Marex UK Holdings Ltd

Marex UK Holdings Ltd (MRX) Stock Analysis

$72.620

+0.138 (+0.19%)At close

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High
73.610
Open
72.270
VWAP
72.48
Vol
746.92K
Mkt Cap
Low
71.200
Amount
54.13M
EV/EBITDA, TTM
7.05

Marex Group Limited is a diversified global financial services platform. The Company provides market access, infrastructure services and essential liquidity to clients across global commodity and financial markets. The Company provides comprehensive coverage across four services: Clearing, Agency and Execution, Market Making and Hedging and Investment Solutions. It has a franchise in many metals, energy and agricultural products, with access to approximately 60 exchanges. The Clearing segment acts as the interface between exchanges and clients. The Agency and Execution provide essential liquidity and execution services to its clients primarily in the energy and financial securities markets. Market Making segment acts as principal to provide direct market pricing to professional and wholesale counterparties, primarily within the metals, agriculture, energy and financial securities markets. Hedging and Investment Solutions offers bespoke hedging and investment solutions to its clients.

www.marex.com

AI analysis of Marex UK Holdings Ltd (MRX)

buy

Marex Group PLC (MRX) appears to be a good buy right now due to its strong recent performance and positive analyst outlook. The current price is $72.84, which is below the average analyst price target of $82 to $90, suggesting significant upside potential. Additionally, the company has shown impressive growth with a year-to-date change of +91.99% and a one-year change of +106.00%. However, a risk to consider is the high debt-to-equity ratio of 1255.38%, which indicates potential financial leverage concerns.

Valuation Metrics

The current forward P/E ratio for Marex UK Holdings Ltd (MRX) is 8.76, compared to its 5-year average forward P/E of 9.25.

Forward P/E

Fair
5Y Average P/E
9.25
Current P/E
8.76
Overvalued
10.78
Undervalued
7.73

Forward EV/EBITDA

Undervalued
5Y Average EV/EBITDA
18.05
Current EV/EBITDA
7.05
Overvalued
28.05
Undervalued
8.05

Forward P/S

Overvalued
5Y Average P/S
1.32
Current P/S
1.62
Overvalued
1.57
Undervalued
1.07

Whales holding MRX

G

Granahan Investment Management, LLC

+ HoldingMRX

+15.20%

3M Return

S

Samlyn Capital, LLC

+ HoldingMRX

+6.06%

3M Return

A

Algert Global LLC

+ HoldingMRX

-4.83%

3M Return

Events Timeline

2026-08-12 (ET)

17:00:00

Dow Jones Index Dips Slightly as CPI Report Meets Expectations

12:30:00

Major U.S. Averages Edge Higher as CPI Report Meets Expectations

07:30:00

Marex Reports Q2 Revenue of $695.8M, Beating Expectations

2026-07-16 (ET)

09:30:00

Marex Group Allows Clients to Use USDC as Initial Margin

2026-07-09 (ET)

08:00:00

Marex Group to Acquire Bright Point International to Expand Asia Pacific Presence

News

MRX FAQ — answered by Alphio AI

Marex Group Limited is a diversified global financial services platform. The Company provides market access, infrastructure services and essential liquidity to clients across global commodity and financial markets. The Company provides comprehensive coverage across four services: Clearing, Agency and Execution, Market Making and Hedging and Investment Solutions. It has a franchise in many metals, energy and agricultural products, with access to approximately 60 exchanges. The Clearing segment acts as the interface between exchanges and clients. The Agency and Execution provide essential liquidity and execution services to its clients primarily in the energy and financial securities markets. Market Making segment acts as principal to provide direct market pricing to professional and wholesale counterparties, primarily within the metals, agriculture, energy and financial securities markets. Hedging and Investment Solutions offers bespoke hedging and investment solutions to its clients. It operates in the Financials sector.

Marex Group PLC (MRX) appears to be a good buy right now due to its strong recent performance and positive analyst outlook. The current price is $72.84, which is below the average analyst price target of $82 to $90, suggesting significant upside potential. Additionally, the company has shown impressive growth with a year-to-date change of +91.99% and a one-year change of +106.00%. However, a risk to consider is the high debt-to-equity ratio of 1255.38%, which indicates potential financial leverage concerns.

This page is for research only and is not investment advice. Models can be wrong. Past performance does not guarantee future results.

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