MRX Marex Group Limited

Stock NASDAQ Financial Services

US$72.46 +5.95% Latest close

Marex Group Limited (MRX) trend channel, buy level and 3-month target on Trade The Path. Sector: Financial Services. Listed on NASDAQ. Levels below are fitted to this ticker's own swing highs and lows (Theil–Sen, log-price), then projected 3 months. If this ticker has no settled sample yet, treat the numbers as a geometric read, not a track record. Information only, not financial advice.

Mid-channel

Price is between the two trend lines. Nothing to act on yet.

Read from the last 12 months of history we hold: rising, drifting more than +100% a year. The nearest ceiling overhead is US$79.21. What would overturn this: a close below US$64.36 β€” the floor of the channel being read β€” after which the trend, not the entry, is what was wrong.

12 months read from
US$64.36 – US$79.21 Rising channel, more than +100% a year
Position in that channel
55% 0% at the floor, 100% at the ceiling

Price history, with the path projected 3 months forward

US$20.0US$40.0US$60.0US$80.0May 24Sept 24Jan 25May 25Sept 25Jan 26May 26Sept 26 today BuyTarget Our buy US$63.6 Β· est. 8 Sept 26Our target US$90.9 Β· est. 7 Dec 26
  • Daily close
  • Upper trend line (12 months)
  • Lower trend line (12 months)
  • Dashed after today: projected 3 months
  • Our buy
  • Our target

Our target

No published call today because No plan generated. No alerts are sent. The buy and target below are still this site's read of the fitted channel.

Buy at or below

US$65.02

level as at 17 Sept 2026

Our target

US$92.29

by 16 Dec 2026

Projected move

41.9%

gross, before costs

Price sits between our buy level and our target.

Upper line touches
2
Lower line touches
5
Fit confidence
59%
Fitted
8 Sept 2026

About Marex Group Limited

Marex Group plc, a financial services platform company, provides liquidity, market access, and infrastructure services to clients in the commodity and financial markets in the United Kingdom, the United States, and internationally. It operates through Clearing, Agency and Execution, Market Making, and Hedging and Investment Solutions segments. The company offers execution and clearing services in metals, agricultural products, energy and fixed income, financial securities, digital assets, and equity futures and options; liquidity, execution, and risk management solutions to financial markets. It also provides liquidity to clients in the OTC energy markets; market data, analytics, and market commentary; energy services, including gas, power, environmental, and crude oil markets; and market-making services across commodities markets, such as metals, agricultural products, and energy markets. In addition, the company offers OTC traded hedging and customized OTC derivatives solutions; and risk management solutions across a spectrum of markets, including agriculture, currency, and interest rate markets for trading houses, producers and consumers, and banks and distributors. Further, it engages in the structured notes business, which allows investors to build structured notes across asset classes, including commodities, equities, foreign exchange, and fixed-income products for private banks, independent asset managers, pension funds, and corporates; and a portfolio of structured Notes, including auto-callable, fixed, stability, and credit-linked notes. Additionally, the company offers technology platforms, including Neon, a trading, risk, and data platform; and Agile, a commodity broking platform. Marex Group plc was incorporated in 2005 and is based in London, the United Kingdom.

Sector
Financial Services
Industry
Financial - Capital Markets
CEO
Ian Theo Lowitt
Employees
3,331
Country
GB

https://www.marex.com

Scorecard

Our own pillar scores, computed from the fundamentals below. They are not Morningstar ratings β€” that data is licensed and we do not redistribute it.

Valuation
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Profitability
β€”
Financial health
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Cash generation
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Key statistics

Market cap
US$5.22B
Enterprise value
β€”
Beta
-0.10
Avg volume
900.75K
Revenue per share
β€”
Dividend yield
β€”
52-week range
27.91-75.4
Exchange
NASDAQ

Key ratios

P/E (TTM)
β€”
PEG
β€”
Price / sales
β€”
Price / book
β€”
EV / EBITDA
β€”
Gross margin
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Operating margin
β€”
Net margin
β€”
Current ratio
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Quick ratio
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Debt / equity
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Interest cover
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Income statement

Balance sheet

Cash flow

Trend lines are fitted statistically to past swing highs and lows and projected forward on the assumption the same rhythm continues. It often does not. This is information, not advice.