Madison Square Garden Entertainment Corp. (NYSE:MSGE) Scales Summer Event Calendar, Signaling Near-Term Revenue Lift

Strong event scheduling and new venue partnerships set the company for heightened summer activity, while current indicators show momentum that requires monitoring. The balance of robust margins and high leverage creates a bifurcated fundamental picture for the immediate term.

Recent News

On June 1, 2026 the company announced its “See It Live Summer” slate, scheduling more than 100 events at its New York venues with Madison Square Garden hosting a record 57 shows. On April 8, 2026 MSG Entertainment and MSG Sports unveiled a multiyear partnership naming Impossible Foods the official plant‑based burger partner, including a dedicated concession at The Garden. On April 6, 2026 the Garden of Dreams Foundation announced a Charitybuzz auction and a star‑studded presenter lineup ahead of the Garden of Laughs comedy benefit at Radio City Music Hall on April 13.

Technical Analysis

ADX/DI+/DI-: ADX at 21.45 signals an emerging trend. DI+ at 22.59 trending lower while DI- at 20.05 trends higher indicates directional pressure shifting toward the downside even as trend strength remains nascent; that combination favors caution for near‑term continuation despite recent gains.

MACD: MACD sits at 2.00 with a signal line at 1.96 and a labeled “peak & reversal” trend, which denotes ebbing bullish momentum; the small positive spread above the signal line contrasts with the reversal label and suggests momentum may have peaked.

MRO: MRO equals 35.01 with a “dip & reversal” label; the positive MRO indicates price currently sits above the modeled target and carries downside potential as momentum normalizes.

RSI: RSI reads 66.73 with a “peak & reversal” trend; the oscillator sits near overbought territory and the peak‑and‑reverse pattern raises the risk of a short pullback from recent highs.

Price & Moving Averages: Last close $76.44 trades above the 20‑day average $73.46, 50‑day average $68.19 and 200‑day average $56.57; 12‑day EMA at $73.83 trends upward. Price currently exceeds the 52‑week high ($75.70), and intraday volume (707,644) exceeds 10‑day and 50/200‑day averages, giving the latest advance factual breadth even as momentum indicators flag caution. Super trend support sits near $70.43; Bollinger upper band area between roughly $75–$77 frames immediate resistance.

 


Fundamental Analysis

Profitability: EBIT equals $163,955,000 and EBIT margin at 35.65% compares above the industry peer mean (22.10%), industry peer median (24.91%) and above the industry peer high (32.69%), indicating strong operating profitability relative to peers. Gross margin stands at 53.76%, with gross profit $247,284,000 supporting operating leverage despite seasonal event cadence.

Earnings & Cash Flow: EPS actual $0.23 versus estimate $0.18 produced an EPS surprise of 27.78%. Free cash flow totals $156,057,000 and free cash flow yield equals 6.14%, which sits above the industry peer mean and supports the stated valuation. Operating cash flow equals $164,386,000 and operating margin sits at 35.86% year over year.

Valuation Multiples: Price/Book at 70.64 sits materially above the industry peer mean (13.60) and median (15.96). Trailing P/E equals 27.32 while the industry peer mean P/E (134.14) places the company’s P/E below the peer mean. Enterprise value relative metrics (EVR 7.79, enterprise multiple ~20.13) align with a profile of strong cash generation but high market pricing on select metrics. The current valuation as determined by WMDST: under‑valued.

Liquidity & Leverage: Cash and short‑term investments equal $157,056,000 while current ratio reads 0.68 compared with an industry peer mean of 1.35, indicating tighter near‑term liquidity. Total debt measures $1,195,494,000 with debt to assets at 65.57% and debt to equity roughly 33.20x, reflecting significant leverage on a small equity base ($36,013,000). Interest coverage at 15.73x remains adequate, reducing immediate solvency pressure but keeping balance sheet risk elevated.

Returns & Growth: Return on equity reads 257.45%, well above the industry peer mean (~9.15%), driven by a small equity denominator and positive net income of $92,715,000. YoY revenue growth registers 1.91% while revenue growth QoQ surged 70.23% (seasonal/event timing); earnings growth displays mixed signals across horizons (YoY and QoQ figures differ), so short‑term operating cadence drives the headline growth metrics.

Valuation Summary: Strong margins, solid free cash flow yield and an EPS beat underpin the WMDST valuation of under‑valued, but marked leverage and compressed current liquidity require monitoring; valuation reflects operating strength offset by balance‑sheet concentration.

MOST-RECENT QUARTERLY REPORT
REPORT PERIOD ENDING: 2025-12-31
REPORT DATE: 2026-05-07
NEXT REPORT DATE: 2026-08-06
CASH FLOW  Begin Period Cash Flow 30.5 M
 Operating Cash Flow 164.4 M
 Capital Expenditures -8.33 M
 Change In Working Capital 16.6 M
 Dividends Paid
 Cash Flow Delta 127.1 M
 End Period Cash Flow 157.6 M
 
INCOME STATEMENT REVENUE
 Total Revenue 459.9 M
 Forward Revenue 37.1 M
COSTS
 Cost Of Revenue 212.7 M
 Depreciation 14.0 M
 Depreciation and Amortization 14.0 M
 Research and Development
 Total Operating Expenses 295.0 M
PROFITABILITY
 Gross Profit 247.3 M
 EBITDA 177.9 M
 EBIT 164.0 M
 Operating Income 164.9 M
 Interest Income 813.0 K
 Interest Expense 10.4 M
 Net Interest Income -9.61 M
 Income Before Tax 153.5 M
 Tax Provision 60.8 M
 Tax Rate 40.0 %
 Net Income 92.7 M
 Net Income From Continuing Operations 92.7 M
EARNINGS
 EPS Estimate 0.18
 EPS Actual 0.23
 EPS Difference 0.05
 EPS Surprise 27.778 %
 Forward EPS 0.63
 
BALANCE SHEET ASSETS
 Total Assets 1.8 B
 Intangible Assets 132.8 M
 Net Tangible Assets -96.83 M
 Total Current Assets 420.1 M
 Cash and Short-Term Investments 157.1 M
 Cash 157.1 M
 Net Receivables 120.9 M
 Inventory 3.8 M
 Long-Term Investments 2.8 M
LIABILITIES
 Accounts Payable 27.6 M
 Short-Term Debt 30.5 M
 Total Current Liabilities 618.5 M
 Net Debt 428.0 M
 Total Debt 1.2 B
 Total Liabilities 1.8 B
EQUITY
 Total Equity 36.0 M
 Retained Earnings 224.1 M
VALUATION & PER-SHARE METRICS EQUITY & PER-SHARE METRICS
 Book Value Per-Share 0.76
 Shares Outstanding 47.274 M
 Revenue Per-Share 9.73
VALUATION
 Market Capitalization 2.5 B
 Enterprise Value 3.6 B
 Enterprise Multiple 20.132
Enterprise Multiple QoQ -109.586 %
Enterprise Multiple YoY 79.181 %
Enterprise Multiple IPRWA high: 127.537
mean: 61.176
median: 54.791
MSGE: 20.132
low: -21.888
 EV/R 7.789
CAPITAL STRUCTURE
 Asset To Equity 50.631
 Asset To Liability 1.02
 Debt To Capital 0.971
 Debt To Assets 0.656
Debt To Assets QoQ -9.369 %
Debt To Assets YoY 4171.336 %
Debt To Assets IPRWA high: 1.015
MSGE: 0.656
median: 0.26
mean: 0.237
low: 0.001
 Debt To Equity 33.196
Debt To Equity QoQ -279.739 %
Debt To Equity YoY 1306.564 %
Debt To Equity IPRWA MSGE: 33.196
high: 8.956
mean: 0.63
median: 0.543
low: -4.294
PRICE-BASED VALUATION
 Price To Book (P/B) 70.638
Price To Book QoQ -328.787 %
Price To Book YoY -58.168 %
Price To Book IPRWA MSGE: 70.638
high: 21.787
median: 15.962
mean: 13.6
low: -1.972
 Price To Earnings (P/E) 27.316
Price To Earnings QoQ -118.416 %
Price To Earnings YoY 16.856 %
Price To Earnings IPRWA high: 190.063
median: 179.68
mean: 134.137
MSGE: 27.316
low: -523.853
 PE/G Ratio -0.035
 Price To Sales (P/S) 5.531
Price To Sales QoQ -56.912 %
Price To Sales YoY 29.205 %
Price To Sales IPRWA high: 35.254
median: 35.254
mean: 27.402
MSGE: 5.531
low: 0.156
FORWARD MULTIPLES
Forward P/E 75.712
Forward PE/G -0.097
Forward P/S 67.401
EFFICIENCY OPERATIONAL
 Operating Leverage -3.451
ASSET & SALES
 Asset Turnover Ratio 0.263
Asset Turnover Ratio QoQ 177.892 %
Asset Turnover Ratio YoY 3.082 %
Asset Turnover Ratio IPRWA high: 0.671
MSGE: 0.263
mean: 0.222
median: 0.218
low: 0.049
 Receivables Turnover 4.553
Receivables Turnover Ratio QoQ 112.82 %
Receivables Turnover Ratio YoY 5.57 %
Receivables Turnover Ratio IPRWA high: 15.907
median: 6.478
mean: 5.93
MSGE: 4.553
low: 1.249
 Inventory Turnover 50.723
Inventory Turnover Ratio QoQ 107.188 %
Inventory Turnover Ratio YoY -8.398 %
Inventory Turnover Ratio IPRWA MSGE: 50.723
high: 18.406
mean: 10.458
median: 8.5
low: 1.575
 Days Sales Outstanding (DSO) 20.043
CASH CYCLE
 Cash Conversion Cycle Days (CCC) 5.129
Cash Conversion Cycle Days QoQ -85.175 %
Cash Conversion Cycle Days YoY 156.091 %
Cash Conversion Cycle Days IPRWA high: 52.471
MSGE: 5.129
median: -14.214
mean: -15.506
low: -82.149
CAPITAL DEPLOYMENT
 Cash Conversion Ratio -2.319
 CapEx To Revenue -0.018
 CapEx To Depreciation -0.596
 
CAPITAL, LIQUIDITY & COVERAGE CAPITAL STRUCTURE
 Total Capital 590.6 M
 Net Invested Capital 621.1 M
 Invested Capital 621.1 M
 Net Tangible Assets -96.83 M
 Net Working Capital -198.34 M
LIQUIDITY
 Cash Ratio 0.254
 Current Ratio 0.679
Current Ratio QoQ 40.804 %
Current Ratio YoY 26.299 %
Current Ratio IPRWA high: 3.462
mean: 1.345
median: 1.186
MSGE: 0.679
low: 0.322
 Quick Ratio 0.673
Quick Ratio QoQ 42.018 %
Quick Ratio YoY 26.586 %
Quick Ratio IPRWA high: 2.656
mean: 1.596
median: 1.23
MSGE: 0.673
low: 0.299
COVERAGE & LEVERAGE
 Debt To EBITDA 6.719
 Cost Of Debt 0.519 %
 Interest Coverage Ratio 15.73
Interest Coverage Ratio QoQ -690.22 %
Interest Coverage Ratio YoY 47.327 %
Interest Coverage Ratio IPRWA high: 53.302
MSGE: 15.73
mean: 14.547
median: 12.808
low: -11.957
 Operating Cash Flow Ratio 0.131
TIMING / LIQUIDITY
 Days Payables Outstanding (DPO) 18.651
DIVIDENDS
 Dividend Coverage Ratio
 Dividend Payout Ratio
 Dividend Rate
 Dividend Yield
PERFORMANCE GROWTH
 Asset Growth Rate 8.546 %
 Revenue Growth 190.619 %
Revenue Growth QoQ 7023.281 %
Revenue Growth YoY -1.596 %
Revenue Growth IPRWA MSGE: 190.619 %
high: 15.22 %
median: 4.695 %
mean: 4.441 %
low: -7.315 %
 Earnings Growth -779.31 %
Earnings Growth QoQ 1486.446 %
Earnings Growth YoY 59.043 %
Earnings Growth IPRWA high: 231.25 %
median: -5.085 %
mean: -12.235 %
low: -300.0 %
MSGE: -779.31 %
MARGINS
 Gross Margin 53.764 %
Gross Margin QoQ 52.237 %
Gross Margin YoY 4.137 %
Gross Margin IPRWA high: 87.583 %
MSGE: 53.764 %
median: 45.874 %
mean: 42.213 %
low: 2.607 %
 EBIT Margin 35.647 %
EBIT Margin QoQ -291.95 %
EBIT Margin YoY 4.995 %
EBIT Margin IPRWA MSGE: 35.647 %
high: 32.693 %
median: 24.912 %
mean: 22.099 %
low: -15.289 %
 Return On Sales (ROS) 35.861 %
Return On Sales QoQ -484.321 %
Return On Sales YoY 5.626 %
Return On Sales IPRWA MSGE: 35.861 %
high: 30.945 %
median: 24.535 %
mean: 20.499 %
low: -9.632 %
CASH FLOW
 Free Cash Flow (FCF) 156.1 M
 Free Cash Flow Yield 6.135 %
Free Cash Flow Yield QoQ 799.56 %
Free Cash Flow Yield YoY 3.3 %
Free Cash Flow Yield IPRWA MSGE: 6.135 %
high: 4.96 %
mean: 0.593 %
median: 0.441 %
low: -7.544 %
 Free Cash Growth 1026.359 %
Free Cash Growth QoQ -809.885 %
Free Cash Growth YoY -349.503 %
Free Cash Growth IPRWA MSGE: 1026.359 %
high: 143.75 %
mean: -22.162 %
median: -29.625 %
low: -232.046 %
 Free Cash To Net Income 1.683
 Cash Flow Margin 17.646 %
 Cash Flow To Earnings 0.875
VALUE & RETURNS
 Economic Value Added 0.03
 Return On Assets (ROA) 5.293 %
Return On Assets QoQ -509.358 %
Return On Assets YoY 11.549 %
Return On Assets IPRWA high: 7.905 %
MSGE: 5.293 %
median: 4.376 %
mean: 4.171 %
low: -7.668 %
 Return On Capital Employed (ROCE) 13.607 %
 Return On Equity (ROE) 2.574
Return On Equity QoQ 682.282 %
Return On Equity YoY -64.965 %
Return On Equity IPRWA MSGE: 2.574
high: 0.244
mean: 0.091
median: 0.091
low: -0.47
 DuPont ROE -622.555 %
 Return On Invested Capital (ROIC) 15.84 %
Return On Invested Capital QoQ -472.706 %
Return On Invested Capital YoY -105.778 %
Return On Invested Capital IPRWA MSGE: 15.84 %
high: 8.298 %
median: 6.386 %
mean: 5.655 %
low: -2.08 %

Six-Week Outlook

Near term presents a conditional bullish bias that depends on momentum confirmation. Price sits above key moving averages and recent volume supports continuation toward the price target mean ($84.96), yet MACD and RSI both display peak‑and‑reverse behavior while MRO reads positive, signaling a tangible pullback risk. Support clusters near $70.43 (super trend) and immediate resistance aligns with current Bollinger upper band (~$75–$77). Expect choppy price action with potential for extension if momentum re‑energizes; failure to hold the $70.43 support area would increase downside pressure toward the lower portion of the analyst target range.

About Madison Square Garden Entertainment Corp.

Madison Square Garden Entertainment Corp. (NYSE:MSGE) delivers live entertainment experiences through its extensive network of iconic venues and productions. The company produces and hosts a diverse array of events, including concerts, sporting events, family shows, and performing arts. Key venues under its management include Madison Square Garden, The Theater at Madison Square Garden, Radio City Music Hall, the Beacon Theatre, and The Chicago Theatre. MSGE also owns and produces the renowned Christmas Spectacular Starring the Radio City Rockettes, showcasing its commitment to high-quality entertainment. Additionally, the company engages in entertainment and sports bookings, offering a wide range of concerts, family shows, special events, and sporting events to audiences. Established in 2022 and headquartered in New York, New York, Madison Square Garden Entertainment Corp. continues to play a significant role in the live entertainment industry, leveraging its historical venues and popular productions to attract diverse audiences.



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