M&G (MNG.L) stock price, revenue, and financials

M&G market cap is £5.6 b, and annual revenue was £15.22 b in FY 2020

£5.6 B

MNG.L Mkt cap, 08-Jun-2022

£9.2 B

M&G Revenue H1, 2021
M&G Gross profit (H1, 2021)2.4 B
M&G Gross profit margin (H1, 2021), %25.9%
M&G Net income (H1, 2021)-248 M
M&G Cash, 30-Jun-20216.1 B
M&G EV-12.5 M
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M&G Revenue

M&G revenue was £15.22 b in FY, 2020 which is a 52.6% year over year decrease from the previous period.

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M&G Income Statement

Annual

GBPFY, 2019FY, 2020

Revenue

32.1b15.2b

Revenue growth, %

(53%)

Cost of goods sold

24.4b12.7b

Gross profit

7.8b2.5b

Gross profit Margin, %

24%17%

General and administrative expense

2.8b2.6b

Operating expense total

2.9b2.7b

Depreciation and amortization

108.0m128.0m

Pre tax profit

1.7b1.6b

Income tax expense

680.0m463.0m

Net Income

1.1b1.1b

EPS

43.044.0

Half Year

GBPH1, 2020H1, 2021

Revenue

1.5b9.2b

Cost of goods sold

1.4b6.8b

Gross profit

101.0m2.4b

Gross profit Margin, %

7%26%

General and administrative expense

1.1b1.3b

Operating expense total

1.2b1.4b

Depreciation and amortization

60.0m67.0m

Pre tax profit

1.0b74.0m

Income tax expense

161.0m322.0m

Net Income

826.0m(248.0m)

EPS

31.8(9.8)

M&G Balance Sheet

Annual

GBPFY, 2019FY, 2020

Cash

6.0b6.8b

PP&E

1.5b2.1b

Goodwill

1.4b1.4b

Total Assets

226.2b228.7b

Short-term debt

32.0m22.0m

Long-term debt

328.0m332.0m

Total Debt

360.0m354.0m

Total Liabilities

221.1b

Common Stock

130.0m130.0m

Additional Paid-in Capital

370.0m370.0m

Retained Earnings

16.3b16.9b

Total Equity

5.1b5.6b

Debt to Equity Ratio

0.1 x0.1 x

Debt to Assets Ratio

0 x0 x

Financial Leverage

44.1 x41 x

Half Year

GBPH1, 2020H1, 2021

Cash

5.8b6.1b

PP&E

1.7b2.3b

Total Assets

222.6b231.2b

Total Debt

361.0m427.0m

Total Liabilities

217.1b

Common Stock

130.0m130.0m

Additional Paid-in Capital

370.0m370.0m

Retained Earnings

16.7b16.4b

Total Equity

5.5b5.1b

Debt to Equity Ratio

0.1 x0.1 x

Debt to Assets Ratio

0 x0 x

Financial Leverage

40.2 x45.4 x

M&G Cash Flow

Annual

GBPFY, 2019FY, 2020

Cash From Operating Activities

181.0m2.6b

Purchases of PP&E

(393.0m)(821.0m)

Cash From Investing Activities

(382.0m)(957.0m)

Long-term Borrowings

(24.0m)

Dividends Paid

(3.5b)(562.0m)

Cash From Financing Activities

(319.0m)(880.0m)

Net Change in Cash

(520.0m)739.0m

Interest Paid

22.0m189.0m

Half Year

GBPH1, 2020H1, 2021

Cash From Operating Activities

467.0m(51.0m)

Purchases of PP&E

(220.0m)(452.0m)

Cash From Investing Activities

(244.0m)(218.0m)

Long-term Borrowings

(22.0m)

Dividends Paid

(410.0m)(310.0m)

Cash From Financing Activities

(528.0m)(425.0m)

Net Change in Cash

(305.0m)(694.0m)

Interest Paid

95.0m93.0m

M&G Ratios

GBPFY, 2019

Revenue/Employee

10.0m

Debt/Equity

0.1 x

Financial Leverage

44.1 x

M&G Operating Metrics

M&G's Assets Under Management was reported to be £367.2b in FY, 2020.
FY, 2016FY, 2017FY, 2018FY, 2019FY, 2020

Assets Under Management

£266 b£298 b£321 b£351.5 b£367.2 b

Enterprise Customers (Institutional Clients Group)

800 k800

Markets

2828

Offices

2225

Retail Customers

5 m5.3 m

M&G Human Capital

Gender

FY, 2020FY, 2019
Male, percent18.3%18.3%
Female, percent15%15%
Male (Senior Management), percent23%23.3%
Female (Senior Management), percent10.3%10%
Male (Board), percent16.7%14.3%
Female (Board), percent16.7%19%