FUNDAMENTALS · Fundamentals · GB Real Estate

Murano Global Investments (MRNO) Fundamentals 2026 — Revenue Analysis | SniperIQ

Murano Global Investments (MRNO) is a GB-listed Real Estate company in Real Estate - Development with a market capitalization of

9M, trading at $0.24 on the NASDAQ. This SniperIQ fundamentals page covers Murano Global Investments's valuation, profitability (net margin -24.8%), revenue (MXN 1.1B in FY2025), balance-sheet quality, and AI signal context — from live market data, research only.

Market Cap
9M
Net Margin-24.8%
Revenue (FY25)MXN 1.1B

Full research coverage

  • 8-Quarter Revenue & Margin Trend
  • Debt Maturity & Coverage
  • Peer Valuation Comparison
  • Free Cash Flow & Owner Earnings
  • AI Signal + Institutional Flow
  • DCF Valuation Model

Frequently Asked Questions

What is Murano Global Investments's market cap?

Murano Global Investments (MRNO) has a market capitalization of approximately

9M, trading at $0.24 on the NASDAQ. Market cap moves with the live share price.

What is Murano Global Investments's P/E ratio?

Murano Global Investments's trailing twelve-month P/E ratio is not meaningful (negative or nil earnings), with a price-to-book (P/B) of 0.1x. Valuation multiples are best compared with Real Estate sector peers rather than read in isolation.

How profitable is Murano Global Investments?

Murano Global Investments runs a net profit margin of -24.8%, a gross margin of 68.8%, and an operating margin of -31.9%. Margins and ROE indicate how efficiently the business converts sales into profit and shareholder returns.

How much revenue does Murano Global Investments generate?

Murano Global Investments reported revenue of MXN 1.1B for fiscal year 2025, with net income of -MXN 282M and earnings per share (EPS) of -3.55. SniperIQ tracks the full 8-quarter revenue and margin trend on the research dashboard.

Does Murano Global Investments pay a dividend?

Murano Global Investments does not currently show a material trailing dividend yield; it is positioned more as a total-return name. Always confirm the latest dividend policy in the company's filings.

Is Murano Global Investments financially healthy?

Murano Global Investments carries a debt-to-equity ratio of 4.73x and a current ratio of 0.26x, with a market beta of 0.51. Lower leverage and a current ratio above 1.0 generally signal a stronger balance sheet.

Is Murano Global Investments a good stock to buy in 2026?

SniperIQ provides research-only market intelligence, not personalised financial advice or a buy/sell call. For Murano Global Investments (MRNO) the key facts are: market cap

9M, revenue MXN 1.1B, 52-week range 0.218-8.88. Weigh valuation, profitability, growth, and balance-sheet strength against Real Estate peers and form your own view.

Track Murano Global Investments's full fundamentals live

Get Murano Global Investments's 8-quarter revenue and margin trend, peer comparison, DCF model, and AI signal on the SniperIQ research dashboard.

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