Magellan Financial Group Limited is a publicly owned investment manager.
It invests in global equities and global listed infrastructure markets across the globe in 2004 (20 years)
AUM (Asset under management), FUM (Fund under management) has dropped significantly.
However, interestingly the company has maintained profitable business model (recent Earning down to 182.66m, still 42.4% profit margin) with only 115 employees, has no debt and excellent financial health, stable equity & stable dividend (payout ratio 82.5%).
It will not be surprised to see no grow in revenue/ earning in next a couple years & regain (lost fund).
What investment strategies should they use next?
22/02/2024