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Magellan Financial Group Valuation Multiples

Discover revenue and EBITDA valuation multiples for Magellan Financial Group and similar public comparables like Prospect Capital, P10, Okasan Securities, Oakley Capital and more.

Magellan Financial Group Overview

About Magellan Financial Group

Magellan Financial Group is an Australia-based niche funds manager. Established in 2006, the firm specializes in the management of equity and infrastructure funds for domestic retail and institutional investors. Magellan has historically been particularly successful in winning mandates from global institutional investors. Current FUM is split across global equities, infrastructure equities, Australian equities, and systematic equities.


Founded

2004

HQ

Australia

Employees

111

Financials (LTM)

Revenue: $167M
EBITDA: $111M

EV

$1B

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Magellan Financial Group Financials

Magellan Financial Group reported last 12-month revenue of $167M and EBITDA of $111M.

In the same LTM period, Magellan Financial Group generated $129M in gross profit, $111M in EBITDA, and $99M in net income.

Revenue (LTM)


Magellan Financial Group P&L

In the most recent fiscal year, Magellan Financial Group reported revenue of $224M and EBITDA of $133M.

Magellan Financial Group is profitable as of last fiscal year, with EBITDA margin of 60% and net margin of 53%.

See analyst estimates for Magellan Financial Group
LTMLast FY202320242025202620272028
Revenue$167M$224M$306M$266M$193M
Gross Profit$129Mβ€”β€”$189M$157M
Gross Margin77%β€”β€”71%81%
EBITDA$111M$133Mβ€”$133M$121M
EBITDA Margin67%60%β€”50%63%
EBIT Margin66%59%β€”50%62%
Net Profit$99M$118M$150M$144M$108M
Net Margin59%53%49%54%56%

Financial data powered by Morningstar, Inc.

Magellan Financial Group Stock Performance

Magellan Financial Group has current market cap of $1B, and enterprise value of $1B.

Market Cap Evolution


Magellan Financial Group's stock price is $6.16.

Magellan Financial Group share price decreased by 15.3% in the last 30 days, and increased by 3.5% in the last year.

Magellan Financial Group has an EPS (earnings per share) of $0.63.

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EVMarket CapPrice 1DPrice 1MPrice 3MPrice 12MEPS
$1B$1B0.0%-15.3%1.5%3.5%$0.63

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Magellan Financial Group Valuation Multiples

Magellan Financial Group trades at 6.9x EV/Revenue multiple, and 10.3x EV/EBITDA.

See NTM and 2027E valuation multiples for Magellan Financial Group

EV / Revenue (LTM)


Magellan Financial Group Financial Valuation Multiples

As of May 25, 2026, Magellan Financial Group has market cap of $1B and EV of $1B.

Magellan Financial Group has a P/E ratio of 11.6x.

LTMLast FY202320242025202620272028
EV/Revenue6.9x5.1x3.7x4.3x5.9x
EV/EBITDA10.3x8.6xβ€”8.6x9.5x
EV/EBIT10.5x8.7xβ€”8.7x9.6x
EV/Gross Profit8.9xβ€”β€”6.1x7.3x
P/E11.6x9.7x7.6x7.9x10.6x
EV/FCF13.4x10.5x13.8x16.1x11.9x

Multiples above and below 250x are considered non-meaningful (n/m). Valuation data powered by FactSet, Inc. and Morningstar, Inc.

Verified Magellan Financial Group Valuation Multiples

Access all public comps and forward-looking valuation multiples like EV/Revenue in 2027, based on consensus analyst estimates. Powered by FactSet and Morningstar.

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Magellan Financial Group Margins & Growth Rates

Magellan Financial Group decreased revenue by 27% and EBITDA by 18% in the last fiscal year.

In the most recent fiscal year, Magellan Financial Group reported EBITDA margin of 60% and net margin of 53%.

See estimated margins and future growth rates for Magellan Financial Group

Magellan Financial Group Margins

Last FY202420252026202720282029
Gross Marginβ€”71%81%75%
EBITDA Margin60%50%63%78%
EBIT Margin59%50%62%77%
Net Margin53%54%56%72%
FCF Margin49%27%50%64%

Magellan Financial Group Growth Rates

FY+1/FY23/2424/2525/2626/2727/2828/29
Revenue Growth(27%)(13%)(28%)(22%)
Gross Profit Growthβ€”β€”(17%)(28%)
EBITDA Growth(18%)β€”(9%)(4%)
EBIT Growth(19%)β€”(9%)(4%)
Net Profit Growth(16%)(4%)(25%)(0%)
FCF Growth(23%)(14%)35%(0%)

Data powered by FactSet, Inc. and Morningstar, Inc.

Magellan Financial Group Operational KPIs

Magellan Financial Group's revenue per employee in the last FY averaged $2.0M, while opex per employee averaged $0.6M for the same period.

Magellan Financial Group's Rule of 40 is 56% (metric relevant for SaaS companies only, counted as combined revenue growth rate and EBITDA margin).

Magellan Financial Group's Rule of X is 22% (created by Bessemer, Rule of X is another metric to measure SaaS companies, ~1.5x stronger vs. the traditional Rule of 40, counted as revenue growth rate multiplied by 2.5 plus EBITDA margin).

Access forward-looking KPIs for Magellan Financial Group
LTMLast FY202320242025202620272028
Rule of 4051%56%β€”β€”β€”
Bessemer Rule of X28%22%β€”β€”β€”
Revenue per Employeeβ€”$2.0Mβ€”β€”β€”
Opex per Employeeβ€”$0.6Mβ€”β€”β€”
S&M Expenses to Revenueβ€”1%0%0%1%
G&A Expenses to Revenueβ€”29%23%24%33%
Opex to Revenue49%32%β€”27%40%

Data powered by FactSet, Inc. and Morningstar, Inc.

Valuation Multiples Across 230+ Verticals

Magellan Financial Group Competitors

Magellan Financial Group competitors include Prospect Capital, P10, Okasan Securities, Oakley Capital, Generation Development Group, Vivenio Residencial, Borusan YatΔ±rΔ±m, Creades, ASA Gold & Precious and abrdn Healthcare Invts.

Most Magellan Financial Group public comparables operate across Asset Management.

EV/RevenueEV/EBITDA
Last FYLTM2027ELast FYLTM2027E
Prospect Capital4.0x4.5xβ€”β€”
P10β€”4.8xβ€”12.7x
Okasan Securities8.6x7.6xβ€”β€”
Oakley Capital16.0xβ€”β€”β€”
Generation Development Group2.4x9.2x40.0x32.7x
Vivenio Residencial22.4xβ€”13.1xβ€”
Borusan YatΔ±rΔ±m537.6xβ€”8.5xβ€”
Creades8.6xβ€”β€”β€”

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Magellan Financial Group M&A Activity

Magellan Financial Group has acquired 3 companies to date.

Last acquisition by Magellan Financial Group was on March 2nd 2026. Magellan Financial Group acquired Barrenjoey for $1B (EV/Revenue multiple of ).

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Latest Acquisitions by Magellan Financial Group

Barrenjoey
Airlie Funds Management
Frontier Partners
Description
Barrenjoey is a Sydney-headquartered investment bank delivering equities trading, debt capital markets, and mergers and acquisitions advisory services to institutional investors and corporations. The firm maintains offices in Sydney and Perth with global reach supported by its partnership with Barclays. Established in 2020, Barrenjoey focuses on sectors including resources, healthcare, and technology across Australia and New Zealand.
Airlie Funds Management is a Sydney, Australia-based equities manager overseeing $6 billion in assets. Founded in 2012, the firm runs Australian equity strategies including the Airlie Australian Share Fund, which returned 12.5 percent annualized over five years to 2023. It invests in 40-60 ASX-listed companies across sectors.
Frontier Partners is a Chicago-headquartered placement agent founded in 1993 for boutique investment managers. It assists with institutional capital raising in the US and abroad through database management, pitchbook creation, roadshow coordination, and strategic advisory. The firm has facilitated over $50 billion in assets under management for hedge funds and private equity strategies.
HQ CountryAustraliaAustraliaUnited States
HQ City
Sydney
Sydney
Chicago, IL
Deal Date2 Mar 20266 Feb 20186 Feb 2018
Valuation$1B$63M$120M
EV/Revenue
EV/EBITDA

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Magellan Financial Group Investment Activity

Magellan Financial Group has invested in 1 company to date.

Latest investment by Magellan Financial Group was on September 21st 2020. Magellan Financial Group invested in Barrenjoey in their $32M Undisclosed stage round (EV/Revenue multiple of ).

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Latest Investments by Magellan Financial Group

Barrenjoey
Description
Barrenjoey is a Sydney-headquartered investment bank delivering equities trading, debt capital markets, and mergers and acquisitions advisory services to institutional investors and corporations. The firm maintains offices in Sydney and Perth with global reach supported by its partnership with Barclays. Established in 2020, Barrenjoey focuses on sectors including resources, healthcare, and technology across Australia and New Zealand.
HQ CountryAustralia
HQ City
Sydney
Deal Date21 Sep 2020
RoundUndisclosed stage
Raised$32M
InvestorsBarclays Corporate Banking; Magellan Financial Group
Valuation$322M
EV/Revenue
EV/EBITDA

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About Magellan Financial Group

When was Magellan Financial Group founded?Magellan Financial Group was founded in 2004.
Where is Magellan Financial Group headquartered?Magellan Financial Group is headquartered in Australia.
How many employees does Magellan Financial Group have?As of today, Magellan Financial Group has over 111 employees.
Who is the CEO of Magellan Financial Group?Magellan Financial Group's CEO is Sophia Rahmani.
Is Magellan Financial Group publicly listed?Yes, Magellan Financial Group is a public company listed on Australian Securities Exchange.
What is the stock symbol of Magellan Financial Group?Magellan Financial Group trades under MFG ticker.
When did Magellan Financial Group go public?Magellan Financial Group went public in 2004.
Who are competitors of Magellan Financial Group?Magellan Financial Group main competitors include Prospect Capital, P10, Okasan Securities, Oakley Capital, Generation Development Group, Vivenio Residencial, Borusan YatΔ±rΔ±m, Creades, ASA Gold & Precious, abrdn Healthcare Invts.
What is the current market cap of Magellan Financial Group?Magellan Financial Group's current market cap is $1B.
What is the current revenue of Magellan Financial Group?Magellan Financial Group's last 12 months revenue is $167M.
What is the current revenue growth of Magellan Financial Group?Magellan Financial Group revenue growth (NTM/LTM) is (16%).
What is the current EV/Revenue multiple of Magellan Financial Group?Current revenue multiple of Magellan Financial Group is 6.9x.
Is Magellan Financial Group profitable?Yes, Magellan Financial Group is EBITDA-positive (as of the last 12 months).
What is the current EBITDA of Magellan Financial Group?Magellan Financial Group's last 12 months EBITDA is $111M.
What is Magellan Financial Group's EBITDA margin?Magellan Financial Group's last 12 months EBITDA margin is 67%.
What is the current EV/EBITDA multiple of Magellan Financial Group?Current EBITDA multiple of Magellan Financial Group is 10.3x.
What is the current FCF of Magellan Financial Group?Magellan Financial Group's last 12 months FCF is $85M.
What is Magellan Financial Group's FCF margin?Magellan Financial Group's last 12 months FCF margin is 51%.
What is the current EV/FCF multiple of Magellan Financial Group?Current FCF multiple of Magellan Financial Group is 13.4x.
How many companies Magellan Financial Group has acquired to date?As of May 2026, Magellan Financial Group has acquired 3 companies.
What was the largest acquisition by Magellan Financial Group?$1B acquisition of Barrenjoey on 2nd March 2026 was the largest M&A Magellan Financial Group has done to date.
What companies Magellan Financial Group acquired?Magellan Financial Group acquired Barrenjoey, Frontier Partners, and Airlie Funds Management.
In how many companies Magellan Financial Group has invested to date?As of May 2026, Magellan Financial Group has invested in 1 company.
What was the last Magellan Financial Group investment?On 21st September 2020 Magellan Financial Group invested in Barrenjoey, participating in a $32M Undisclosed stage round at $322M valuation, alongside Barclays Corporate Banking.
In what companies Magellan Financial Group invested in?Magellan Financial Group invested in Barrenjoey.

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