MFF Capital Investments
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MFF Capital Investments (MFF) investor relations material

MFF Capital Investments H2 2026 earnings summary

Complete event summary combining all related documents: earnings call transcript, report, and slide presentation.
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H2 2026 earnings summary13 Aug, 2026

Executive summary

  • Net assets after tax on unrealised gains grew to $2,523 million as of 30 June 2026, with market capitalization exceeding AUD 3 billion.

  • Achieved net profit after tax of $159.6 million for FY26, with fully franked dividends totaling 21 cents per share, up from 17 cents in FY25.

  • Maintained a long-term record of growing, fully franked dividends, supported by $272 million in franking credits and $1.7 billion in profit reserves.

  • Internalization of research and back-office functions completed, aiming for greater resilience, efficiency, and sustainable long-term growth.

  • Focus remains on disciplined investment in advantaged businesses and prudent capital allocation for long-term compounding of shareholder wealth.

Financial highlights

  • FY26 net profit before tax was $225 million; net profit after tax was $159.6 million.

  • Investment assets reached $2,968.5 million; net assets after deferred tax were $2,523 million as of 30 June 2026.

  • Dividend and distribution income received was $38 million; cash tax paid was $119.5 million.

  • Dividends per share for FY26 totaled 21 cents (100% franked), with a final dividend of 11 cents per share.

  • Net cash position was $119.2 million, representing 4%-5% of investment assets.

Outlook and guidance

  • Well positioned to withstand market volatility and pursue opportunistic investments, with over $120 million in liquidity and prudent debt capacity.

  • Board intends to increase the six-monthly dividend to 12 cents per share for the period ending 31 December 2026, subject to regulatory considerations.

  • Portfolio remains concentrated in resilient, advantaged businesses, supported by a flexible, unconstrained mandate.

  • Long-term incentive plan introduced to align team and shareholder outcomes; expanded research via Montaka.

  • Management remains cautious on market risks, emphasizing patience and risk management amid global uncertainties.

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