 11% on release of the data. During this period there is no market upheaval either. Can someone explain to me.? Or I am missing something.? Or is it the irrational behaviour of the market from time time.
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MFG
magellan financial group limited
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$8.43

Coming back to MFG share market performance, I don’ t get it how...
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Last
$8.43 |
Change
-0.070(0.82%) |
Mkt cap ! $1.453B |
Open | High | Low | Value | Volume |
$8.54 | $8.54 | $8.39 | $3.430M | 405.2K |
Buyers (Bids)
No. | Vol. | Price($) |
---|---|---|
24 | 2070 | $8.43 |
Sellers (Offers)
Price($) | Vol. | No. |
---|---|---|
$8.44 | 1363 | 25 |
View Market Depth
No. | Vol. | Price($) |
---|---|---|
24 | 907 | 8.440 |
27 | 3957 | 8.430 |
9 | 3013 | 8.420 |
10 | 3990 | 8.410 |
9 | 2999 | 8.400 |
Price($) | Vol. | No. |
---|---|---|
8.450 | 2301 | 34 |
8.460 | 4214 | 27 |
8.470 | 5544 | 15 |
8.480 | 2681 | 7 |
8.490 | 4098 | 11 |
Last trade - 15.01pm 25/06/2025 (20 minute delay) ? |
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MFG (ASX) Chart |