Sequoia Financial Group Share Price and Company Fundamentals
Last traded: Today at 4:59 AM
Sequoia Financial Group Limited, an integrated financial services company, provides financial products and services to retail and wholesale clients, and third-party professional service firms in Australia. It operates through two segments, Licensee and Adviser services; and Legal and Administration services. The Licensee and Adviser services segment provides licensee services to financial planners and advisors; financial planning personal and general advice to wholesale and retail investors; and equity capital markets support, M&A advice, corporate access and investor relations services to listed and private companies. The Legal and Administration services segment acts as a service provider to accountancy firms, dealer groups, financial planning, law firms and direct trustees. It also offers SMSF services, such as bare trust, mailbox service, bookkeeping, financials preparation, auditing services, and SMSF taxation lodgement; stockbroking services; and life, total and permanent disablement, trauma/critical illness/recovery, partnership, and key person insurance products, as well as income protection services. In addition, the company provides investment products; and home and investment loans and refinancing. The company was formerly known as MDS Financial Group Limited and changed its name to Sequoia Financial Group Limited in December 2015. The company is based in Melbourne, Australia.
Key Metrics
PE ratio
13.00
PB ratio
0.66
Dividend yield
14.29%
Beta
0.43
Market cap
$31.88M
Enterprise value
$22.77M
Company profile
| Industry / Sector | Financial Conglomerates / Financial Services |
|---|---|
| Website | https://www.sequoia.com.au |
| Mailing address | 555 Collins Street Suite 1, Level 20 Melbourne VIC 3000 Australia |
| Phone / Fax | 61 2 8114 2288 / |
Dividends
More: Sequoia Financial Group Dividend history, yield and payout ratio
Dividend yield
14.29%
Dividend amount
$0.04
Payout ratio
173.75%
5Y Avg. yield
-%
Sequoia Financial Group paid $0.04 dividend and the ex-dividend date was 03 Sep 2025.The dividend payout ratio is 173.75%. The dividend payout ratio is defined as the amout of dividend paid divided by the earnings of the company.SEQ dividend payout ratio is more than 90% making it difficult for the company to maintain the dividends and increase it year by year.
Company Executives
As of Feb 2026, following are the company executives and directors listed on Sequoia Financial Group.
| Name | Title | Age | Total Pay |
|---|---|---|---|
| Mr. Garry Peter Crole | MD, CEO & Executive Director | 62 | |
| Ms. Lizzie Tan | CFO, COO & Joint Company Secretary | ||
| Mr. Stephen Harvey | Head of Legal & Administration Services | ||
| Mr. Daryl Stout | Head of Licensee & Adviser Services | ||
| Mr. Craig Bradley Foley | Chief Information Officer | ||
| Mr. Justin Harding | Head of Legal & Risk | ||
| Ms. Annelise Waterfall McCauley CFP | Executive VP & Chief Client Experience Officer | ||
| Mr. Kevin Nicholas Tichnell CFP | Chief Strategy & Acquisitions Officer | ||
| Mr. Norborne Gee Smith M.B.A. | Executive VP & Head of Sequoia Family Office | ||
| Steve Kallona | Head of Interprac Compliance Operations |
Profitability and management effectiveness
Profit margin
2.71%
Operating margin
8.49%
Return on assets
4.23%
Return on equity
6.14%
Profitability ratios are a class of financial metrics that are used to assess a business's ability to generate earnings relative to its revenue, operating costs, balance sheet assets, and shareholders' equity over time, using data from a specific point in time.
The return on equity signifies how well the management is running the company in terms of capital management. The ideal return on equity is greater than 10%. The return on equity is calculated as net income divided by total share holders equity.
Valuation and Trading Info
The market capitalization of Sequoia Financial Group is 31.88M and its enterprise value is 22.77M. The enterprise value to revenue ratio of SEQ is 0.19. The enterprise value to EBITDA ratio of SEQ is -.
The SEQ's stocks Beta value is 0.43 making it 57% less volatile compared to ASX market index. Technology stocks and small caps tend to have higher betas than the market benchmark. This indicates that adding the stock to a portfolio will increase the portfolio’s risk, but also increase its expected return. On the other hand utility stocks often have low betas because they tend to move more slowly than market averages.
Companies similar to Sequoia Financial Group (SEQ)
- AMP (AMP)
- ASX (ASX)
- Credit Corp Group (CCP)
- Challenger (CGF)
- Hub24 (HUB)
- Insignia Financial (IFL)
- Janus Henderson Group Plc (JHG)
- Magellan Financial Group (MFG)
- Macquarie Group (MQG)
- Netwealth Group (NWL)
- Pendal Group (PDL)
- Pinnacle Investment Management Group (PNI)
- Perpetual (PPT)
- Platinum Asset Management (PTM)
Sequoia Financial Group (ASX:SEQ) Frequently Asked Questions
1. What is Sequoia Financial Group's Stock Symbol?
Sequoia Financial Group trades on ASX under the ticker symbol "SEQ".
2. What is Sequoia Financial Group's stock price today?
One share of SEQ stock can currently be purchased for approximately $0.26.
3. How can I contact Sequoia Financial Group?
Sequoia Financial Group's mailing address is 555 Collins Street Suite 1, Level 20 Melbourne VIC 3000 Australia. The company can be reached via phone at 61 2 8114 2288.
4. What is Sequoia Financial Group's official website?
The official website of Sequoia Financial Group is https://www.sequoia.com.au.