Magn.Kl
MAGN.KL operates in the Real Estate Rental, Development & Operations industry, generating revenue primarily through real estate rental, development, and operations activities.
Business. Magnera Corp (NYSE: MAGN.K) is a consumer cyclicals company operating in the Textiles & Leather Goods industry. The firm generates revenue through the sale of products within this sector. Specific details regarding operating segments, headquarters location, and geographic revenue mix are not provided in the available data. The company is primarily listed on the New York Stock Exchange under the ticker symbol MAGN.K.
Analyst recommendations
2 analysts · consensus HoldAt a glance
What drives this business
The watch-list the newsroom runs for this company — derived from its sector path, sharpened layer by layer. Not investment advice.
News & coverage
0Sector rotation
Developing storylines
Analysis
AI analysisOpportunity
Upcoming catalysts
Scheduled public events. Informational only — not investment advice.
- Company
- EarningsFY 2026 earnings (expected)2026-11-09 · estimated
- Macro
- Rate decisionBank of England rate decision (press conf.)2026-08-06 · GB
- Rate decisionReserve Bank of Australia rate decision (press conf.)2026-08-12 · AU
- Rate decisionNorges Bank rate decision (press conf.)2026-08-20 · NO
- Rate decisionSveriges Riksbank rate decision (press conf.)2026-09-03 · SE
- Rate decisionBank of Canada rate decision (press conf.)2026-09-09 · CA
- Rate decisionEuropean Central Bank rate decision (press conf.)2026-09-10 · EU
- Macro & political
- ElectionSE Swedish Election2026-09-14 · SE
- ElectionUS U.S. Midterms2026-11-03 · US
- ElectionFR French Legislative2027-06-01 · FR
Pre-earnings brief
Magnera Corporation (MAGN.K) has recorded a notable addition to its shareholder base, marking the first analysis for this ticker. As of March 31, 2026, investor ID 931 acquired a position of 36 shares, valued at $0.00032 million. This activity was detected on June 20, 2026, representing a new entry in the company's ownership structure. The significance of this change lies in its status as a baseline event for the stock. With no prior basis for delta computation, this acquisition serves as the initial reference point for tracking holder changes. The investor's stake constitutes a weight of approximately 1.54e-07 percent of the total, indicating a minimal proportional impact on the overall capitalization despite the notable classification of the signal. Magnera Corporation currently operates with a lean corporate structure, featuring only one officer and no analyst coverage. The company is not a member of any major indices, and its shareholder base is relatively concentrated, with 25 top holders identified. The absence of analyst estimates or ESG ratings in the current data set further underscores the limited external scrutiny currently applied to the firm. This initial holder change provides the first data point for monitoring future ownership trends. Given the lack of prior history, any subsequent additions or reductions in stake by investor ID 931 or other entities will be critical for establishing patterns in investor sentiment. The company's small scale and limited public profile suggest that such granular holder movements may be among the few visible indicators of market interest.
Signals & dispatch
Composite-score breakdown
Synthesis
Magnera Corp (NYSE: MAGN.K) is a consumer cyclicals company operating in the Textiles & Leather Goods industry. The firm generates revenue through the sale of products within this sector. Specific details regarding operating segments, headquarters location, and geographic revenue mix are not provided in the available data. The company is primarily listed on the New York Stock Exchange under the ticker symbol MAGN.K.
MAGN.KL maintains a strong liquidity position, with a current ratio of 6.78, indicating the company can cover its short-term liabilities more than six times over. The company's liquidity_fpt metric shows a net cash position that is negative after subtracting total debt, signaling potential short-term liquidity constraints. Despite this, the company's operating cash flow of 45,053,000 MYR supports its ongoing operations and provides a buffer against short-term obligations.
Profitability metrics for MAGN.KL show a return on equity (ROE) of 2.6% and a return on assets (ROA) of 2.17%. These figures are below the industry median for ROE and ROA, suggesting that the company is underperforming in terms of capital efficiency and asset utilization compared to its peers. The company's net income of 8,460,000 MYR is modest relative to its total assets of 390,099,000 MYR, indicating limited profitability leverage.
MAGN.KL's revenue is not segmented by geographic region or business line in the available data, but the company's total revenue of 97,239,000 MYR suggests a concentration in a single market or product offering. The absence of disclosed geographic or segment breakdowns limits visibility into diversification risks.
The company's growth trajectory is constrained, with no significant revenue growth observed in the latest period. The analyst estimate for revenue is 18,958,000 MYR, which is significantly lower than the reported revenue of 97,239,000 MYR, suggesting a potential overestimation or a recent decline in performance. The company's capital expenditure of -48,000 MYR indicates minimal investment in new projects or infrastructure, which may limit future growth.
Risk factors for MAGN.KL include a medium liquidity risk, as the company's net cash is negative after subtracting total debt. The dilution risk is low, with no near-term pressure from share issuance or dilution events. The company's debt-to-equity ratio of 0.0 suggests a conservative capital structure, but the negative net cash position could pose challenges in maintaining liquidity.
Recent events for MAGN.KL include the latest financial reporting period, which shows a revenue of 97,239,000 MYR and a net income of 8,460,000 MYR. No recent filings or transcripts are available to provide additional context on the company's strategic direction or operational performance.
Magnera Corporation (MAGN.K) has recorded a notable addition to its shareholder base, marking the first analysis for this ticker. As of March 31, 2026, investor ID 931 acquired a position of 36 shares, valued at $0.00032 million. This activity was detected on June 20, 2026, representing a new entry in the company's ownership structure. The significance of this change lies in its status as a baseline event for the stock. With no prior basis for delta computation, this acquisition serves as the initial reference point for tracking holder changes. The investor's stake constitutes a weight of approximately 1.54e-07 percent of the total, indicating a minimal proportional impact on the overall capitalization despite the notable classification of the signal. Magnera Corporation currently operates with a lean corporate structure, featuring only one officer and no analyst coverage. The company is not a member of any major indices, and its shareholder base is relatively concentrated, with 25 top holders identified. The absence of analyst estimates or ESG ratings in the current data set further underscores the limited external scrutiny currently applied to the firm. This initial holder change provides the first data point for monitoring future ownership trends. Given the lack of prior history, any subsequent additions or reductions in stake by investor ID 931 or other entities will be critical for establishing patterns in investor sentiment. The company's small scale and limited public profile suggest that such granular holder movements may be among the few visible indicators of market interest.
- MAGN.KL has a strong current ratio of 6.78, indicating robust short-term liquidity.
- The company's ROE of 2.6% and ROA of 2.17% are below industry medians, suggesting underperformance in capital efficiency.
- Revenue concentration and lack of geographic or segment breakdowns limit diversification visibility.
- The company's growth trajectory is constrained, with minimal capital expenditure and a recent revenue decline.
- Liquidity risk is medium, and dilution risk is low, with a conservative capital structure.
Bull / Bear case
Generated · model-assistedIn focus — financials by report
Valuation
Revenue by segment
Business relationships
Supply chain
Peer comparison
Market position
Stress test
Predictor forecast
Options
Short squeeze
Earnings-call key lines
Estimate revisions
consensus EPS · 26-week trendSell-side observations
Themes
ESG
Risk factors
- Net cash is negative after subtracting total debt.
Benchmarks vs cohort
Corporate actions / M&A
FX exposure
Comparable transactions
Derivatives & instruments
Derivative transactions
- Director · Restricted Stock Units → Common Stock, Par Value $.01Acquired 12 998grant · 2026-03-09
- Director · Restricted Stock Units → Common Stock, Par Value $.01Acquired 12 998grant · 2026-03-09
- Director · Restricted Stock Units → Common Stock, Par Value $.01Acquired 12 998grant · 2026-03-09
- Director · Restricted Stock Units → Common Stock, Par Value $.01Acquired 12 998grant · 2026-03-09
- Director · Restricted Stock Units → Common Stock, Par Value $.01Acquired 12 998grant · 2026-03-09
- Director · Restricted Stock Units → Common Stock, Par Value $.01Acquired 12 998grant · 2026-03-09
- Director · Restricted Stock Units → Common Stock, Par Value $.01Acquired 12 998grant · 2026-03-09
- Director · Restricted Stock Units → Common Stock, Par Value $.01Acquired 12 998grant · 2026-03-09
- EVP, GC & Corp Sec · Restricted Stock Units → Common Stock, Par Value $.01Disposed 1 571exercise · 2026-02-28
- EVP, GC & Corp Sec · Restricted Stock Units → Common Stock, Par Value $.01Disposed 205exercise · 2026-02-24
- Director, President & CEO · Restricted Stock Units → Common Stock, Par Value $.01Acquired 131 428grant · 2025-11-14
- Director · Restricted Stock Units → Common Stock, Par Value $.01Acquired 5 871grant · 2025-11-14
- Director · Restricted Stock Units → Common Stock, Par Value $.01Acquired 5 871grant · 2025-11-14
- Director · Restricted Stock Units → Common Stock, Par Value $.01Acquired 5 871grant · 2025-11-14
- Director · Restricted Stock Units → Common Stock, Par Value $.01Acquired 5 871grant · 2025-11-14
- Director · Restricted Stock Units → Common Stock, Par Value $.01Acquired 5 871grant · 2025-11-14
- Director · Restricted Stock Units → Common Stock, Par Value $.01Acquired 5 871grant · 2025-11-14
- Director · Restricted Stock Units → Common Stock, Par Value $.01Acquired 5 871grant · 2025-11-14
- Director · Restricted Stock Units → Common Stock, Par Value $.01Acquired 5 871grant · 2025-11-14
- EVP, CFO & Treasurer · Restricted Stock Units → Common Stock, Par Value $.01Acquired 34 285grant · 2025-11-14
- EVP, GC & Corp Sec · Restricted Stock Units → Common Stock, Par Value $.01Acquired 14 285grant · 2025-11-14
- EVP, COO · Restricted Stock Units → Common Stock, Par Value $.01Acquired 34 285grant · 2025-11-14
- Director, President & CEO · Restricted Stock Units → Common Stock, Par Value $.01Disposed 18 208exercise · 2025-11-04
Actions
Ask Handelsavisen
- Market data
- Market data cache
- Issuer disclosures
- Public news
- Earnings transcripts
- Consensus estimates
- ESG data
- Dilution Ratio(shares_outstanding_diluted - shares_outstanding_basic) / shares_outstanding_basic
- Net Cashcash_and_equivalents + short_term_investments - short_term_debt - long_term_debt
- Capex To Revenuecapital_expenditure / revenue
- Return On Equitynet_income / total_equity
- Debt To Equity(short_term_debt + long_term_debt) / total_equity
- Cash Conversion Ratiooperating_cash_flow / net_income
- MAGN.KL Market data — financials · 2026-05-28
- Magna Prima Bhd Market data — analyst estimates · 2026-05-28
Ownership & reference
Top holders
- Investment Managers · as of 2026-03-310,00 %$19M
- Institutional Investor · as of 2026-03-310,00 %$5M
- Investment Managers · as of 2026-03-310,00 %$2M
- Investment Managers · as of 2026-03-310,00 %$4M
- Investment Managers · as of 2026-03-310,00 %$1M
- Investment Managers · as of 2026-03-310,00 %$2M
- Investment Managers · as of 2026-03-310,00 %$3M
- Investment Managers · as of 2025-12-310,00 %$33M
- Investment Managers · as of 2026-03-310,00 %$7M
- Investment Managers · as of 2026-03-310,00 %$3M
- Investment Managers · as of 2026-03-310,00 %$2M
- Brokerage Firms · as of 2026-03-310,00 %$1M
- Investment Managers · as of 2026-03-310,00 %$6M
- Institutional Investor · as of 2026-03-310,00 %$1M
- Investment Managers · as of 2026-03-310,00 %$1M
- Investment Managers · as of 2024-12-310,00 %$1M
- Funds · as of 2026-03-310,00 %$1M
- Institutional Investor · as of 2022-09-300,00 %$0M
- Investment Managers · as of 2026-03-310,00 %$0M
- Investment Managers · as of 2024-06-300,00 %$2M
- Investment Managers · as of 2026-03-310,00 %$0M
- Institutional Investor · as of 2026-03-310,00 %$1M
- Brokerage Firms · as of 2026-03-310,00 %$0M
- Investment Managers · as of 2026-03-310,00 %$0M
- Institutional Investor · as of 2026-03-310,00 %$0M
Leadership
- Curtis L. BeglePresident, Chief Executive Officer
Insider activity
- EVP, GC & Corp Sec · Common Stock, Par Value $.01Other 521 @ $12,95$7K · 2026-02-28
- EVP, GC & Corp Sec · Common Stock, Par Value $.01Other 1 571 @ $12,95$20K · 2026-02-28
- EVP, GC & Corp Sec · Common Stock, Par Value $.01Other 68 @ $13,03$886 · 2026-02-24
- EVP, GC & Corp Sec · Common Stock, Par Value $.01Other 205 @ $13,03$3K · 2026-02-24
- Director, President & CEO · Common Stock, Par Value $.01Other 18 208 @ $8,53$155K · 2025-11-04
Short positioning
Geographic breakdown
Intel & risk
Evidence & claims
From filings & derived data- Total assets (YoY) (2025-12-27 vs 2024-12-28): -2.5%Derived (calculated)
- Debt-to-equity (FY 2025-12-27): 2.75xDerived (calculated)
- Shareholders' equity (YoY) (2025-12-27 vs 2024-12-28): -6.1%Derived (calculated)
- Cash & equivalents (YoY) (2025-12-27 vs 2024-12-28): 22.8%Derived (calculated)
- Total liabilities (YoY) (2025-12-27 vs 2024-12-28): -1.1%Derived (calculated)
- Long-term debt (YoY) (2025-12-27 vs 2024-12-28): -3.3%Derived (calculated)
- Current ratio (FY 2025-12-27): 2.46xDerived (calculated)
- Total assets (annual): USD 3.89BSEC XBRL filing
- Current liabilities (annual): USD 556MSEC XBRL filing
- Total liabilities (annual): USD 2.85BSEC XBRL filing
- Cash & equivalents (annual): USD 264MSEC XBRL filing
- Current assets (annual): USD 1.36BSEC XBRL filing
- Long-term debt (annual): USD 1.93BSEC XBRL filing
- Shareholders' equity (annual): USD 1.04BSEC XBRL filing
- Capex (YoY) (2025-09-27 vs 2024-09-28): -6.9%Derived (calculated)
- Operating income (YoY) (2025-09-27 vs 2024-09-28): 103.5%Derived (calculated)
- Revenue (YoY) (2025-09-27 vs 2024-09-28): 46.5%Derived (calculated)
- Operating cash flow (YoY) (2025-09-27 vs 2024-09-28): -46.4%Derived (calculated)
- Net income (YoY) (2025-09-27 vs 2024-09-28): -3.2%Derived (calculated)
- EPS (diluted) (YoY) (2025-09-27 vs 2024-09-28): 7.6%Derived (calculated)
- Cost of revenue (YoY) (2025-09-27 vs 2024-09-28): 47.0%Derived (calculated)
- EPS (basic) (YoY) (2025-09-27 vs 2024-09-28): 7.6%Derived (calculated)
- Net margin (FY 2025-09-27): -5.0%Derived (calculated)
- R&D expense (YoY) (2025-09-27 vs 2024-09-28): 53.8%Derived (calculated)