MRNOMRNOReal Estate · Real Estate - Development

MRNO Stock Forecast: Murano Global Investments Plc Price Predictions for 2026-2027

Last close, 24 Aug 2026
$0.22
+3.46% on the day

Ticker Nerd's systematic factor model, run across ~4,600 US stocks, ranks it 2 of 100 as at 22 Aug 2026 — in the weakest quartile.

Market cap
$17.9M
Ticker Nerd rank
2 / 100
Median analyst target
Analysts covering
Revenue$343.0M+106.0% y/y
Operating income−$41.4M
Net income−$95.2M
Free cash flow−$53.6M
Quarterly, 8 quarters to 31 Dec 2025 · latest quarter's figure shown
Total return, dividends reinvested
1W
+3.5%
1M
+5.9%
YTD
−61.2%
1Y
−96.1%
From 52W high
−96.3%
From 52W low
+17.5%
$0.19
$6.14
52-week range, adjusted closes · the dot is the last close
Ticker Nerd rank

MRNO stock analysis: one number for the whole business

Consensus tells you what everyone already believes. The model scores Murano Global Investments Plc on its factor families — the same systematic rank behind the Ticker Nerd portfolio.

Where the model ranks itAs at 22 Aug 2026
2 / 100

Percentile across ~4,600 US stocks on Ticker Nerd’s systematic factor model. Higher is better. How the model is built and tested

Size
90
Revisions
25
Momentum
21
Accruals
8
Volatility
7
Quality
2
Value
1
Issuance
0
Growth
0

Size (90): Smaller than most of the companies we track.

Growth (0): Sales and profits are flat, shrinking, or growing more slowly than they were.

Built and run by Aslam Ghouse, an ex-Goldman Sachs quant trader with fourteen years in markets.

Wall Street

MRNO stock forecast 2026-2027: analyst price targets & predictions

The bullish and bearish analyst opinions on MRNO, reported as data — targets and ratings, the market's view beside the model's.

Share price and the analyst range, 12 monthsAdjusted close, US dollars
$0.00$1.00$2.00$3.00$4.00$5.00$6.00Oct 25Jan 26Apr 26Jul 26MRNO

Price targets and ratings are third-party analyst estimates, reported here as data. They are not Ticker Nerd forecasts, and they are frequently wrong.

Data provided by Twelve Data

Price targets and ratings are third-party analyst estimates, reported here as data. They are not Ticker Nerd forecasts, and they are frequently wrong.

Market Radar

This page is one stock. Monday covers all of them.

Computed off the Friday close and sent before the US open.

Market Radar reports the week’s largest rank changes across roughly 4,600 US stocks, the factor behind each one, and where the market went. MRNO appears on the weeks it earns a place.

Free, every Monday. Unsubscribe any time.

Performance

MRNO vs the S&P 500

Both lines are total return — dividends reinvested — so the comparison is honest on both sides.

Over the twelve months to 24 Aug 2026, Murano Global Investments Plc returned −96.1% against +19.6% for the S&P 500, dividends included.

MRNO vs S&P 500, last 12 monthsTotal return, rebased to 100
020406080100120Oct 25Jan 26Apr 26Jul 26MRNOS&P 500

Download this chart as an image — free to reuse; link this page as the source.

Data provided by Twelve Data

Estimates

MRNO analyst estimate revisions

Not the forecast itself — the direction analysts are revising it. Revision direction is one of the model's factor families.

Fundamentals

Murano Global Investments Plc (MRNO) financial data

A margin means little on its own. Each bar marks where the figure sits across the whole US universe we score.

Valuation
Trailing P/E
241.9×

Cheaper than 3% of US stocks

Price / sales
0.0×

Cheaper than 99% of US stocks

Price / book
0.1×

Cheaper than 90% of US stocks

EV / EBITDA
−113.6×

Cheaper than 96% of US stocks

Growth & margins
Revenue growth (YoY)
−14.9%

Higher than 13% of US stocks

Earnings growth (YoY)
113.9%

Higher than 85% of US stocks

Gross margin
61.5%

Higher than 75% of US stocks

Operating margin
−1.7%

Higher than 31% of US stocks

Net margin
−24.8%

Higher than 14% of US stocks

Returns & dividend
Return on equity
−7.5%

Higher than 37% of US stocks

Return on assets
−1.1%

Higher than 39% of US stocks

Dividend yield

Bars mark the percentile across the ~4,600 US stocks Ticker Nerd covers, among those reporting the figure.

Key statistics

Murano Global Investments Plc (MRNO) statistics: revenue, profit & scale

The headline figures, each with its date. Every row carries its own link — cite it straight from here.

  • Murano Global Investments Plc has a market value of $17.9M and an enterprise value of $641.7M.

  • Shares outstanding: 79.7M.

  • Trailing P/E: 241.9×.

  • Murano Global Investments Plc employs 1,016 people.

Statement figures: company filings via Twelve Data, four quarters to 31 Dec 2025 · market figures as at 25 Aug 2026

Data provided by Twelve Data

Peers

MRNO vs competitors

The nearest names by industry and size, scored by the same model — like for like.

Its peer group, ranked by the same modelReal Estate - Development
CompanyMarket capTKN rank
MRNOMurano Global Investments Plc$17.9M
2
AEIAlset, Inc.$56.8M
17
RENXRenX Enterprises Corp.$5.1M
21
JFBJFB Construction Holdings$91.2M
21
LPALogistic Properties of the Americas$100.9M
46
AXRAMREP Corp.$122.0M
66
OPADOfferpad Solutions, Inc.*$19.5M
61

* Nearest Real Estate names by size — few real estate - development companies of this scale trade in the US universe.

Look up any of the roughly 4,600 stocks we score.

The rank is the raw material. Whether the rules would actually own Murano Global Investments Plc — and when they’d sell — is the membership. See the Ticker Nerd 20 →

FAQ

Frequently asked questions about MRNO stock

How does Ticker Nerd's model rank MRNO?

As at 22 Aug 2026, Murano Global Investments Plc ranks 2 out of 100 on Ticker Nerd's systematic factor model — a percentile across roughly 4,600 US stocks, built from its factor families. Its strongest factor family is Size (90 of 100).

What is the MRNO stock forecast for 2030?

No analyst covering Murano Global Investments Plc publishes a 2030 price target — Wall Street targets run 12 to 18 months out. Sites quoting a 2030 price for MRNO are extrapolating price history, which says nothing about the business.

How has MRNO stock performed over the past year?

Murano Global Investments Plc returned -96.1% over the 12 months to 24 Aug 2026, with dividends reinvested. Past performance does not indicate future returns.

What does Murano Global Investments Plc do?

Murano Global Investments PLC is a real estate company that owns, develops, and invests in hotel, resort, and commercial properties throughout Mexico. Headquartered in London, United Kingdom, and founded in 1996, it manages a portfolio of premium hospitality assets, including the Hotel Andaz in Mexico City operated by Hyatt, the Hotel Mondrian in Mexico City operated by Accor, and the Grand Island Cancun I, an all-inclusive luxury resort in Cancun managed by the Hyatt Group under the Vivid and Dreams brands.

Company

About Murano Global Investments Plc.

Murano Global Investments PLC is a real estate company that owns, develops, and invests in hotel, resort, and commercial properties throughout Mexico. Headquartered in London, United Kingdom, and founded in 1996, it manages a portfolio of premium hospitality assets, including the Hotel Andaz in Mexico City operated by Hyatt, the Hotel Mondrian in Mexico City operated by Accor, and the Grand Island Cancun I, an all-inclusive luxury resort in Cancun managed by the Hyatt Group under the Vivid and Dreams brands. The company also pursues development projects such as its Baja initiative in Baja California, which encompasses plans for an all-inclusive hotel and industrial park. Murano Global Investments PLC maintains partnerships with global hospitality brands and focuses on key Mexican tourist destinations like Mexico City, Cancun, and Baja California. In addition to its core real estate and hospitality operations, it holds a Bitcoin treasury, integrating digital assets with its property investments to diversify its financial strategy within the real estate sector.

CEO Mr. Elias Sacal Cababie · 1,016 employees · United Kingdom · https://www.murano.com.mx