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GMG

Goodman Group

Equity Real Estate Investment Trusts (REITs)

Goodman Group is a global leader in industrial property development and management, focusing on logistics and business space. The company operates across key markets in Asia Pacific, Europe, and the Americas, providing tailored property solutions to meet the needs of its clients. Goodman Group's integrated business model combines property development, management, and investment to deliver sustainable growth.

Short position

short percentage1.46%
reported shorts30M
shares on issue2.055B

Goodman Group (ASX:GMG) has 1.46% of its shares on issue reported as short positions as of 5 Oct 2026, or about 29,957,354 shares. Over the past 30 days that figure has fallen 0.50 percentage points, and over 90 days it has fallen 0.07 percentage points. Its highest recorded short interest was 2.47% in March 2024. GMG is classified in the Equity Real Estate Investment Trusts (REITs) industry. All figures come from official ASIC short position reports, published with a four trading-day (T+4) delay.

Price & short interest

Toggle series, zoom, and compare · ASIC daily, T+4

Goodman Group (GMG) financials

Results, ratios and statements

Latest result

Year to 30 Jun 2026 (FY26) vs FY25, figures in AUD, the reporting currency

Revenue
$2.55Bvs $2.07B (FY25)
Yahoo Finance, as at 29 Sep 2026
NPAT
$2.78Bvs $1.67B (FY25)
Yahoo Finance, as at 29 Sep 2026
EPS (diluted)
$1.33vs $0.85 (FY25)
Yahoo Finance, as at 29 Sep 2026
Rev YoY
+23.5%FY
EPS YoY
+55.6%TTM

Summary of Goodman Group dispatch of 2026 Annual Report & AGM key dates, 16 Sep 2026

Goodman Group reported a strong FY26 result with operating earnings per security up 10.1%, though no specific revenue or net profit figures were provided. No dividend was mentioned in the document. The company reaffirmed its focus on digital infrastructure and expects continued success in FY27.

Automated summary of the filing; the filing itself is the record.

Key ratios

Year to 30 Jun 2026 (FY); balance sheet at 30 Jun 2026; prices to 9 Oct 2026

Gross margin
69.4%
Operating margin
34.0%
Net margin
108.8%
FCF margin
73.6%
ROE
11.5%
ROA
8.6%
FCF conversion
0.68×
Net debt (excl. leases)
$1.95B
Net debt / EBITDA
0.6×
Current ratio
3.6×
Interest cover
>100×
Cash dividends paid / net profit
22.0%
Market cap
$55.54B
P/E
20.4×
P/B
2.2×

Property trust: profit and EBITDA include property revaluations, so margins and returns move with valuations.

Ratios use the reporting currency (AUD); market cap is in AUD. Source: Yahoo Finance, as at 29 Sep 2026.

Financial statements

Figures in AUD, the reporting currency; Yahoo Finance unless marked

GMG income, newest period first, figures in AUD
Line itemFY26FY25FY24FY23
Revenue$2.55B$2.07B$1.92B$1.94B
Gross profit$1.77B$1.28B$1.37B$1.30B
Operating income$869.7M$503.9M$464.5M$627.1M
EBITDA$3.01B$2.18B$22.8M$2.02B
EBIT$2.99B$2.16B$5.3M$2.00B
Interest expense$8.0M$319.1M$62.3M$257.7M
Pretax income$2.98B$1.84B−$57.0M$1.74B
Tax$203.1M$177.9M$41.9M$182.2M
NPAT$2.78B$1.67B−$98.9M$1.56B
Net interest income$125.6M−$232.7M−$23.0M−$235.6M
EPS basic$1.36$0.85−$0.052$0.83
EPS diluted$1.33$0.85−$0.052$0.81
Shares2.04B2.03B1.90B1.88B