Price History
Feb 9, 2026 — Mar 31, 2026Investment Snapshot
- Trading 36% below Graham Number ($12.15) — significant margin of safety
- Piotroski F-Score 2/9 — signs of financial weakness
- ROE of 7.9% — below-average profitability
- Revenue growing at 38% annually
MARA Holdings, Inc. - Common Stock (MARA) is a Financial Services company operating in Finance Services, listed on the NASDAQ , with a market capitalisation of $3.0 billion . Key value metrics: P/E ratio 10.8, P/B ratio 0.85, Piotroski F-Score 2 out of 9 .
Value Score
Key Metrics
Current vs 5-Year Average
Based on 5 years of SEC filingsRevenue & Net Income
Financial Statements
| Metric | FY22 | FY23 | FY24 |
|---|---|---|---|
| Revenue | $X.XB | $X.XB | $X.XB |
| Gross Profit | $X.XB | $X.XB | $X.XB |
| Operating Income | $X.XB | $X.XB | $X.XB |
| Net Income | $X.XB | $X.XB | $X.XB |
| EBITDA | $X.XB | $X.XB | $X.XB |
| Total Assets | $X.XB | $X.XB | $X.XB |
| Total Liabilities | $X.XB | $X.XB | $X.XB |
MARA Holdings, Inc. - Common Stock — Fundamental Analysis Summary
MARA Holdings, Inc. - Common Stock (MARA) is trading 36% below its Graham Number of $12.15 — a significant margin of safety by Benjamin Graham's standard. The stock carries a low trailing P/E ratio of 10.8x.
On financial health, MARA shows a weak Piotroski F-Score of 2/9, a signal of deteriorating financial health, and modest return on equity of 7.9% (sector average: 5.8%), and elevated leverage with a debt-to-equity ratio of 1.04.
StockPik's composite Value Score for MARA is 62/100 — an above-average value rating. The score is built from ten fundamental signals: P/E, P/B, PEG ratio, P/S ratio, return on equity, gross margin, debt-to-equity, current ratio, dividend yield, and Piotroski F-Score.
MARA reports a thin gross margin of 2.5% (sector average: 9.2%) and a modest operating margin of 1.7%.
MARA shows revenue growing at 38% year-over-year, with earnings declining at 342%.