NYSE:MMP - Magellan Midstream Partners, L.P.
$61.50
 $0.15
+0.24%
4:00PM EDT
2019-03-20
Magellan Midstream Partners, L.P. is principally engaged in the transportation, storage and distribution of refined petroleum products and crude oil. The Company operates through three segments: refined products, crude oil and marine storage. As of December 31, 2016, its asset portfolio, including the assets of its joint ventures, consisted of its refined products segment, consisting 9,700-mile refined products pipeline system with 53 terminals, as well as 26 independent terminals not connected to its pipeline system and its 1,100-mile ammonia pipeline system; its crude oil segment, consisted of approximately 2,200 miles of crude oil pipelines and storage facilities with an aggregate storage capacity of approximately 26 million barrels, of which 16 million are used for contract storage, and its marine storage segment, consisted of five marine terminals located along coastal waterways with an aggregate storage capacity of approximately 26 million barrels. Read more at  reuters.com
sector:  energy
industry:  natural gas distribution
the data below are updated and published after 9pm EDT each trading day
  MMP     avg for
industry  
  avg for
sector  
42 stocks weight:  155. 97   0. 00   0. 00  
42 stocks rank:  393. 00   842. 29   845. 62  
# analyst opinions:  18. 00   11. 75   12. 69  
mean recommendation:  2. 50   1. 64   2. 38  

quick ratio:  0. 53   0. 53   0. 92  
current ratio:  0. 95   0. 75   1. 28  

ex-dividend date:     2019-02-05
dividend rate:  3. 99   2. 39   1. 88  
dividend yield:  6. 63 % 5. 67 % 3. 73 %
target price low:  56. 00   47. 57   45. 91  
target price avg:  68. 28   54. 05   54. 84  
target price high:  78. 00   62. 06   67. 25  
1-yr high:  71. 97   52. 13   59. 45  
last close:  61. 35   48. 39   50. 31  
50-day avg:  60. 51   46. 73   47. 91  
200-day avg:  64. 63   46. 80   50. 35  
1-yr low:  54. 43   38. 93   40. 04  
volume:  1. 61 M 3. 05 M 6. 14 M
50-day avg volume:  1. 00 M 3. 35 M 3. 79 M
200-day avg volume:  910. 81 K 3. 50 M 4. 17 M

1-day return:  0. 76 % 0. 18 % 0. 04 %
this week return:  2. 34 % 1. 33 % 2. 08 %
12-wk return:  9. 91 % 18. 92 % 22. 51 %
52-wk return:  1. 36 % 5. 33 % 8. 47 %

enterprise value (EV):  17. 81 B 47. 32 B 92. 65 B
market cap:  14. 01 B 30. 85 B 295. 01 B
EBITDA:  1. 26 B 2. 69 B 7. 72 B
enterprise multiple (EV/EBITDA):  14. 10   9. 11   5. 21  
enterprise/revenue (EV/R):  6. 30   2. 93   1. 66  
total revenue:  2. 83 B 13. 99 B 50. 87 B
total debt:  4. 28 B 14. 69 B 13. 39 B
debt/equity:  161. 88   141. 41   83. 78  
net income (common):  1. 33 B 651. 32 M 3. 26 B

shares outstanding:  228. 40 M 1. 35 B 25. 56 B
shares:  227. 81 M 832. 56 M 1. 11 B
shares short:  4. 05 M 25. 36 M 13. 56 M
shares short prior month:  4. 99 M 25. 81 M 13. 75 M
short ratio:  3. 12   6. 30   5. 28  
short % of float:  1. 78 % 2. 84 % 1. 54 %
total cash/share:  0. 96   0. 32   1. 69  
total cash:  218. 60 M 149. 72 M 2. 84 B
free cash flow:  254. 18 M -193. 80 M 1. 93 B
operating cash flow:  1. 35 B 2. 32 B 6. 51 B

book value:  11. 58   22. 23   32. 31  
price/book:  5. 30   2. 70   2. 36  
gross profits:  1. 47 B 5. 72 B 6. 50 T
operating margins:  37. 05 % 13. 55 % 8. 34 %
EBITDA margins:  44. 69 % 35. 61 % 32. 89 %
profit margins:  47. 19 % 13. 74 % 11. 37 %
gross margins:  52. 11 % 46. 27 % 39. 33 %

1-yr max volatility:  4. 47 % --- ---
1-yr mean volatility:  0. 04 % 0. 06 % 0. 07 %

1-yr EPS:  5. 84   2. 65   3. 24  
forward EPS:  4. 49   3. 14   3. 56  
P/E:  10. 51   -7. 97   13. 36  
forward P/E:  13. 35   15. 09   13. 96  
PE/G:  0. 36   21. 08   4. 21  
growth:  29. 45 % 22. 29 % 45. 58 %
earnings high:  1. 13   0. 74   0. 61  
earnings avg:  0. 99   0. 63   0. 48  
earnings low:  0. 88   0. 54   0. 35  
revenue high:  767. 18 M 4. 75 B 22. 41 B
revenue avg:  691. 20 M 4. 14 B 21. 06 B
revenue low:  612. 00 M 3. 65 B 19. 97 B
earnings growth:  32. 20 % 49. 74 % 137. 70 %
1-qtr earnings growth:  32. 00 % 60. 93 % 141. 33 %
return on assets:  8. 64 % 4. 22 % 7. 39 %
return on equity:  55. 89 % 13. 79 % 19. 77 %
revenue growth:  28. 60 % 8. 70 % 13. 16 %
revenue/share:  12. 38   20. 22   27. 33  

beta (1yr vs S&P500):  0. 71   0. 63   0. 91  
sharpe (1yr):  0. 48   0. 85   0. 77  

held % insiders:  0. 18 % 5. 86 % 4. 05 %
held % institutions:  68. 66 % 62. 34 % 38. 11 %

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the data below are updated and published after 9pm EDT each trading day

2019-03-19 : MMP
.   + 13.673 =        13.673 :: INITIAL WEIGHT
.   + 21.171 =        34.844 :: inverse volume-to-price addition
.   + 29.153 =        63.997 :: spline projection addition
.  + 108.744 =       172.741 :: add/subtract for performance
.    x 7.154 =      1235.875 :: 13 weeks' performance factor
.    x 1.091 =       1348.86 :: one-year gains+dividend factor
.    x 1.581 =      2131.967 :: industry recommendation factor
.    x 1.152 =      2456.345 :: symbol recommendation factor
.    x 1.153 =      2832.883 :: EV/R factor
.    x 2.746 =      7779.698 :: earnings growth factor
.     x 1.49 =     11595.502 :: return on assets factor
.    x 1.746 =     20240.482 :: return on equity factor
.    x 2.697 =     54598.101 :: revenue growth factor
.    x 2.719 =    148472.922 :: current ratio factor
.    x 1.567 =    232587.313 :: quick ratio factor
.    x 1.149 =    267274.381 :: short ratio factor
.    x 2.077 =    555227.553 :: price-to-book factor
.    x 1.362 =    756259.027 :: debt-to-equity factor
.    x 1.205 =    911532.553 :: EBITDA multiple vs industry factor
.    x 1.152 =   1049643.546 :: EBITDA multiple factor
.    x 2.424 =   2543917.387 :: P/E weight
.    x 1.294 =   3291727.672 :: PE/G factor
.    x 1.689 =   5560502.101 :: beta factor
.    x 0.478 =   2655648.902 :: sharpe factor
.     x 0.97 =   2577226.477 :: target low factor
.    x 1.112 =   2865955.648 :: target mean factor
.    x 1.052 =   3015258.912 :: target high factor
.    x 1.189 =   3585732.282 :: industry 12-weeks return
.    x 0.995 =   3568659.895 :: "drift" penalty 4 days ago
.      x 1.0 =   3568561.045 :: overall "drift" factor
.    x 0.955 =    3409161.88 :: largest single-day jump factor
.     x 1.01 =   3443240.495 :: mean volatility factor
.    x 1.099 =   3783954.928 :: 42-day mean volatility factor
.    x 1.003 =   3794485.969 :: factor hist industry gain for week 11
.   cubeRoot =       155.974 :: reduced to standardize
.                    155.974 :: FINAL WEIGHT for NYSE:MMP


 


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