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Magnolia Oil & Gas Corp
NYSE:MGY

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Magnolia Oil & Gas Corp
NYSE:MGY
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Price: 30.09 USD -0.5% Market Closed
Market Cap: $5.6B

P/E

17.5
Current
60%
More Expensive
vs 3-y average of 10.9

Price to Earnings (P/E) ratio shows how much investors pay for each dollar of a company`s earnings. It`s calculated by dividing the company`s market value by its total earnings.

P/E
17.5
=
Market Cap
$5.3B
/
Net Income
$320.8m

Price to Earnings (P/E) ratio shows how much investors pay for each dollar of a company`s earnings. It`s calculated by dividing the company`s market value by its total earnings.

P/E
17.5
=
Market Cap
$5.3B
/
Net Income
$320.8m

Valuation Scenarios

Magnolia Oil & Gas Corp is trading above its 3-year average

If P/E returns to its 3-Year Average (10.9), the stock would be worth $18.79 (38% downside from current price).

Statistics
Positive Scenarios
1/4
Maximum Downside
-38%
Maximum Upside
+31%
Average Downside
13%
Scenario P/E Value Implied Price Upside/Downside
Current Multiple 17.5 $30.09
0%
3-Year Average 10.9 $18.79
-38%
5-Year Average 10.9 $18.79
-38%
Industry Average 16.5 $28.35
-6%
Country Average 22.9 $39.32
+31%

Forward P/E
Today’s price vs future net income

Today's Market Cap Net Income Forward P/E
$5.3B
/
Jan 2026
$320.8m
=
17.5
Current
$5.3B
/
Dec 2026
$427.6m
=
12.4
Forward
$5.3B
/
Dec 2027
$433.2m
=
12.2
Forward
$5.3B
/
Dec 2028
$478.6m
=
11.1
Forward
$5.3B
/
Dec 2029
$460.4m
=
11.5
Forward
$5.3B
/
Dec 2030
$440.7m
=
12
Forward

Forward P/E shows whether today’s P/E still looks high or low once future net income are taken into account.

Market Distribution

In line with most companies in the United States of America
Percentile
37th
Based on 8 489 companies
37th percentile
17.5
Low
0 — 15.3
Typical Range
15.3 — 33.2
High
33.2 —
Distribution Statistics
the United States of America
Min 0
30th Percentile 15.3
Median 22.9
70th Percentile 33.2
Max 1 826 183.3

Magnolia Oil & Gas Corp
Glance View

Magnolia Oil & Gas Corp., a relatively young player in the energy sector, stands out with its focused operations and strategic presence in the rich oil and natural gas fields of South Texas. The company, headquartered in Houston, operates primarily in the Giddings and Karnes county regions, regions known for their prolific hydrocarbon resources. Driven by a commitment to efficient and sustainable production practices, Magnolia leverages the latest drilling technologies and techniques to maximize the output from their wells. The company benefits from a significant amount of technically low risk, high-return investment opportunities, allowing it to maintain robust economic returns even during periods of fluctuating commodity prices. Underpinning its operational strategy, Magnolia deploys a disciplined capital allocation model, meticulously focusing on achieving high returns on capital, sustaining low financial leverage, and maintaining strong cash flow distribution to shareholders. The company’s revenues are generated by extracting and selling crude oil, natural gas, and natural gas liquids — commodities that are in continuous demand and central to everyday energy needs. With a keen eye on market dynamics and cost management, Magnolia meticulously balances growth aspirations with shareholder returns, operating on a business model that thrives on boosted operational efficiency and strategic risk management. This approach not only ensures steady cash distributions to its shareholders but also reinforces its competitive stance in the dynamic oil and gas industry.

MGY Intrinsic Value
25.35 USD
Overvaluation 16%
Intrinsic Value
Price $30.09
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