MAGNOLIA OIL & GAS CORP

NYSE: MGY (Magnolia Oil & Gas Corporation)

Last update: 15 Mar, 5:20PM

23.27

0.73 (3.24%)

Previous Close 22.54
Open 22.70
Volume 2,539,952
Avg. Volume (3M) 2,235,036
Market Cap 4,518,080,000
Price / Earnings (TTM) 11.99
Price / Earnings (Forward) 12.00
Price / Sales 2.91
Price / Book 2.02
52 Weeks Range
21.63 (-7%) — 29.02 (24%)
Earnings Date 5 May 2025 - 9 May 2025
TTM Dividend Yield 2.32%
Profit Margin 28.50%
Operating Margin (TTM) 38.77%
Diluted EPS (TTM) 1.94
Quarterly Revenue Growth (YOY) 9.70%
Quarterly Earnings Growth (YOY) 21.00%
Total Debt/Equity (MRQ) 19.74%
Current Ratio (MRQ) 1.33
Operating Cash Flow (TTM) 934.41 M
Levered Free Cash Flow (TTM) 268.40 M
Return on Assets (TTM) 11.52%
Return on Equity (TTM) 20.91%

Market Trend

Short Term Medium Term
Industry Oil & Gas E&P (US) Bearish Bearish
Oil & Gas E&P (Global) Bearish Bearish
Stock Magnolia Oil & Gas Corporation Bearish Bearish

AIStockmoo Score

-0.6
Analyst Consensus -0.5
Insider Activity NA
Price Volatility 2.0
Technical Moving Averages 0.0
Technical Oscillators -4.0
Average -0.63

Similar Stocks

Stock Market Cap DY P/E (TTM) P/B
MGY 5 B 2.32% 11.99 2.02
PR 10 B 4.29% 8.19 0.950
OVV 8 B 3.71% 7.68 0.870
RRC 8 B 0.72% 30.63 2.11
MTDR 5 B 2.43% 5.55 1.29
MUR 4 B 4.32% 10.43 0.600

Magnolia Oil & Gas Corp is an independent oil and natural gas company engaged in the acquisition, development, exploration, and production of oil, natural gas, and natural gas liquid (NGL) reserves. The Company’s oil and natural gas properties are located in Karnes County and the Giddings area in South Texas, where the Company targets the Eagle Ford Shale and Austin Chalk formations. Its objective is to generate stock market value over the long term through consistent organic production growth, high full-cycle operating margins, and an efficient capital program with short economic paybacks. The company's operating segment is acquisition, development, exploration, and production of oil and natural gas properties located in the United States.

Sector Energy
Industry Oil & Gas E&P
Investment Style Small Value
% Held by Insiders 1.29%
% Held by Institutions 112.04%
52 Weeks Range
21.63 (-7%) — 29.02 (24%)
Price Target Range
19.00 (-18%) — 30.00 (28%)
High 30.00 (Susquehanna, 28.92%) Buy
Median 25.00 (7.43%)
Low 19.00 (Citigroup, -18.35%) Sell
Average 24.80 (6.58%)
Total 2 Buy, 2 Hold, 1 Sell
Avg. Price @ Call 20.93
Firm Date Target Price Call Price @ Call
Piper Sandler 22 Apr 2025 25.00 (7.43%) Hold 20.83
Susquehanna 22 Apr 2025 30.00 (28.92%) Buy 20.83
UBS 22 Apr 2025 26.00 (11.73%) Buy 20.83
Citigroup 08 Apr 2025 19.00 (-18.35%) Sell 19.60
JP Morgan 13 Mar 2025 24.00 (3.14%) Hold 22.54

No data within this time range.

TTM Dividend Yield 2.32%
4Y Average Dividend Yield 1.63%
Payout Ratio 26.80%
Expected Next Dividend Payment Jun 2025
Ex Date Announcement Date Payment Date Details
14 Feb 2025 03 Feb 2025 03 Mar 2025 0.15 Cash
08 Nov 2024 28 Oct 2024 02 Dec 2024 0.13 Cash
09 Aug 2024 29 Jul 2024 03 Sep 2024 0.13 Cash
10 May 2024 02 May 2024 03 Jun 2024 0.13 Cash
15 Feb 2024 05 Feb 2024 01 Mar 2024 0.13 Cash
08 Nov 2023 30 Oct 2023 01 Dec 2023 0.115 Cash
09 Aug 2023 31 Jul 2023 01 Sep 2023 0.115 Cash
10 May 2023 01 May 2023 01 Jun 2023 0.115 Cash
09 Feb 2023 31 Jan 2023 01 Mar 2023 0.115 Cash
04 Nov 2022 27 Oct 2022 01 Dec 2022 0.1 Cash
11 Aug 2022 02 Aug 2022 01 Sep 2022 0.1 Cash
11 Feb 2022 03 Feb 2022 01 Mar 2022 0.2 Cash
11 Aug 2021 02 Aug 2021 01 Sep 2021 0.08 Cash
Show more

Annual Dividend Yield

Year Annual Dividend ($) Frequency/Year Yield %
2025 0.150 1 0.65
2024 0.520 4 2.22
2023 0.460 4 2.16
2022 0.400 3 1.71
2021 0.080 1 0.42

The support, resistance and trendline levels presented has been generated by an artificial intelligence (AI) model and should be interpreted with caution.

Portfolio

AI Template

Your price alert

Risk Profile

| | | | |
Conservative
Moderate Conservative
Moderate
Moderate Aggressive
Aggressive
Margin of Safety (EP)
Partial Profit (TP1)
Target Profit (TP2)
Maximum Loss (SL)

Disclaimer: The above is for illustrative purposes only and is NOT investment advice. Seek advice from a qualified financial professional.

Entry Price (EP)

Take Profit 1 (TP1)

Take Profit 2 (TP2)

Stop Loss (SL)

52W Range
 
52WL
 
52WH
SL
EP
TP1
TP2

All alert prices are within 52 weeks price range

Realized Profit -
Unrealized Profit -
Dividend Received 2025 -
Total Profit -
Avg. Return -
Quantity (Buy) -
Avg. Price (Buy) -
Quantity (Sold) -
Avg. Price (Sold) -
No stocks matching your criteria