WallStSmart

Marsh & McLennan Companies, Inc. (MRSH) Stock Analysis — PE Ratio, PS Ratio, Intrinsic Value & 2030 Price Target

Marsh & McLennan Companies, Inc. stock (MRSH) is currently trading at $173.10. Marsh & McLennan Companies, Inc. PE ratio is 20.63. Marsh & McLennan Companies, Inc. PS ratio (Price-to-Sales) is 3.16. Analyst consensus price target for MRSH is $207.20. WallStSmart rates MRSH as Hold.

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

Marsh & McLennan Companies, Inc.

NYSEFINANCIAL SERVICES
$173.10
$0.77 (-0.44%)
52W$164.89
$244.59
Target$207.20+19.7%

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IV

MRSH Intrinsic Value Analysis for Value Investors

Benjamin Graham Formula · Marsh & McLennan Companies, Inc. (MRSH)

Margin of Safety
-28.9%
Significantly Overvalued
MRSH Fair Value
$134.21
Graham Formula
Current Price
$173.10
$38.89 above fair value
Undervalued
Fair: $134.21
Overvalued
Price $173.10
Graham IV $134.21
Analyst $207.20

MRSH trades 29% above its Graham fair value of $134.21, indicating the stock may be overvalued at current levels.

Based on Benjamin Graham Formula. Growth rate capped at 25%. For informational purposes only. Not financial advice.

WallStSmart

Smart Analysis

Marsh & McLennan Companies, Inc. (MRSH) · 10 metrics scored

Smart Score

64
out of 100
Grade: C+
Buy
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 market cap, return on equity, operating margin. Concerns around price/book. Fundamentals are solid but monitor weak areas for improvement.

Marsh & McLennan Companies, Inc. (MRSH) Key Strengths (5)

Avg Score: 9.0/10
Return on EquityProfitability
29.30%10/10

Every $100 of shareholder equity generates $29 in profit

Institutional Own.Quality
91.87%10/10

91.87% of shares held by major funds and institutions

Market CapQuality
$85.18B9/10

Large-cap company with substantial market presence

Operating MarginProfitability
25.40%8/10

Strong operational efficiency: $25 kept per $100 revenue

Profit MarginProfitability
15.40%8/10

Strong profitability: $15 kept per $100 revenue

Marsh & McLennan Companies, Inc. (MRSH) Areas to Watch (5)

Avg Score: 4.4/10
Price/BookValuation
5.662/10

Very expensive at 5.7x book value

Revenue GrowthGrowth
8.70%4/10

Modest revenue growth at 8.70%

EPS GrowthGrowth
5.70%4/10

Modest earnings growth at 5.70%

PEG RatioValuation
1.716/10

Growth is fairly priced, not cheap, not expensive

Price/SalesValuation
3.166/10

Revenue is fairly priced at 3.16x sales

Marsh & McLennan Companies, Inc. (MRSH) Detailed Analysis Report

Overall Assessment

This company scores 64/100 in our Smart Analysis, earning a C+ grade. Out of 10 metrics analyzed, 5 register as strengths (avg 9.0/10) while 5 fall into concern territory (avg 4.4/10). The category breakdown reveals uneven performance, with some areas requiring attention.

The Bull Case

The strongest argument centers on Return on Equity, Institutional Own., Market Cap. Profitability is solid with Return on Equity at 29.30%, Operating Margin at 25.40%, Profit Margin at 15.40%.

The Bear Case

The primary concerns are Price/Book, Revenue Growth, EPS Growth. Some valuation metrics including PEG Ratio (1.71), Price/Sales (3.16), Price/Book (5.66) suggest expensive pricing. Growth concerns include Revenue Growth at 8.70%, EPS Growth at 5.70%, which may limit upside.

Key Dynamics to Monitor

Three factors to monitor going forward. First, whether Price/Book improves, as this is the primary drag on the overall score. Second, margin trajectory, with Return on Equity at 29.30% currently healthy but needing to be sustained. Third, growth sustainability, with Revenue Growth at 8.70% needing to reaccelerate.

Risk Considerations

Based on the metric profile, this is a moderate-to-high risk investment. Strengths and concerns are roughly balanced. Investors should size positions according to their risk tolerance and maintain diversification.

Bottom Line

Mixed fundamentals with both positives (Return on Equity, Institutional Own.) and negatives (Price/Book, Revenue Growth). A cautious approach is warranted. Monitor for improvement in weak areas before increasing conviction.

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.

MRSH Price-to-Sales(PS) Ratio Chart

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

MRSH's Price-to-Sales ratio of 3.16x trades 76% above its historical average of 1.79x (97th percentile), historically expensive. The current valuation is 6% below its historical high of 3.35x set in Mar 2026, and 321% above its historical low of 0.75x in Feb 2009.

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WallStSmart Analysis Synopsis

Data-driven financial summary for Marsh & McLennan Companies, Inc. (MRSH) · FINANCIAL SERVICESINSURANCE BROKERS

The Big Picture

Marsh & McLennan Companies, Inc. is a mature, profitable business with steady cash generation. Revenue reached 27.0B with 9% growth year-over-year. Profit margins of 15.4% are healthy, with room for further expansion as the business scales.

Key Findings

Excellent Capital Efficiency

ROE of 29.3% means the company generates strong returns on shareholder equity. Above 20% is considered top-tier.

Cash Flow Positive

Generating 2.1B in free cash flow and 2.2B in operating cash flow. Earnings are translating into actual cash generation.

What to Watch Next

Sector dynamics: monitor INSURANCE BROKERS industry trends, competitive moves, and regulatory changes that could impact Marsh & McLennan Companies, Inc..

Bottom Line

Marsh & McLennan Companies, Inc. is a well-established business delivering consistent profitability with 15.4% margins. The growth phase may be slowing, but strong cash generation and operational efficiency make it suitable for investors seeking reliability over excitement.

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: 10:09:22 AM

About Marsh & McLennan Companies, Inc.(MRSH)

Exchange

NYSE

Sector

FINANCIAL SERVICES

Industry

INSURANCE BROKERS

Country

USA

Marsh & McLennan Companies, Inc., a professional services company, provides advisory services and insurance solutions to clients in the areas of risk, strategy, and people globally. The company is headquartered in New York, New York.