NASDAQ
MRNO
Last Price
US $0.25
Valuation
Financial
Performance
Financial risk - Cash flow debt coverage.
Murano Global Investments PLC Ordinary Shares cash flow to debt ratio of 0.85% indicates that the company cannot generate enough cash to cover its debt over time. This level indicates weak financial health.
Financial stability - Healthy cash flow growth.
Murano Global Investments PLC Ordinary Shares's free cash flow has increased -83.76% from $-1.43G last year to $-231.72M, signaling increasing performance
Financial risk - Healthy debt to equity ratio.
Murano Global Investments PLC Ordinary Shares's debt to equity ratio is 4.73, which means that the company's assets are unhealthy financed, signaling financial risk. READ MORE: A ratio over 0.60 means the company finances its assets with debt, signaling financial risk. If ratio is negative, the company spent its own equity and risks bankruptcy
Financial risk - Healthy debt to equity ratio development.
Murano Global Investments PLC Ordinary Shares's debt has increased relative to shareholder equity from 2.19 last year to 4.73 today, signaling weakened financials
Financial risk - Net debt/EBITDA.
Murano Global Investments PLC Ordinary Shares has a net debt to EBITDA ratio of 7.24x, which exceeds the 3.00x threshold, indicating high leverage and potential financial risk
Financial risk - ICR.
Murano Global Investments PLC Ordinary Shares's interest coverage ratio is -0.45, which means that the company struggles to meet interest obligations, signaling financial risk.
Financial stability - Profit margin growth.
Murano Global Investments PLC Ordinary Shares's profit margin has increased (-94.93%) in the last year from -488.79% to -24.76%, signaling increasing performance
Financial risk - Short term assets vs short term liabilities.
Murano Global Investments PLC Ordinary Shares's short-term liabilities of $11.93G exceed its short-term assets of $3.10G, signaling financial risk
Decreasing performance - ROA.
Murano Global Investments PLC Ordinary Shares's return on assets of 0.00% is lower than the 5.00% threshold, indicating inefficient asset utilization
Decreasing performance - Absolute return on equity.
Murano Global Investments PLC Ordinary Shares's return on equity of -6.25%, is lower than 15.00%, indicating bad performance
Decreasing performance - Earnings quality.
Murano Global Investments PLC Ordinary Shares's operating cash flow is lower than its net income, indicating that earnings may not be fully backed by cash generation
Decreasing performance - Earnings stability.
Murano Global Investments PLC Ordinary Shares had positive net income in only 2.00 out of 5 years, indicating unstable earnings
Decreasing performance - Free cash flow.
Murano Global Investments PLC Ordinary Shares has negative free cash flow, indicating the company is burning cash rather than generating it
Decreasing performance - FCF yield.
Murano Global Investments PLC Ordinary Shares has negative free cash flow, indicating cash burn
Increasing performance - Healthy earnings growth.
Murano Global Investments PLC Ordinary Shares's yearly earnings has increased -92.09% since last year from $-3.57G to $-282.38M, signaling increasing performance
Increasing performance - Healthy revenue growth.
Murano Global Investments PLC Ordinary Shares's yearly revenue has increased 56.25% since last year from $729.95M to $1.14G, signaling increasing performance
Decreasing performance - ROIC.
ROIC -2.19% (Source: FMP key-metrics). Below the 5% partial-credit threshold. Score: 0 of 2. The 5% and 10% cutoffs anchor to typical US weighted-average cost of capital. Below 5% indicates the company is not generating returns above its likely cost of capital under this definition of invested capital. Invested capital here includes equity, non-current liabilities (pension obligations, deferred taxes, lease obligations), and short-term debt. Cash is not subtracted. Companies with substantial float, lease portfolios, or cash holdings will score lower under this definition than under narrower operating-capital definitions. See methodology.
Increasing performance - 3-year revenue CAGR.
Murano Global Investments PLC Ordinary Shares's 3-year revenue CAGR of 461.84% is positive, indicating growing revenue over the past 3 years
Increasing performance - Revenue consistency.
Murano Global Investments PLC Ordinary Shares had revenue growth in 4.00 out of 5 years, indicating consistent revenue performance
Decreasing performance - ROE consistency.
Murano Global Investments PLC Ordinary Shares had positive ROE in only 2.00 out of 5 years, indicating inconsistent returns on equity
Overvalued - DCF valuation.
Murano Global Investments PLC Ordinary Shares has insufficient data to evaluate this check.
Overvalued - Earnings yield.
Murano Global Investments PLC Ordinary Shares has negative trailing-twelve-month earnings; this ratio is not meaningful and the check fails
Overvalued - EBITDA valuation.
Murano Global Investments PLC Ordinary Shares is overvalued relative to its fair value price of 0.00 based on EBITDA multiple model
Undervalued - EV/EBITDA.
Murano Global Investments PLC Ordinary Shares has an EV/EBITDA ratio of 7.25x, which is below the 20.00x threshold, indicating reasonable valuation relative to its operating earnings
Overvalued - PEG ratio value.
Murano Global Investments PLC Ordinary Shares has negative trailing-twelve-month earnings; this ratio is not meaningful and the check fails
Undervalued - P/B ratio.
Murano Global Investments PLC Ordinary Shares has a price-to-book ratio of 0.01x, which is below the 5.00x threshold, indicating reasonable valuation relative to its book value
Undervalued - P/S ratio.
Murano Global Investments PLC Ordinary Shares has a price-to-sales ratio of 0.02x, which is below the 8.00x threshold, indicating reasonable valuation relative to its revenue
Profit margin
Current Ratio
Capital Returns
-6.25%
Return on equity
ROIC: -2.19%
Valuation History
-1.3X
Price to Earnings
EV/EBITDA: 7.5X
Cash flow
Profit margin
-
(FY vs FY)
Cash flow Y/Y
-
(FY vs FY)
Fair Value
Market $0.25
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