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MORNMORN

$215.85

-0.40
arrow_drop_down0.18%
Current Market·update13 Nov 2025 17:41
Day's Range
213.68-217.1983
52-week Range
202.89-365

Chart

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Performance

Key Stats

Next Earnings Date2025-10-29
Next Earnings TimeAfter Market Close
Volume90.91K
Average Volume 30d416.29K

AI MORN Summary

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37.3
Valuation (P/E Ratio)
TTM P/E is higher than historical average, consider future growth.
📈
0.152
EPS Growth (YoY)
YoY EPS growth is not directly available, but recent quarterly EPS shows growth (e.g., Q2 2025 vs Q2 2024).
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AI Scoreboard

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Overall Analysis

Hold
75

Morningstar (MORN) presents a mixed investment profile. Fundamentally, it shows solid profitability and revenue growth but with a high P/E ratio. Thematic exposure is strong in data and analytics, but technical indicators suggest caution due to recent underperformance and mixed short-term signals. It's a company with a stable business model but faces valuation and potential market headwinds.

Strong

Thematic

80

Morningstar operates in the essential sectors of investment insights, data, and analytics, which are crucial for informed decision-making in financial markets. Its diversified services cater to both retail and institutional investors, including growing areas like private capital markets (PitchBook) and ESG data (Sustainalytics).

Neutral

Fundamental

70

Morningstar shows robust revenue and net income growth in its latest reported annual periods. Profitability, indicated by net margin, has significantly improved from prior years. The company maintains a manageable debt level relative to its assets and cash flow, though the P/E ratio is on the higher side, suggesting significant growth is already priced in.

Neutral

Technical

55

Morningstar's stock has experienced a significant decline over the past year, indicated by its negative 1-year performance (-14.21%). While short-term indicators on the 1-minute and 5-minute charts show mixed signals with some 'Buy' recommendations from moving averages, longer-term timeframes (1h, 2h, 4h, 1d) predominantly show 'Sell' signals or cautionary 'Neutral' ratings. RSI and Momentum indicators are mixed across timeframes, not providing a clear directional bias.

FactorScore
Data & Analytics Services90
Private Capital Markets Data85
ESG Integration80
Financial Advisory Tools75
Credit Ratings and Analytics70
FactorScore
Valuation50
Profitability75
Growth70
Balance Sheet Health70
Cash Flow80
Dividend Yield40
FactorScore
Short-Term Trend (1m, 5m)65
Medium/Long-Term Trend (1h, 4h, 1d)40
Momentum Indicators55
Performance vs. Peers30
Support/Resistance50

AI Investing Checklist

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Bullish Points (7)

Earnings Performance chevron_right

Strong Earnings Beat

The company's Q2 2025 Earnings Per Share (EPS) estimate was $2.06, and the reported EPS was $2.23, a positive surprise of 8.25%. This indicates strong profitability execution.

Growth and Profitability chevron_right

Improving Net Margin

The net margin for 2024Q4 was 19.8%, showing significant improvement from 13.5% in 2025Q1 and 6.9% in 2023Q4, suggesting increasing operational efficiency and profitability.

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Bearish Points (7)

Performance chevron_right

Recent Underperformance

The stock has experienced a 1-month performance of -10.23% and a 6-month performance of -16.28%, indicating recent weakness and a negative short-to-medium term trend.

Valuation chevron_right

High Quarterly P/E Ratio

The P/E ratio for 2025Q1 is 160.9, which is very high and suggests that the stock may be overvalued based on current earnings, especially when compared to historical annual P/E ratios.

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Calendar

July 2025

31

Next Earnings Date

EPS Est.
Revenue Est.

H: $2.35

A: $2.19

L: $2.04

H: 609.00M

A: 604.57M

L: 600.13M

October 2025

3

Ex-Dividend Date

October 2025

31

Next Dividend Date

Profile

Employees (FY)11.1K
ISINUS6177001095
FIGI-

Morningstar, Inc. provides independent investment insights in the United States, Asia, Australia, Canada, Continental Europe, the United Kingdom, and internationally. The company operates in five segments: Morningstar Data and Analytics; PitchBook; Morningstar Wealth; Morningstar Credit; and Morningstar Retirement. The company offers managed investments, including mutual funds, ETFs, separate accounts, collective investment trusts, model portfolios, equities, and fixed income securities; Morningstar Direct is an investment-analysis and reporting application; Morningstar Advisor Workstation, a suite of tools to provide advice to clients. It also provides PitchBook that offers data and research covering the private capital markets comprising venture capital, private equity, private credit and bank loans, and merger and acquisition activities through the PitchBook platform; model portfolios and wealth platforms; Morningstar Model Portfolios, an advisor service with model portfolios for fee-based independent financial advisors; and Morningstar.com that discovers, evaluates, and monitors stocks, ETFs, and mutual funds, as well as build and monitor portfolios and markets. In addition, the company offers credit ratings, research, data, and credit analytics solutions; Morningstar DBRS which offers securitizations and other structured finance instruments, such as asset-backed securities, residential and commercial mortgage-backed securities, and collateralized loan obligations. Further, it provides managed retirement accounts, fiduciary services, Morningstar Lifetime Allocation funds, and custom models; Morningstar Sustainalytics provides environmental, social and governance data, research, and ratings; and Morningstar Indexes offers market indexes used for performance benchmarks and as the basis for investment products and other portfolio strategies. Morningstar, Inc. was incorporated in 1984 and is headquartered in Chicago, Illinois.

Seasonals

2025
2024
2023
2022
2021

Price Target

337.67 USD

The 39 analysts offering 1 year price forecasts for MORN have a max estimate of 350.00 and a min estimate of 320.00.

Debt Level and Coverage

Debt
Free cash flow
Cash & equivalents

Financial Position Analysis

Assets
Liabilities

Ownership

Free Float shares
24.7M (58.39%)
Closely held shares
17.6M (41.61%)
42.2M
Free Float shares
24.7M (58.39%)
Closely held shares
17.6M (41.61%)

Capital Structure

Market cap
11.75B
Debt
904M
Minority interest
0.00
Cash & equivalents
502.7M
Enterprise value
12.15B

Valuation - Summary

Market Cap
11.7B
Net income
315M(2.68%)
Revenue
1.74B(14.83%)
11.7B
Market Cap
11.7B
Net income
315M(2.68%)
Revenue
1.74B(14.83%)
Price to earning ratio (P/E)37.30x
Price to sales ratio (P/S)6.70x

Valuation - Ratios

P/E
P/S

Revenue to Profit Conversion

Revenue
2.28B
COGS
895.7M
Gross Profit
1.38B
OpEx
958.6M
Operating Income
420.8M
Other & Taxes
50.9M
Net Income
369.9M

Balance Sheet

Total assets
Total liabilities
Liabilities to assets %

Income Statement

Revenue
Net Income
Net Margin

Cash Flow

Operating Cash Flow
Investing Cash Flow
Financing Cash Flow
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