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MAGN Earnings

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Intellectia

Quarterly Results

MAGN logo
MAGN
2026-02-05
pre market
Pre-Market
Revenue
$792.00M
+2.35%
EPS
-$0.95
-1050.00%
AI Prediction
-
AI Summary
MAGN logo
MAGN
2025-11-20
pre market
Pre-Market
Revenue
$839.00M
+0.11%
EPS
-$0.08
-164.38%
AI Prediction
-
AI Summary
Calendar SlideSlide
Calendar WebcastAttend Webcast

MAGN Earnings Forecast

Looking ahead, MAGN remains a focal point for investors seeking growth opportunities. Analyst forecasts for project quarter revenue of and an EPS of .
However, recent estimate revisions provide additional context. Over the past three months, revenue estimates for FY2026 have been unchanged by 0%, while EPS estimates have been unchanged by 0%. For the upcoming Q1 2026, revenue estimates have been adjusted unchanged by 0%. These revisions correlate with a -35.6% change in stock price over the same period, suggesting potential buying opportunities for investors who believe in MAGN long-term fundamentals.
The relationship between earnings forecast revisions and stock price movements is critical for investors. Positive revisions in revenue or EPS often signal strengthening fundamentals, making temporary price dips attractive entry points. Conversely, downward revisions may reflect short-term challenges.
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Earnings Surprise Analysis

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EPS
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AI Analysis
Earnings Reaction
The chart below shows how MAGN performed 10 days before and after its earnings report, based on data from the past quarters. Typically, MAGN sees a -10.28% change in stock price 10 days leading up to the earnings, and a 15.39% change 10 days following the report. On the earnings day itself, the stock moves by 16.62%. This data can give you a slight idea of what to expect for the next quarter's release.
For example, in DEC/2025, the stock changed -0.67% on the day following the earnings release and then changed by -8.02% over the next 10 days. These patterns provide investors with valuable insights into potential price movements and help inform trading strategies around earnings events.

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Frequently Asked Questions

What were the key highlights of MAGN's latest earnings report for ?

MAGN reported its earnings on 2026-02-05, showcasing a revenue of 792.00M against an estimate of 773.81M, resulting in a 2.35% surprise. The EPS was -0.95, surpassing the expected 0.1 by -1050%. The stock experienced a 5.35% price change on the earnings day and a 2.82% change over the next five days, reflecting market reactions to the results.

How did MAGN's stock price react after the earnings release?

Following MAGN's earnings announcement on 2026-02-05, the stock price moved by 5.35% on the day of the release. Over the subsequent five days, it saw a 2.82% change. Historically, MAGN's stock price tends to shift by an average of -10.28% in the 10 days leading up to earnings and 15.39% in the 10 days following, providing insight into potential market.

What are the revenue and EPS estimates for MAGN for ?

For , analysts estimate MAGN's annual revenue to reach , while the EPS is projected at . These estimates reflect recent revisions, with revenue estimates unchanged by 0% and EPS estimates unchanged by 0% over the past three months, indicating analyst expectation in the company's performance.

How does MAGN's stock price correlate with earnings forecast revisions?

The correlation between MAGN's stock price and earnings forecast revisions shows that positive revisions in revenue or EPS often strengthen the stock's fundamentals. Over the past three months, revenue estimates for FY2026 were unchanged by 0%, while EPS estimates moved unchanged by 0%. This trend suggests that price dips could present buying opportunities for investors.

What should investors expect from MAGN's next earnings report?

Based on historical trends, MAGN's stock price typically moves by -10.28% in the 10 days before its earnings and 15.39% in the 10 days after. For the upcoming earnings, analysts expect an EPS of and revenue of .

What is the sentiment in Magnera Corp (MAGN) Q1 2026 Earnings Call Summary?

The earnings call indicates positive sentiment with a focus on EBITDA growth, synergy realization, and operational efficiency. Product development highlights innovation and premium applications, particularly in South America. Despite some concerns in Europe, demand signals in North America are positive. The company targets significant debt reduction and free cash flow, with strong margins in innovative products. The Q&A section reinforces positive sentiment with stable competitive behavior and growth in adult incontinence. Overall, the outlook and strategic initiatives suggest a positive impact on stock price.