WallStSmart

Murano Global Investments PLC Ordinary Shares (MRNO) Stock Analysis — PE Ratio, PS Ratio, Intrinsic Value & 2030 Price Target

Murano Global Investments PLC Ordinary Shares stock (MRNO) is currently trading at $0.51. Murano Global Investments PLC Ordinary Shares PS ratio (Price-to-Sales) is 0.04. WallStSmart rates MRNO as Sell.

  • MRNO PE ratio analysis and historical PE chart
  • MRNO PS ratio (Price-to-Sales) history and trend
  • MRNO intrinsic value — DCF, Graham Number, EPV models
  • MRNO stock price prediction 2025 2026 2027 2028 2029 2030
  • MRNO fair value vs current price
  • MRNO insider transactions and insider buying
  • Is MRNO undervalued or overvalued?
  • Murano Global Investments PLC Ordinary Shares financial analysis — revenue, earnings, cash flow
  • MRNO Piotroski F-Score and Altman Z-Score
  • MRNO analyst price target and Smart Rating
MRNO

Murano Global Investments

NASDAQREAL ESTATE
$0.51
$0.00 (-0.64%)
52W$0.49
$12.24

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WallStSmart

Smart Analysis

Murano Global Investments PLC Ordinary Shares (MRNO) · 8 metrics scored

Smart Score

37
out of 100
Grade: F
Hold
Investment Rating

Category Performance

WallStSmart pulls financial metrics like revenue growth, profit margins, and valuation ratios and scores each one from 0 to 10 based on how strong or weak it is. Those 10 scores are grouped into 4 categories: Growth, Profitability, Valuation, and Quality — which form the 4 axes of the spider chart you see. The categories are then combined into a final score out of 100, but not equally. Growth and Profitability together count for 60% of the total, because a fast-growing profitable business matters more than just a cheap one. That final number maps to a rating (Strong Buy, Buy, Hold, Avoid) and a letter grade, giving you one clear Stock Rating.

Investment Thesis

Strong fundamentals in price/sales, price/book, revenue growth. Concerns around market cap and return on equity. Mixed signals suggest waiting for clearer direction before acting.

Murano Global Investments PLC Ordinary Shares (MRNO) Key Strengths (3)

Avg Score: 9.3/10
Price/SalesValuation
0.0410/10

Paying less than $1 for every $1 of annual revenue

Price/BookValuation
0.1510/10

Trading below book value, meaning the market prices it less than net assets

Revenue GrowthGrowth
23.90%8/10

Strong revenue growth at 23.90% annually

Supporting Valuation Data

Price/Sales (TTM)
0.0373
Undervalued

Murano Global Investments PLC Ordinary Shares (MRNO) Areas to Watch (5)

Avg Score: 1.0/10
Return on EquityProfitability
-35.40%0/10

Company is destroying shareholder value

Operating MarginProfitability
-71.50%0/10

Losing money on operations

Profit MarginProfitability
-163.60%0/10

Company is losing money with a negative profit margin

Institutional Own.Quality
1.15%2/10

Very low institutional interest at 1.15%

Market CapQuality
$45M3/10

Micro-cap company with very limited liquidity and high volatility

Supporting Valuation Data

EV/Revenue
9.35
Premium

Murano Global Investments PLC Ordinary Shares (MRNO) Detailed Analysis Report

Overall Assessment

This company scores 37/100 in our Smart Analysis, earning a F grade. Out of 8 metrics analyzed, 3 register as strengths (avg 9.3/10) while 5 fall into concern territory (avg 1.0/10). The category breakdown reveals uneven performance, with some areas requiring attention.

The Bull Case

The strongest argument centers on Price/Sales, Price/Book, Revenue Growth. Valuation metrics including Price/Sales (0.04), Price/Book (0.15) suggest the stock is attractively priced. Growth metrics are encouraging with Revenue Growth at 23.90%.

The Bear Case

The primary concerns are Return on Equity, Operating Margin, Profit Margin. Profitability pressure is visible in Return on Equity at -35.40%, Operating Margin at -71.50%, Profit Margin at -163.60%.

Key Dynamics to Monitor

Three factors to monitor going forward. First, whether Return on Equity improves, as this is the primary drag on the overall score. Second, margin trajectory, with Return on Equity at -35.40% needing improvement to support the investment thesis. Third, growth sustainability, with Revenue Growth at 23.90% strong but requiring continuation.

Risk Considerations

Based on the metric profile, this is a higher risk investment. There are more areas of concern than strength, warranting a more conservative position size. Investors should size positions according to their risk tolerance and maintain diversification.

Bottom Line

Fundamental challenges outweigh strengths at current levels. Return on Equity and Operating Margin are the primary drags. Consider waiting for meaningful improvement before committing capital.

Disclaimer: Smart Analysis is a scoring system developed by WallStSmart Team. Scores update daily using multi-model valuation framework. Always conduct your own research and consult with financial advisors before making investment decisions.

MRNO Price-to-Sales(PS) Ratio Chart

Historical valuation based on market cap ÷ trailing 12-month revenue

MRNO's Price-to-Sales ratio of 0.04x sits near its historical average of 0.04x (0th percentile), suggesting the market is pricing in steady-state growth. The current valuation is 38% below its historical high of 0.06x set in Mar 2026, and -7% above its historical low of 0.04x in Mar 2026. Over the past 12 months, the PS ratio has compressed from ~0.1x as trailing revenue scaled faster than the stock price.

Compare MRNO with Competitors

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WallStSmart Analysis Synopsis

Data-driven financial summary for Murano Global Investments PLC Ordinary Shares (MRNO) · REAL ESTATEREAL ESTATE - DEVELOPMENT

The Big Picture

Murano Global Investments PLC Ordinary Shares is a strong growth company balancing expansion with improving profitability. Revenue reached 1.2B with 24% growth year-over-year. The company is currently unprofitable, posting a -163.6% profit margin.

Key Findings

Operating at a Loss

The company is unprofitable with a -163.6% profit margin. The path to breakeven will be the key catalyst.

Negative Free Cash Flow

Free cash flow is -26M, meaning the company is burning cash. This may be acceptable for high-growth companies investing heavily.

What to Watch Next

Growth sustainability: can Murano Global Investments PLC Ordinary Shares maintain 24%+ revenue growth, or will competition slow it down?

Sector dynamics: monitor REAL ESTATE - DEVELOPMENT industry trends, competitive moves, and regulatory changes that could impact Murano Global Investments PLC Ordinary Shares.

Bottom Line

Murano Global Investments PLC Ordinary Shares offers an attractive blend of growth (24% revenue expansion) and improving fundamentals. The company is transitioning from pure growth to profitable growth, a critical inflection point. Watch for sustained margin expansion as the key signal.

This synopsis is generated from publicly available financial data. It is not financial advice. Always conduct your own research and consult a qualified financial advisor before making investment decisions.

Insider Transactions

Total Buys
0
Total Sells
0

Data sourced from SEC Form 4 filings

Last updated: 8:27:09 AM

About Murano Global Investments PLC Ordinary Shares(MRNO)

Exchange

NASDAQ

Sector

REAL ESTATE

Industry

REAL ESTATE - DEVELOPMENT

Country

USA

Murano Global Investments PLC is a prominent investment firm focused on delivering superior returns through a diversified portfolio of global assets. Leveraging extensive market expertise, the company strategically allocates capital across various sectors, with a strong emphasis on emerging markets and innovation-driven industries. Murano is committed to robust risk management and sustainable investment practices, targeting long-term growth and value creation for its clients. As a publicly traded entity, it provides institutional investors with a refined investment strategy that exemplifies excellence in asset management.