Page 149 - Profile's Stock Exchange Handbook - 2025 Issue 4
P. 149

Profile’s Stock Exchange Handbook: 2025 - Issue 4                       JSE - MOM
              Momentum Group Ltd.                              Mondi plc

       ISIN: ZAE000269890   SHORT: MOMENTUM   CODE: MTM  ISIN: GB00BMWC6P49   SHORT: MONDIPLC   CODE: MNP
       REG NO: 2000/031756/06   FOUNDED: 2000   LISTED: 2001  REG NO: 6209386   FOUNDED: 2007   LISTED: 2007
       NATURE  OF  BUSINESS:  The  Momentum  Group  is  one  of  South   NATURE OF BUSINESS: Mondi is a global leader in packaging and
        Africa’s largest diversified financial services companies, offering a   paper, contributing to a better world by producing products that
        diverse range of services including protection (life and non-life),   are sustainable by design. We employ 24 000 people in more than
        investment,  long-term  savings  and  healthcare  administration   30  countries  and  operate  an  integrated  business  with  expertise
        through specialised and empowered businesses under the brands   spanning the entire value chain, enabling us to offer our customers
        Momentum,  Metropolitan  and  Guardrisk. The  Group  is  listed  on   a broad range of innovative solutions for consumer and industrial
        the JSE with additional listings on A2X financial markets and the   end-use applications. Sustainability is at the centre of our strategy,
        Namibia Securities Exchange.              with our ambitious commitments to 2030 focused on circular driven
       SECTOR: Fins--Insurance--Life Insurance--Life Insurance  solutions, created by empowered people, taking action on climate.
       NUMBER OF EMPLOYEES: 15 821               SECTOR: Inds--IndsGoods&Services--GeneralIndustr--Cont&Pckgng
       DIRECTORS: de Beer L (ind ne), Dunkley N J (ind ne), Gobalsamy T    NUMBER OF EMPLOYEES: 24 000
        (ind ne), Jurisich Prof S (ind ne), Leautier Dr F (ind ne, Tanzania),   DIRECTORS: Brandtzaeg S R (ind ne), Clark S (snr ind ne), Govil S (ind ne),
        Matlakala P (ind ne), Mbethe D M, Meyer H P (ne), Park D J (ind ne),   Groth A (ind ne), Macozoma S (ind ne), Strank Dame A (ind ne), Yea P
        Rapeti S (ind ne), Sieberhagen J J (ind ne), Soondarjee T D (ind ne),   (Chair, ind ne), King A (CEO), Young S (Sen Deputy Gvnr, ind ne, British),
        Baloyi P C (Chair, ind ne), Cooper P (Acting Chair, ind ne), Ketola R   Powell M (CFO)
        (Group CFO), Marais (Cilliers) J (Group CEO)  MAJOR ORDINARY SHAREHOLDERS as at 23 Oct 2025
       MAJOR ORDINARY SHAREHOLDERS as at 30 Jun 2025   Public Investment Corporation (SOC) Ltd.   9.94%
        Government Employees Pension Fund   15.20%   Coronation Fund Managers        9.00%
        Kagiso Tiso Holdings (Pty) Ltd.    6.30%  Allan Gray (Pty) Ltd.              8.05%
       POSTAL ADDRESS: PO Box 7400, Centurion, 0046  POSTAL ADDRESS: Ground Floor, Building 5, The Heights,
       MORE INFO: www.sharedata.co.za/sdo/jse/MTM  Brooklands, Weybridge, Surrey, United Kingdom, KT13 0NY
       COMPANY SECRETARY: Gcobisa Tyusha         MORE INFO: www.sharedata.co.za/sdo/jse/MNP
       TRANSFER SECRETARY: Link Market Services South Africa (Pty) Ltd.  COMPANY SECRETARY: Jenny Hampshire
       SPONSOR: Merrill Lynch SA (Pty) Ltd. t/a BofA Securities  TRANSFER SECRETARY: JSE Investor Services (Pty) Ltd.
       AUDITORS: Ernst & Young Inc.              SPONSOR: Merrill Lynch SA (Pty) Ltd.
       CAPITAL STRUCTURE      Authorised  Issued  AUDITORS: PwC LLP
       MTM     Ords 0.0001c ea    2 000 000 000    1 343 027 343  CAPITAL STRUCTURE  Authorised  Issued
       DISTRIBUTIONS [ZARc]                      MNP     Ords EUR 20c ea    3 177 608 605     441 412 530
       Ords 0.0001c ea   Ldt      Pay       Amt  DISTRIBUTIONS [EURc]
       Final No 45     7 Oct 25  13 Oct 25  90.00  Ords EUR 20c ea  Ldt      Pay      Amt
       Interim No 44   8 Apr 25  14 Apr 25  85.00  Interim No 37  19 Aug 25  26 Sep 25  23.33
       LIQUIDITY: Oct25 Avg 16m shares p.w., R499.9m(60.1% p.a.)  Final No 36  1 Apr 25  16 May 25  46.67
                                                 LIQUIDITY: Oct25 Avg 5m shares p.w., R1 195.5m(53.7% p.a.)
         MOMENTUM  40 Week MA  LIFE
                                           4000
                                                   MONDIPLC  40 Week MA  GENI
                                                                                     55000
                                           3500
                                                                                     50000
                                           3000
                                                                                     45000
                                           2500                                      40000
                                                                                     35000
                                           2000
                                                                                     30000
                                           1500
                                                                                     25000
                                           1000                                      20000
        2021   2022   2023   2024   2025
                                                                                     15000
                                                  2021   2022   2023   2024   2025
       NOTE: Momentum Metropolitan Holdings Ltd. renamed to
        Momentum Group Ltd. on 17 July 2024.     NOTE: Mondi plc underwent an 11:10 share consolidation on
       FINANCIAL STATISTICS                       24 January 2024, historical figures have been adjusted.
                   Jun 25   Jun 24   Jun 23   Jun 22   Jun 21   FINANCIAL STATISTICS
       (R million)
                    Final Final(rst) Final(rst) Final(rst) Final(rst)  (EUR million)  Jun 25   Dec 24  Dec 23   Dec 22   Dec 21
       Total Premiums  61 024  58 484  56 132  59 520  37 036  Interim  Final  Final  Final Final(rst)
       Inc Fm Inv  37 876  35 279  30 853  25 513  22 040  Turnover  3 909  7 416  7 330  8 902  6 974
       Total Income  56 902  51 889  45 314  70 157  108 360  Op Inc  303  456  763  1 685  789
       Total Outgo  44 976  43 234  38 066  60 963  104 008  NetIntPd(Rcvd)  54  67  74  138  81
       Minority Int  137   89    87    97    93
       Attrib Inc   5 978  3 847  3 104  3 711  451  Minority Int  23  44   19   73    17
       TotCompIncLoss  6 363  3 724  3 682  3 779  - 194  Att Inc  170  218  - 153  1 452  756
       Ord SH Int  32 550  29 724  28 580  27 738  21 575  TotCompIncLoss  117  334  186  1 636  807
       Minority Int  404   333   290   276   348  Fixed Ass    5 542  5 160  4 619  4 167  4 870
       Long-Term Liab  562 124  490 219  437 285  383 607  369 246  Tot Curr Ass  2 971  2 779  3 923  3 887  2 921
       Cap Employed  785 677  691 209  621 561  561 589  536 386  Ord SH Int  4 759  4 857  5 655  5 794  4 498
       Fixed Assets  3 727  3 586  3 699  3 656  3 437
       Investments  9 573  9 188  8 825  9 051  8 938  Minority Int  475  493  441  460  391
       Current Assets  781 079  685 906  615 357  552 381  529 860  LT Liab  2 693  2 506  1 987  2 472  2 637
       Current Liab  17 536  15 229  14 414  11 615  18 568  Tot Curr Liab  2 146  1 485  1 881  1 796  1 735
       PER SHARE STATISTICS (cents per share)    PER SHARE STATISTICS (cents per share)
       HEPS-C (ZARc)  446.90  298.60  215.50  297.30  30.90  HEPS-C (ZARc)  748.46  1 205.71 2 901.64  5 003.46  2 987.82
       DPS (ZARc)  275.00  125.00  120.00  100.00  40.00  DPS (ZARc)  482.45  1 360.90 5 047.51  1 441.83  1 214.27
       NAV PS (ZARc)  2 423.68  2 185.59  2 071.01  1 947.89  1 516.16  NAV PS (ZARc)  22 504.49 21 375.20 23 582.92 23 990.52 18 515.94
       3 Yr Beta     0.42  0.30  0.73  0.91  0.87  3 Yr Beta   0.87  0.74  0.73  0.52  0.57
       Price Prd End  3 429  2 290  1 806  1 426  1 950  Price High  30 927  40 102  40 609  45 276  47 306
       Price High   3 624  2 454  2 010  2 270  2 098
       Price Low    2 231  1 760  1 386  1 405  1 282  Price Low  24 334  26 001  30 407  27 568  37 663
       RATIOS                                    Price Prd End  29 108  27 750  39 930  32 010  43 467
       Ret on SH Fund  18.56  13.10  11.05  13.59  2.48  RATIOS
       Ret on Tot Ass  1.51  1.25  1.16  1.64  0.82  Ret on SH Fnd  7.37  4.90  - 2.20  24.38  15.81
       Debt:Equity  17.06  16.31  15.15  13.69  16.84  Oper Pft Mgn  7.75  6.15  10.41  18.93  11.31
       Solvency Mgn%  54.00  51.39  51.43  72.03  59.19  D:E   0.64  0.48  0.42  0.41  0.56
       Payouts:Prem   -     -     -   0.78  0.84  Current Ratio  1.38  1.87  2.09  2.16  1.68
                                                 Div Cover     1.61  0.72  - 0.12  3.93  2.47
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