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MGYMagnolia Oil & Gas CorporationBuy Wait7.2·$26.77-1.64%
Buy WaitHigh Confidence
Investment thesis

Four consecutive earnings beats, high business quality, and an attractive valuation combine with a 2.1-to-1 risk/reward profile to support a credible bull case, constrained by meaningful geographic and customer concentration that limits conviction size.

Thesis pillars

  • Perfect Earnings Beat StreakStable
  • High Quality Attractive ValuationStable
  • Geographic Customer ConcentrationDeteriorating
  • +1 more pillar — see the Why tab for full reasoning

Full reasoning →

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Magnolia Oil & Gas Corporation (MGY) Stock Analysis

Range Bound setup · Temporary headwind edge

Buy WaitValueGrowthQualityHigh Confidence

Energy · Oil & Gas E&P

Wait for pullback to $24.70. Weak momentum — blocks BUY_NOW at $26.77. Engine's entry $24.70 (Ma200 Sticky) is the shallowest technical level that clears the 2:1 A.R:R minimum. Key risks: Concentration risk — Geographic: South Texas; Concentration risk — Customer: two purchasers (61.0%).

Magnolia Oil & Gas Corporation, an independent oil and natural gas company, engages in the acquisition, development, exploration, and production of oil, natural gas, and natural gas liquids reserves in the United States. The company's properties are located primarily in Karnes... Read more

$26.77+10.9% A.UpsideScore 7.2/10#5 of 49 Oil & Gas E&P
QualityF-score9 / 9FCF yield5.04%
IncomeYield2.43%(5y avg 1.84%)Payout27.51%sustainable
Entry $24.70(Ma200 Sticky)Stop $23.21Target $29.59(analyst − 10%)A.R:R 1.9:1
Analyst target$32.88+22.8%17 analysts
$29.59our TP
$26.77price
$32.88mean
$38

Wait for pullback to $24.70. Weak momentum — blocks BUY_NOW at $26.77. Engine's entry $24.70 (Ma200 Sticky) is the shallowest technical level that clears the 2:1 A.R:R minimum. Key risks: Concentration risk — Geographic: South Texas; Concentration risk — Customer: two purchasers (61.0%). Chart setup: RSI 49 mid-range, Bollinger mid-band. Quality-value play. Wait for momentum improvement. Score 7.2/10, high confidence.

Passes 7/8 gates (favorable risk/reward ratio, clean insider activity, no SEC red flags, news events none recent, earnings proximity 61d clear, semi cycle peak clear, materials cycle peak clear). Fails on weak momentum. Suitability: moderate.

10-K grounded · weekly refresh

About Magnolia Oil & Gas Corporation

About Magnolia Oil & Gas Corporation

Magnolia Oil & Gas reported 43.6 MMboe of proved undeveloped reserves as of December 31, 2025 — comprising 15.2 million barrels of oil, 86.8 Bcf of natural gas, and 13.9 million barrels of NGLs — concentrated in the Eagle Ford Shale and Giddings area of South Texas, including the Karnes area. In 2025, two purchasers accounted for an aggregate 61% of total revenue attributable to Magnolia's assets, a narrow buyer base characteristic of regional E&P operators.

Magnolia generates revenue from oil, natural gas, and NGL production using horizontal drilling and completion techniques across the Eagle Ford Shale and Giddings formations. The company conducts many operations through joint operating agreements, and on non-operated acreage does not control timing, costs, or production rates. Capital for drilling is deployed at management's discretion and is sensitive to commodity prices — sustained low prices may cause Magnolia to curtail its drilling program, which could result in proved undeveloped reserves lapsing if leases expire before development. Realized prices depend significantly on the proximity and capacity of gathering, transportation, and processing facilities, most of which Magnolia does not control, with regional price differentials in the Karnes and Giddings areas affecting per-unit economics.

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The concentration of Magnolia's assets in South Texas creates correlated exposure across its entire portfolio. A single regional event — such as the severe winter storms in Texas in February 2021, which reduced the availability of electrical power, road accessibility, and transportation facilities — could simultaneously shut in multiple producing wells. The 10-K notes that the concentrated portfolio means a number of properties could experience the same conditions at the same time, amplifying the impact on results relative to operators with geographically diversified acreage.

See also: Energy · Oil & Gas E&P

From Magnolia Oil & Gas Corporation's most recent 10-K filing, extracted June 11, 2026.

TrendMatrix Research · upcoming catalyst calendar

Upcoming dated catalysts

Wed, Nov 4, 202661d to earnings· next earnings call

Thesis

Rewards
V7 flight-to-quality bonus: +0.5 (Q=8.5 in RISK_OFF)
Sector modifier (Energy): +1.2
Strong earnings beat streak (3/4)
Risks
Concentration risk — Geographic: South Texas
Concentration risk — Customer: two purchasers (61.0%)
Negative momentum

Key Metrics

P/E (TTM)11.9
P/E (Fwd)8.4
Mkt Cap$6.6B
EV/EBITDA6.4
Profit Mgn28.8%
ROE20.9%
Rev Growth50.1%
Beta0.70
Dividend2.43%
Rating analysts23

Quality Signals

Piotroski F9/9MoatWideCompounder

Options Flow

P/C0.36bullish
IV67%elevated

Concentration Risks(10-K Item 1A)

  • HIGHGeographicSouth Texas
    10-K Item 1A: 'Substantially all of Magnolia's producing properties are geographically concentrated in South Texas'
  • HIGHCustomertwo purchasers61%
    10-K Item 1A: 'In 2025, there were two purchasers who accounted for an aggregate 61% of the total revenue attributable to Magnolia's assets'

Model-generated analysis — not investment advice. Not a registered investment advisor. Past performance does not guarantee future results.

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About TrendMatrix. TrendMatrix is a publisher of general securities research and market commentary. We publish on a regular schedule. All content is the same for every subscriber in a tier — we do not provide personalized investment advice and we do not take into account any individual subscriber's financial situation, investment objectives, risk tolerance, tax situation, or holdings.

Not investment advice. TrendMatrix is not a registered investment adviser. Our content is for informational and educational purposes only. Consult your own licensed investment adviser, broker, or tax professional before making any investment decision.

Conflicts and positions. The TrendMatrix editorial team frequently holds personal long-term positions in securities discussed. We disclose positions held at the time of publication on each piece. We maintain a trading-window policy: we do not initiate or close positions in the same direction as a TrendMatrix publication within 24 hours before or 72 hours after publication.

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Performance. Past performance is not indicative of future results. Performance figures reflect the published model only and do not reflect any individual subscriber's actual results.

Methodology · Editorial policy & full disclaimer

Rating Breakdown

1 floor-breaker·1 ceiling hit

Momentum below the gate floor. Component breakdown shows what dragged the score down.static

Volume
0.0
Obv
1.0
Macd
3.7
Rsi
5.5
Ma Position
6.0
Volume distribution (falling OBV)Above 200-day MA
GatesMomentum 3.2<4.5A.R:R 1.9 ≥ 1.5Insider activity: OKNo SEC red flagsNEWS EVENTS NONE RECENTEARNINGS PROXIMITY 61d clearSEMI CYCLE PEAK CLEARMATERIALS CYCLE PEAK CLEARRange BoundSuitability: Moderate
RSI
49 · Neutral
20D MA 50D MA 200D MADEATH CROSSSupport $25.35Resistance $28.38

Price Targets

$23
$25
$30
A.Upside+10.9%
A.R:R1.9:1

Position Sizing

ConvictionHigh conviction
Suggested %1.5%
Max %3%
RegimeRisk-Off

Risk Alerts

! momentum at 3.2 (below the engine's 4.5 threshold)

Earnings

B
B
B
M
3/4 beats
Next Earnings2026-11-04 (61d)

Verdict History

reverse chrono — latest first
Loading history...
Verdicts are recorded on every nightly pipeline run. Rows capture transitions (verdict flips, score deltas ≥0.3, entry/TP/SL changes). Rows with a ▶ can be expanded to see the change reason. Aggregate cohort performance is tracked in the recommendation ledger.
Frequently Asked Questions
Is MGY stock a buy right now?

Wait for pullback to $24.70. Weak momentum — blocks BUY_NOW at $26.77. Engine's entry $24.70 (Ma200 Sticky) is the shallowest technical level that clears the 2:1 A.R:R minimum. Key risks: Concentration risk — Geographic: South Texas; Concentration risk — Customer: two purchasers (61.0%). Chart setup: RSI 49 mid-range, Bollinger mid-band. Quality-value play. Wait for momentum improvement. Target $29.59 (+10.5%), stop $23.21 (−15.3%), A.R:R 1.9:1. Score 7.2/10, high confidence.

What is the MGY stock price target?

Take-profit target: $29.59 (+10.9% upside). Target $29.59 (+10.5%), stop $23.21 (−15.3%), A.R:R 1.9:1. Stop-loss: $23.21.

What are the risks of investing in MGY?

Concentration risk — Geographic: South Texas; Concentration risk — Customer: two purchasers (61.0%); Negative momentum.

Is MGY overvalued or undervalued?

Magnolia Oil & Gas Corporation trades at a P/E of 11.9 (forward 8.4). TrendMatrix value score: 8.3/10. Verdict: Buy (Wait for Entry).

What do analysts say about MGY?

23 analysts cover MGY with a consensus score of 3.8/5. Average price target: $33.

What does Magnolia Oil & Gas Corporation do?Magnolia Oil & Gas Corporation, an independent oil and natural gas company, engages in the acquisition, development,...

Magnolia Oil & Gas Corporation, an independent oil and natural gas company, engages in the acquisition, development, exploration, and production of oil, natural gas, and natural gas liquids reserves in the United States. The company's properties are located primarily in Karnes County and the Giddings area in South Texas comprising the Eagle Ford Shale and the Austin Chalk formation. The company was incorporated in 2017 and is headquartered in Houston, Texas.

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