AIX 9.01 ▲0.33% ALU 0.88 ▼-2.22% DN1 99.70 ▼-0.09% EMUCA 0.89 KIT 1.90 ▲0.00% KKC 2.11 ▲0.00% LF1 1.92 ▲0.79% MBG 0.14 ▲0.00% MRE 1.88 ▼-0.53% PCI 1.09 ▼-0.91% PCX 1.99 ▼-0.75% RF1 3.52 ▼-0.28% SET 2.14 ▼-0.47% TET 0.22 ▼-2.22% WMX 1.69 ▼-1.17% BST 0.30 ▲3.45% CTS 0.56 ▲1.82% EFR 0.00 ▲0.00% AIX 9.01 ▲0.33% ALU 0.88 ▼-2.22% DN1 99.70 ▼-0.09% EMUCA 0.89 KIT 1.90 ▲0.00% KKC 2.11 ▲0.00% LF1 1.92 ▲0.79% MBG 0.14 ▲0.00% MRE 1.88 ▼-0.53% PCI 1.09 ▼-0.91% PCX 1.99 ▼-0.75% RF1 3.52 ▼-0.28% SET 2.14 ▼-0.47% TET 0.22 ▼-2.22% WMX 1.69 ▼-1.17% BST 0.30 ▲3.45% CTS 0.56 ▲1.82% EFR 0.00 ▲0.00%

MMS McMillan Shakespeare Limited

Industrials · Staffing & Employment Services · website · 1,311 employees
$19.63
52wk 13.53 – 20.14
Overall
Value
Growth
Health
Quality
Momentum
Dividend
Price
About McMillan Shakespeare Limited

McMillan Shakespeare Limited provides salary packaging, novated leasing, disability plan management, support co-ordination, asset management, and related financial products and services in Australia and New Zealand. It operates through Group Remuneration Services, Asset Management Services, and Plan and Support Services segments. The Group Remuneration Services segment offers salary packaging and ancillary services, including novated leasing asset, motor vehicle administration, and other services. The Asset Management Services segment provides financing and ancillary management services related with motor and commercial vehicles, and equipment. The Plan and Support Services segment offers plan management and support coordination services to participants in the national disability insurance scheme. It serves federal and state governments, public and private sectors, and health and charitable organizations. The company was founded in 1988 and is headquartered in Melbourne, Australia.

Fundamental trends
Financial statements
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Key metrics
Market cap
$1.37B
P/E (trailing)
13.63
P/E (forward)
12.51
EPS (trailing)
1.44
Dividend yield
7.1%
Payout ratio
103.0%
Beta
0.69
EV / EBITDA
8.74
Price / Book
12.12
ROE
88.1%
Operating margin
31.6%
Net margin
17.0%
Total cash
$105.27M
Total debt
$819.39M
Current ratio
1.13
Debt / Equity
7.27
Free cash flow
$61.21M
Avg volume
238,802
Latest annual results (FY ending 30 Jun 2025)
  • Revenue$435.62M
  • Gross profit$435.62M
  • Operating income$46.67M
  • Net income$95.34M
  • Diluted EPS
  • Free cash flow-$78.98M
  • Net debt$632.08M
Sector peers (Industrials)
TickerMkt cap P/EScore
TCL $46.68B 99.7
BXB $26.23B 20.5
QAN $15.62B 9.7
AIA $12.49B 36.9
IFT $12.46B 54.2
ALQ $11.08B 34.7
REH $10.06B 37.2
QUB $9.12B 42.6