Mirvac Group
ASX:MGR
$ 1,79
$-0,01 (-0,56%)
1,79 $
$-0,01 (-0,56%)
End-of-day quote: 03/23/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$0,14
FFO
$0,18
Revenue Per Share
30,25%
Gross Margin %
$7,08 B
Market Cap
$4,06 B
Long-Term Debt
FFO
$0,14
Revenue Per Share
$0,18
Gross Margin %
30,25%
Market Cap
$7,08 B
Long-Term Debt
$4,06 B

Financials

Year Year 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2010
FFO FFO $0,14 $0,15 $0,15 $0,14 $0,16 $0,17 $0,16 $0,15 $0,13 $0,12 $0,12 $0,11 $0,09
Revenue Revenue $705,00M $777,00M $786,00M $781,00M $771,00M $867,00M $839,00M $618,00M $613,00M $618,40M $650,90M $583,10M $1,72B
OCF Operating Cash Flow $542,00M $-57,00M $896,00M $635,00M $455,00M $518,00M $663,00M $513,00M $509,00M $412,70M $399,30M $385,90M $340,00M
FCF Free Cash Flow $541,00M $-60,00M $889,00M $632,00M $451,00M $0,00M $21,00M $499,00M $493,00M $399,90M $395,70M $382,30M $0,00M
OM Operating Margin 19,80% 27,27% 27,08% 31,66% 29,82% 32,68% 33,93% 33,07% 28,65% 33,01% 31,54% 29,94% 19,43%
GM % Gross Margin % 30,25% 44,85% 41,90% 47,42% 44,19% 44,35% 45,18% 43,31% 39,08% 47,36% 42,65% 43,47% 40,24%
FCFS Free Cash Flow Per Share $0,14 $-0,02 $0,23 $0,16 $0,11 $0,14 $0,18 $0,13 $0,12 $0,11 $0,11 $0,11 $0,11
LT Debt Long-Term Debt $4,40B $4,36B $4,04B $4,02B $4,23B $3,54B $3,02B $2,85B $2,31B $2,71B $2,53B $2,01B $1,55B
Sha. Stocks 3.945,86M 3.945,86M 3.943,07M 3.937,56M 3.934,29M 3.927,06M 3.708M 3.703M 3.699M 3.694M 3.688,5M 3.659,9M 3.254,8M
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