WMG
Research Snapshot
Static fundamentals, valuation context, and investor signals for Warner Music Group Corp. (WMG).
COMMUNICATION SERVICES
ENTERTAINMENT
DCF ready
Valuation
N/A
EV/FCF, N/A FCF yield
Quality
7.3%
ROIC, 8.0% FCF margin
Growth
8.5%
5Y sales (revenue) CAGR
Balance sheet
6.7x
Debt/equity, 0.7x current ratio
Superinvestors
1
Top: Bill Nygren (0.1%)
Strengths to research
- Revenue compounded at 8.5% over five years.
- Return on equity is strong at 56.4%.
- 10 annual periods are available for trend analysis.
Watchouts
- Debt/equity is high at 6.7x.
- Current ratio is below 1 at 0.7x.
- Valuation multiples are limited or unavailable.
Annual data: 10 periods
Quarterly data: 24 periods
Stock snapshot: May 25, 2026
Static dataset: May 25, 2026
Quality Scorecard
Build-time composite score for WMG.
Grade C
56
/ 100
Financial Charts
No financial data available for WMG (annual).
1 superinvestors own WMG
Current quarter ownership and quarter-over-quarter share changes.
Superinvestor ownership
| Fund | Shares | Value | % Portfolio | QoQ Change |
|---|---|---|---|---|
| Bill Nygren Oakmark Select Fund | 1,610,925 | $41M | 0.05% | 0.0% |