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Morgan Group Holding

MGHL
65
Financial - Capital Markets · Financial Services
Price
$2.20
+0.00 (+0.00%)
Market Cap
$1.3M
Winston Score
65
Winston is curious
A decent business — some strong pillars, some weaker.
Data as of Aug 23, 2026 · filings through Mar 31, 2026
How the score breaks down
Quality
Good
Growth
Exceptional
Cash Flow
Mixed
Stability
Exceptional
Valuation
Good

Winston Score History

The full picture

Morgan Group Holding Co. is a small financial services company that operates in the capital markets industry. It provides financial and investment-related services, likely including brokerage, advisory, or related intermediary functions. The company serves clients who need help navigating financial transactions or managing capital.

The company generates revenue through fees and commissions tied to its financial services activities. Its thin operating margin of roughly 2.7% and low return on invested capital suggest a business with limited pricing power and high competition. With a market cap that rounds to essentially zero, Morgan Group is a micro-cap or shell-like entity, which means it carries significant risks around liquidity, transparency, and long-term viability — the biggest challenge for investors is the lack of widely available public information about its current operations and strategic direction.

Growth Profile

When traditional metrics don't capture the full picture, these are the signals growth stock investors use instead.

Revenue Growth

+69.0% YoY

YoY Growth Rate

Revenue accelerating

EPS Growth

+181.0% YoY

YoY Growth Rate

Strong earnings growth

R&D Spend

$0/ year

0.0% of revenue

Below sector average (7%)

Research and development spending

Insider Activity

68.0%ownership

Flat

Insider ownership roughly steady over the past year

Cash Position

Cash flow positive

$2M cash & investments

Quarterly Free Cash Flow

Company generates more cash than it spends — no dilution risk from fundraising

Revenue accelerating

Morgan Group Holding grew revenue 69% year-over-year and the growth rate is speeding up. That's the kind of momentum growth investors look for — the question is whether margins can follow.

The Winston Score above measures business quality today. Growth stocks often score lower because they invest in the future rather than maximising current profits. These metrics show what matters most for evaluating that future.

Share count broadly stable

0.0% over 4y

The share count has stayed roughly flat over this period — little dilution or buyback activity.

Diluted shares outstanding: 600K (2021) → 600K (2025)

Score breakdown

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Quality

Profit per sale
Gross Margin
35.9%
Modest — 35.9% gross margin
Profit after running costs
Operating Margin
14.2%
Healthy — 14.2% operating margin
Return on the money invested
ROCE
13.7%
Good — 13.7% return on capital

ROIC between 5% and 15%. They earn 5 to 15 cents back per year on every dollar invested.

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Growth

Sales growth
Sales YoY
+18.0%
Fast-growing sales (+18.0% YoY)
Profit growth
EPS YoY
+15.0%
Earnings growing fast (+15.0% YoY)

Healthy double-digit earnings growth — what compounders look like.

How steady the profit is
EPS Consistency
7/8 quarters
Every recent quarter grew earnings vs last year

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Cash Flow

Profit that turns into cash
Cash Conversion
69%
Modest — 69% of profit becomes cash
Spare cash per sale
FCF Margin
5.3%
Thin free cash flow (5.3%)

FCF margin between 0% and 10%. Some cash from sales, but not a lot.

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Stability

What it owes vs what it owns
Debt / Equity
0.15
Conservative — low debt load (0.15)
Covers its interest
Interest Cover
100.00x
Comfortably covers interest (100.0x)

Interest coverage above 8. Profits cover interest many times over.

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Valuation

Price vs profit
P/E Ratio (TTM)
6.7x
Attractive valuation — P/E 6.7

P/E under 10. The price tag is small relative to last year's profit.

Cheaper or dearer next year
P/E vs Forward
N/A
not available
Data not available

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Dividends

Not applicable for this business.
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