MARR S.p.A.
BIT:MARR
7,27
+ €0,15 (2,11%)
7,27
+€0,15 (2,11%)
End-of-day quote: 03/26/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

€0,57
Earnings Per Share
€33,44
Revenue Per Share
8,80%
Gross Margin %
€0,45 B
Market Cap
€0,29 B
Long-Term Debt
Earnings Per Share
€0,57
Revenue Per Share
€33,44
Gross Margin %
8,80%
Market Cap
€0,45 B
Long-Term Debt
€0,29 B

Financials

Year Year 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share €0,57 €0,66 €0,72 €0,40 €0,56 €-0,04 €1,01 €1,03 €0,98 €0,89 €0,85 €0,77 €0,73 €0,71 €0,75 €0,69 €0,58 €0,48 €0,44 €0,41
Earnings Earnings €36,26M €42,49M €47,20M €26,46M €37,26M €-2,66M €67,20M €68,53M €65,20M €59,21M €56,55M €51,23M €48,57M €46,73M €49,37M €45,42M €38,18M €31,60M €29,27M €27,18M
RPS Revenue Per Share €0,00 €33,44 €32,59 €31,82 €29,19 €21,89 €16,14 €25,49 €25,06 €24,42 €23,21 €22,26 €21,66 €20,51 €19,14 €18,98 €18,13 €17,30 €16,85 €16,00 €14,67
Revenue Revenue €0,00M €2,13B €2,10B €2,09B €1,93B €1,46B €1,07B €1,70B €1,67B €1,62B €1,54B €1,48B €1,44B €1,36B €1,26B €1,25B €1,19B €1,14B €1,11B €1,06B €972,74M
OCF Operating Cash Flow €0,00M €65,43M €64,41M €69,63M €-8,02M €121,68M €34,45M €78,30M €53,01M €75,30M €84,60M €62,10M €69,42M €28,86M €34,91M €31,81M €35,16M €26,75M €0,00M €0,00M €0,00M
FCF Free Cash Flow €0,00M €9,78M €37,23M €30,70M €-19,88M €110,60M €20,78M €68,53M €48,19M €70,56M €75,10M €58,25M €64,01M €32,34M €33,50M €27,77M €31,77M €0,00M €0,00M €0,00M €0,00M
OM Operating Margin 0,00% 2,97% 3,38% 4,15% 2,31% 4,01% 1,64% 6,66% 6,82% 6,05% 6,03% 6,12% 5,97% 5,91% 6,17% 6,41% 6,01% 5,59% 5,37% 5,60% 5,57%
GM % Gross Margin % 0,00% 8,80% 20,69% 20,69% 19,66% 21,53% 17,53% 19,05% 19,11% 19,13% 19,68% 19,27% 19,94% 20,57% 20,14% 20,70% 20,90% 20,22% 21,49% 19,76% 20,50%
FCFS Free Cash Flow Per Share €0,00 €0,46 €0,55 €0,62 €-0,31 €1,65 €0,26 €1,02 €0,77 €0,91 €1,21 €0,85 €0,91 €0,01 €0,49 €0,49 €0,48 €0,37 €0,07 €0,07 €0,44
LT Debt Long-Term Debt N/A €287,88M €273,30M €257,44M €220,14M €219,33M €231,12M €166,80M €218,07M €195,19M €176,19M €182,73M €81,58M €164,59M €53,47M €56,90M €105,92M €41,29M €25,88M €31,73M €34,32M
Sha. Stocks 63,61M 63,61M 64,38M 65,55M 66,14M 66,53M 66,53M 66,53M 66,53M 66,53M 66,53M 66,53M 66,53M 66,53M 65,82M 65,82M 65,82M 65,82M 65,84M 66,53M 66,3M
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