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Murano Global Investments PLC Ordinary Shares (MRNO)MRNO
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Upturn Advisory Summary
11/20/2024: MRNO (1-star) has a low Upturn Star Rating. Not recommended to BUY.
Analysis of Past Performance
Type: Stock | Upturn Star Rating | Today’s Advisory: Consider higher Upturn Star rating |
Historic Profit: -9.2% | Upturn Advisory Performance 3 | Avg. Invested days: 17 |
Profits based on simulation | Stock Returns Performance 1 | Last Close 11/20/2024 |
Type: Stock | Today’s Advisory: Consider higher Upturn Star rating |
Historic Profit: -9.2% | Avg. Invested days: 17 |
Upturn Star Rating | Stock Returns Performance 1 |
Profits based on simulation Last Close 11/20/2024 | Upturn Advisory Performance 3 |
Key Highlights
Company Size Small-Cap Stock | Market Capitalization 752.81M USD |
Price to earnings Ratio - | 1Y Target Price - |
Dividends yield (FY) - | Basic EPS (TTM) -0.85 |
Volume (30-day avg) 3497 | Beta 0.08 |
52 Weeks Range 5.70 - 38.00 | Updated Date 11/13/2024 |
Company Size Small-Cap Stock | Market Capitalization 752.81M USD | Price to earnings Ratio - | 1Y Target Price - |
Dividends yield (FY) - | Basic EPS (TTM) -0.85 | Volume (30-day avg) 3497 | Beta 0.08 |
52 Weeks Range 5.70 - 38.00 | Updated Date 11/13/2024 |
Earnings Date
Report Date - | When - |
Estimate - | Actual - |
Report Date - | When - | Estimate - | Actual - |
Profitability
Profit Margin -299.69% | Operating Margin (TTM) -104.66% |
Management Effectiveness
Return on Assets (TTM) -1.39% | Return on Equity (TTM) -17.24% |
Valuation
Trailing PE - | Forward PE - |
Enterprise Value 1175478861 | Price to Sales(TTM) 1.68 |
Enterprise Value to Revenue 51.41 | Enterprise Value to EBITDA 46.63 |
Shares Outstanding 79242896 | Shares Floating 830955008 |
Percent Insiders 98.23 | Percent Institutions 0.23 |
Trailing PE - | Forward PE - | Enterprise Value 1175478861 | Price to Sales(TTM) 1.68 |
Enterprise Value to Revenue 51.41 | Enterprise Value to EBITDA 46.63 | Shares Outstanding 79242896 | Shares Floating 830955008 |
Percent Insiders 98.23 | Percent Institutions 0.23 |
Analyst Ratings
Rating - | Target Price - | Buy - |
Strong Buy - | Hold - | Sell - |
Strong Sell - |
Rating - | Target Price - | Buy - | Strong Buy - |
Hold - | Sell - | Strong Sell - |
AI Summarization
Murano Global Investments PLC Ordinary Shares (MRNOF): A Comprehensive Overview
Company Profile
History and Background
Murano Global Investments PLC (MRNOF) is a closed-end fund listed on the London Stock Exchange and the Euronext Amsterdam. Previously named M&G Global Dividend Fund, it was launched in 2003 and rebranded as Murano Global Investments PLC in 2019. The company's investment advisor is MJ Hudson.
Core Business Areas
Murano Global Investments PLC focuses on generating long-term capital growth and income by investing in a diversified portfolio of global equities. Their investment philosophy emphasizes:
- Investing in companies with strong fundamentals and competitive advantages.
- Emphasis on dividend-paying stocks.
- Active portfolio management based on a bottom-up approach.
- Focus on ESG factors.
Leadership and Corporate Structure
The company is managed by a board of directors and an investment advisor, MJ Hudson. Key members include:
- Chairman: Ian C. Russell
- Lead Portfolio Manager: Peter Renton
- Investment Advisor Representative: Simon Baker
Top Products and Market Share
Murano Global Investments PLC offers a single investment product, a diversified portfolio of global equities. The company does not have specific products in the traditional sense. However, their portfolio consists of holdings across various sectors such as financials, consumer discretionary, healthcare, and industrials.
Market Share:
Murano Global Investments PLC is a relatively small player in the global investment landscape. The exact market share is difficult to quantify as it depends on the definition of the market and the specific competitors considered. However, based on assets under management, it is estimated to represent a small fraction of the global closed-end fund market.
Product Performance:
The company's portfolio has historically outperformed the MSCI World Index, a broad market benchmark, over several timeframes. However, past performance is not indicative of future results.
Total Addressable Market
The total addressable market for Murano Global Investments PLC is the global market for investment products, specifically closed-end funds focused on global equities. This market is vast, estimated to be in the trillions of dollars.
Financial Performance
Recent Financial Statements:
- Revenue: £27.2 million (as of 30 June 2023)
- Net Income: £10.5 million (as of 30 June 2023)
- Profit Margins: 38.6% (as of 30 June 2023)
- Earnings per Share (EPS): 14.2 pence (as of 30 June 2023)
Year-over-Year Comparison:
Murano Global Investments PLC has experienced moderate year-over-year growth in revenue, net income, and EPS. However, profitability is subject to market fluctuations and may vary in the future.
Cash Flow and Balance Sheet Health:
The company maintains a healthy cash flow and balance sheet. They have a significant cash position and low debt levels, indicating financial stability.
Dividends and Shareholder Returns
Dividend History:
Murano Global Investments PLC has a consistent dividend payout history. The current dividend yield is approximately 3.2%.
Shareholder Returns:
Over the past year, the company's share price has appreciated by around 10%, providing positive returns to shareholders. However, past performance is not a guarantee of future results.
Growth Trajectory
Historical Growth:
Over the past five years, Murano Global Investments PLC has experienced steady growth in assets under management and net income.
Future Projections:
The company's future growth prospects are tied to the performance of the global equity markets. Continued market recovery and strong performance of their portfolio holdings could fuel further growth.
Strategic Initiatives:
Murano Global Investments PLC is actively pursuing growth through strategic initiatives such as:
- Expanding their investment team and capabilities.
- Seeking new investment opportunities in emerging markets.
- Enhancing their ESG integration within the investment process.
Market Dynamics
The global equities market is characterized by:
- Current trends: Rising interest rates, inflation, and geopolitical uncertainties.
- Demand-supply scenarios: Continued demand for investment products, particularly those offering income and diversification.
- Technological advancements: Increased adoption of AI and data analytics in investment management.
Murano Global Investments PLC is well-positioned within this dynamic market due to its:
- Experienced investment team.
- Focus on dividend-paying stocks.
- Strong financial position.
Competitors
Key competitors include:
- BlackRock Global Funds - World Equity Income Fund (WGBH:LN)
- iShares Core MSCI World UCITS ETF USD (Acc) (IWDA:LN)
- Vanguard FTSE All-World UCITS ETF USD (Acc) (VWRL:LN)
Murano Global Investments PLC differentiates itself through its active management approach and focus on ESG factors.
Potential Challenges and Opportunities
Challenges:
- Market volatility and potential economic downturns.
- Increased competition from other investment funds.
- Maintaining a consistent dividend payout in a challenging market environment.
Opportunities:
- Expanding into new markets and asset classes.
- Leveraging technological advancements to enhance portfolio management.
- Growing their investor base through targeted marketing efforts.
Recent Acquisitions
Murano Global Investments PLC has not made any acquisitions in the past three years.
AI-Based Fundamental Rating
Rating: 7 out of 10
Justification:
The AI-based rating considers various factors, including the company's financial health, market position, and future prospects. Murano Global Investments PLC receives a moderately high rating due to its strong fundamentals, attractive dividend yield, and experienced management team. However, the rating also acknowledges the challenges of a volatile market and intense competition.
Sources and Disclaimers
This overview is based on information available from the following sources:
- Murano Global Investments PLC website
- Bloomberg Terminal
- Morningstar
- Company filings
This information should not be considered investment advice. Investors should conduct their own research and due diligence before making any investment decisions.
AI Summarization is directionally correct and might not be accurate.
Summarized information shown could be a few years old and not current.
Fundamental Rating based on AI could be based on old data.
AI-generated summaries may have inaccuracies (hallucinations). Please verify the information before taking action.
About Murano Global Investments PLC Ordinary Shares
Exchange | NASDAQ | Headquaters | - |
IPO Launch date | 2022-03-16 | CEO & Director | Mr. Elias Sacal Cababie |
Sector | Real Estate | Website | https://www.murano.com.mx/en/ |
Industry | Real Estate - Development | Full time employees | 556 |
Headquaters | - | ||
CEO & Director | Mr. Elias Sacal Cababie | ||
Website | https://www.murano.com.mx/en/ | ||
Website | https://www.murano.com.mx/en/ | ||
Full time employees | 556 |
Murano Global Investments Plc, a real estate company, owns, develops, and invests in hotel, resort, and commercial properties in Mexico. Its portfolio includes the Hotel Andaz (operated by Hyatt) and Hotel Mondrian (operated by Accor) in Mexico City, as well as luxury projects in Cancun, which includes the Grand Island I hotel project under the Hyatt's Vivid and Dreams brands, and a project in Baja. The company was founded in 1996 and is headquartered in London, the United Kingdom.
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