Roiver

Roiver Score for

MGYMagnolia Oil & Gas Corporation Class A Common Stock

Crude Petroleum & Natural Gas

66/ 100Solid

Based on fundamentals through 12/31/2025.

As of December 31, 2025, Magnolia Oil & Gas Corporation Class A Common Stock (MGY) scores 66/100 (Solid) on the Roiver Score — a transparent quality composite. Its strongest area is capital structure; its weakest is stability. The score measures business quality, not timing — it's a signal, not a recommendation.

Profitability
11.9 / 20
Capital structure
20.0 / 20
Cash quality
20.0 / 20
Valuation
7.2 / 20
Stability
6.6 / 20

No black box

Roiver Score is a transparent 0–100 quality composite. Five components, each 0–20: profitability, capital structure, cash quality, valuation, and stability. Inspired by Piotroski's F-Score, Altman's Z-Score, and the Buffett/Munger framework on quality compounders at fair prices. Read the full methodology →

Frequently asked about MGY

What is MGY's Roiver Score?

Magnolia Oil & Gas Corporation Class A Common Stock scores 66 out of 100 (Solid) as of December 31, 2025, based on fundamentals.

How is the Roiver Score for MGY calculated?

It sums five 0–20 components — profitability, capital structure, cash quality, valuation, and stability — into a transparent 0–100 composite. The full methodology is published.

Is MGY a good quality stock?

On quality, MGY rates "Solid" (66/100). Its strongest driver is capital structure and its weakest is stability. Quality is one input to a decision, not a buy/sell call.

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Educational use only. Roiver Score is a quality signal, not a recommendation.

MGY — Roiver Score™ 66 (Solid)