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MG

Mirvac Group

MGRAustralian Securities Exchange

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A$1.79
-0.56%
End of day
Market Cap

$7.32B

P/E Ratio

18.55

Employees

1,651

Dividend Yield

4.97%

Price Chart

Risk-Adjusted Performance

Ratio1W1M3M6M1Y5YScore
Sortino-2.18-2.88-2.30-2.19-0.79-1.84
Calmar-24.52-5.82-3.14-1.49-0.49-3.60
Sharpe-2.02-2.68-1.71-1.68-0.56-1.47
Omega0.080.450.680.700.920.70
Martin-42.46-9.86-7.79-2.71-1.20-6.83
Ulcer1.877.345.2013.619.999.10

Mirvac Group (MGR) Price Performance

Mirvac Group (MGR) trades on Australian Securities Exchange in AUD. The company is classified in the Real Estate sector under the REIT - Diversified industry. The stock currently trades at AUD1.78, down 0.56% from the previous close.

Over the past year, MGR has traded between a low of AUD1.78 and a high of AUD2.38. The stock has lost 13.7% over this period. It is currently 25.1% below its 52-week high.

Mirvac Group has a market capitalization of $7.32B, with a price-to-earnings ratio of 18.55 and a dividend yield of 4.97%.

About Mirvac Group

Mirvac Group is an Australian Securities Exchange (ASX) listed company, with an integrated asset creation and curation capability. We own and manage assets across office, retail, industrial and the living sectors in our investment portfolio, with approximately $22 billion of assets under management. Our development activities span commercial and mixed-use and residential, with a development pipeline of approximately $29 billion. We focus on delivering high-quality, innovative and sustainable real estate for our customers, while driving long-term value for our securityholders. Mirvac Group was founded in 1972.

Company Info

Exchange
Australian Securities Exchange
Currency
AUD
Country
Australia

Financial Metrics

Revenue (TTM)
$2.93B
EBITDA
$749.00M
Profit Margin
13.17%
EPS (TTM)
0.10
Book Value
2.33

Technical Indicators

52 Week High
A$2.40
52 Week Low
A$1.76
50 Day MA
A$1.97
200 Day MA
A$2.18
Beta
0.94

Valuation

Trailing P/E
18.55
Forward P/E
13.50
Price/Sales
2.50
Price/Book
0.79
Enterprise Value
$11.15B