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Murano Global Investments PLC (MRNO) Company Overview

Company Analysis

Murano Global Investments PLC MRNO

A comprehensive view of key metrics, scores, and financial health for Murano Global Investments PLC

Overview of Murano Global Investments Plc

MRNO NCM
Real Estate Real Estate - Development Micro Cap
Murano Global Investments Plc (MRNO), is a Micro Cap company, in the Real Estate - Development industry, last closed at $0.68, about 0.0% overvalued vs fair value, -93.6% 1Y return, ranked 283/330 in sector.
$0.68
-17.74%
As of March 13, 2026
Previous close • Vol 90d: 234.2%
52-Week Range
Market Cap
$69.11M
Enterprise Value
$11.03B
Overall Score
Scores locked

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Top Beats

Quick Facts

HQ London
Employees 1,088
Fiscal year Dec 31

Next Events

No upcoming events available.

Fair Value Snapshot

Bear Base Bull
$-39
$-38
$-36
Current: $0.68

Engine Room Money Flow™

Micro Cap

Corporate Free Cash Flow - Where revenue goes and how value is created

Flow Steps
Revenue
$730.0M
154.6%%
Gross Profit
$531.1M
164.1%%
Operating Income
$-1.5B
-391.5%%
Net Income
$-3.6B
-6273.7%%
Money Flow Bridge
Flow Direction: Money moves from left to right
Components: Breakdown shows composition of each stage
Industry-Specific: Corporate Free Cash Flow

Quality & Reliability Indicators

Cash Conversion Ratio
40.0%
Poor

FCF / Net Income - measures how well earnings convert to cash

Locked Metric
-
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Where It Leaks

Cash Flow Health critical
Significant cash flow inefficiencies identified. Multiple high-impact leaks require attention.
3
Active Leaks
0/3
Improving
0
High Impact
3
Critical
Locked Leak
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Locked Leak
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Moat Analysis REIT Specialized

Competitive Advantage Assessment

Evaluating Murano Global Investments PLC's durable competitive advantages across 6 defense dimensions

Overall Moat Strength
15
/100
Weak
Scores based on quantitative metrics and qualitative factors

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Rent Pricing Power

Weak
12
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For informational purposes only. Not investment advice.

Trade-Off Ledger™

Where management spends the performance budget - Growth, Profitability, or Safety

Generic Industrial / Default vs Industry Peers 92% Coverage
Trade-Off Triangle Visualization A ternary plot showing MRNO's balance between Growth (55.0%), Profitability (14.6%), and Safety (30.4%). Growth 55% Safety 30% Profitability 15%

Click axes to expand details. Marker shows current allocation.

3-Year Trend Analysis Locked
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Growth

69th percentile vs peers
70
Key Signals
Rev Growth YoY 1.55 92p Revenue CAGR 3Y 6.82 92p EPS Growth YoY -64.48 8p
  • Rev Growth Yoy in top 20% of peers (1.55, 92th percentile)
  • Revenue Cagr 3Y in top 20% of peers (6.82, 92th percentile)
  • D/E Ratio in top 20% of peers (2.19, 84th percentile)
  • Growth above peer median with strong metric coverage (75%)
  • Net Debt/Ebitda in top 20% of peers (15.16, 80th percentile)
  • Eps Growth Yoy in bottom 20% of peers (-64.48)

Profitability

18th percentile vs peers
19
Key Signals
Strengths
Risks
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Safety

38th percentile vs peers
39
Key Signals
Strengths
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Two Futures

Scenario-based fair value ranges for Murano Global Investments PLC.

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Unable to Compute Fair Value

This company cannot be valued using standard models.

What this means: The Scenario Theatre requires financial data (revenue, cash flow, shares outstanding) to calculate fair value estimates. This data may be unavailable for:

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  • Shell companies or holding companies
  • Companies that haven't filed recent financials
  • Foreign companies with limited data coverage
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Bear
-
- - -
- upside
-
Base
$-37.71
- - -
- upside
Snapshot base estimate
Bull
-
- - -
- upside
-
Fair Value Range Current: $-
$- $- $-
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