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Morning Top Movers: Magellan Midstream Partners, L.P. (NYSE: MMP)

With a market cap of 15.92 B, Magellan Midstream Partners, L.P. has a large market cap size. Magellan Midstream Partners, L.P. (NYSE: MMP) has been on the stock market since its IPO date on the 3/19/2001. Magellan Midstream Partners, L.P. is in the Oil & Gas Pipelines industry and Basic Materials sector. Average volume for Magellan Midstream Partners, L.P., is 664.95, and so far today it has a volume of 7945. Performance year to date since the 3/19/2001 is -7.74%.

To help you determine whether Magellan Midstream Partners, L.P. is undervalued the following values will help you decide. P/E is 19.45 and forward P/E is 16.86. PEG perhaps more useful shows that Magellan Midstream Partners, L.P. has a value for PEG of 2.29. P/S ratio is 6.84 and the P/B ratio is 7.52. The P/Cash and P/Free cash flow is 2241.89 and *TBA respectively.

At the current price Magellan Midstream Partners, L.P. is trading at, 69.99 (0.29% today), Magellan Midstream Partners, L.P. has a dividend yield of 5.00%, and this is covered by a payout ratio of 92.30%. Earnings per share (EPS) is 3.59, and this is looking to grow in the next year to 6.87% after growing -2.10% this past year. EPS growth quarter over quarter is 7.40%, and 23.50% for sales growth quarter over quarter.

The number of shares outstanding is 228.11, and the number of shares float is 227.65. The senior management bring insider ownership to 0.20%, and institutional ownership is at 64.30%. The float short is 1.14%, with the short ratio at a value of 3.9. Management has seen a return on assets of 12.10%, and also a return on investment of 15.10%.

The ability for Magellan Midstream Partners, L.P., to deal with debt, means it current ratio is 0.8, and quick ratio is 0.4. Long term debt/equity is 1.99 and total debt/equity is 0. In terms of margins, Magellan Midstream Partners, L.P. has a gross margin of 54.90%, with its operating margin at 42.60%, and Magellan Midstream Partners, L.P. has a profit margin of 35.20%.

The 52 week high is -14.41%, with 8.93% being its 52 week low. The 20 day simple moving average is 0.30% and the 200 day simple moving average is -4.73%.

Disclaimer: Remember there is a risk to your investment, this is not a recommendation, nor personal advice, never invest more than you are able too loose.

 

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Peter Clarke

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