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Marsh & McLennan Companies Inc.

MMCNYSE
FinancialsInsurance Brokers Website
Alpha Score
33
Poor
Signal SnapshotMarket signals →
Alpha Score
33 · Poor
Alpha Score of 33 reflects weak overall profile with poor momentum, weak value, moderate quality. Based...
Updated May 3
Insiders
No recent signal
No recent open-market insider buying or selling is in the current rollup.
Form 4
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Alpha Score BreakdownHow it works →

Alpha Score of 33 reflects weak overall profile with poor momentum, weak value, moderate quality. Based on 3 of 4 signals — score is capped at 90 until remaining data ingests.

Momentum
20
Poor
Value
37
Weak
Quality
56
Moderate
Sentiment
—
no data
Key StatisticsUpdated Apr 15
P/E Ratio
32.20
Forward P/E
—
PEG Ratio
—
EPS (TTM)
5.39
Dividend Yield
1.94%
Beta
-0.43
Revenue (TTM)
—
Net Margin
15.60%
ROE
28.30%
Debt / Equity
1.50
52W High
$244.27
52W Low
$168.15
Daily CommentaryAI-written, data-grounded

Marsh & McLennan Maintains Steady Performance Amidst Elevated Valuation Metrics

Apr 15, 2026

Marsh & McLennan Companies (MMC) continues to trade near the upper bound of its 52-week range of $168.15 to $244.27. The stock currently commands a P/E ratio of 32.2, reflecting a premium valuation relative to its recent earnings performance. While the company reported a robust year-over-year revenue growth rate of 10.5 percent, earnings per share growth remains more modest at 2.9 percent, resulting in an EPS of $5.39. The firm maintains a solid net margin of 15.6 percent, which supports its Alpha Score quality sub-score of 55.7. This quality metric stands as the strongest component of the overall Alpha Score of 37, contrasting with the lower momentum and value sub-scores of 32.5 and 36.8, respectively. Investors are currently weighing the company's consistent revenue expansion against the pressure of a high earnings multiple in the current financial sector environment. Market participants should monitor whether the company can accelerate earnings growth to justify its current valuation as the firm moves through the remainder of the fiscal quarter.

About Marsh & McLennan Companies Inc.

Marsh & McLennan Companies, Inc. is a leading global professional services firm specializing in risk management, insurance broking, reinsurance, and consulting. The company provides strategic advice and solutions that help organizations manage risk, optimize operations, and enhance workforce effectiveness. Its core operations span two main segments: Risk & Insurance Services, which includes Marsh’s insurance broking and Guy Carpenter’s reinsurance expertise, and Consulting, delivered through Mercer and Oliver Wyman, offering services in health, wealth, and career management, as well as strategic advisory and organizational transformation. Marsh & McLennan is recognized for its significant role in addressing complex business risks and facilitating effective decision-making for clients worldwide. In 2025, it reported robust revenue growth driven by solid performance across all divisions and continued momentum from strategic acquisitions. The firm serves a diverse client base across industries and geographies, underpinning its market significance as a trusted partner in helping organizations navigate evolving risk and regulatory landscapes.

CEO
Mr. John Quinlan Doyle
Employees
90,000
Quick Facts
ExchangeNYSE
SectorFinancials
IndustryInsurance Brokers
Market Cap—
Avg Volume2.53M
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Key Dates

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