Moelis & Company (MC) Stock Analysis
Educational signal · not a buy or sell recommendation · How to read this
P/E 21.20 means the share price is 21.20 times one year of earnings per share; the S&P 500 usually sits near 20-25. Market cap $4.76B is the value of all shares combined. Beta 1.86: the stock has moved about 86% more than the S&P 500.
For informational purposes only. Not financial advice. Machine-generated analysis by Stock Expert AI — model gemini-2.0-flash, generated May 9, 2026. Editorial oversight is systemic, not page-by-page. Editorially accountable: Sedat ANAK, Founder and Editor-in-Chief. Data sources: Financial Modeling Prep, Yahoo Finance, SEC EDGAR
Quick AnswerMoelis & Company (MC) trades at $64.25 with MoonshotScore 72/100 (Grade A). Moelis & Company is a global investment bank providing advisory services. Market cap: $4.76B, Sector: Financial services.
Price as of Sep 11, 2026 · Last analyzed: May 9, 2026MC stock analysis for 2026: Analysts have set a consensus price target of $73.33 for Moelis & Company, suggesting 14.1% upside from the current price of $64.25. The AI MoonshotScore is 72/100, in the Strong band (65-79) — a research signal, not a recommendation. Key factors: analyst coverage, AI-driven quantitative scoring.
These figures come from statements filed 12 months ago — the most recent this company has published.
MC: 3/3 scored disciplines lean bullish. Dominant signal: Ken Griffin bullish.
How is this calculated? →Strongest side: Business Quality (10/10, Strong). Weakest side: Financial Safety (1/10, Negative).
AI simulations built from the named investors' published principles. Not affiliated with, endorsed by, or the opinion of these individuals. How these lenses are built
Why this analysis is different
- A sector-relative MoonshotScore — five pillars (business quality, financial safety, valuation, growth durability, momentum) re-ranked nightly against the full universe of US-listed common stocks.
- An AI Council read across up to eight perspectives — value, macro, quantitative, and momentum lenses — that shows where they disagree instead of averaging the tension away.
- Figures come straight from FMP and Yahoo Finance filings data. The AI writes the narrative around the numbers — it never edits the numbers.
Moelis & Company (MC) Financial Services Profile
Moelis & Company, founded in 2007, is a global investment bank focusing on advisory services, including M&A and restructuring. With a $4.76B market cap and a 14.5% profit margin, the firm distinguishes itself through strategic alliances and a broad international presence, competing with larger financial institutions in the capital markets sector.
What Is the Investment Thesis for MC?
With a market capitalization of $4.76B and a P/E ratio of 21.20, the company demonstrates financial stability. A key value driver is its high gross margin of 69.3%, indicating efficient operations. Growth catalysts include increasing M&A activity and restructuring deals, driven by evolving economic conditions. The firm's 4.00% dividend yield offers an attractive return to investors. However, potential risks include market volatility and increased competition in the investment banking sector. The company's beta of 1.86 suggests higher volatility compared to the market.
Based on FMP financials and quantitative analysis
MC Key Highlights
Market Cap of $4.76B indicates a strong market valuation and investor confidence.
- P/E Ratio of 21.20 reflects investor expectations of future earnings growth.
- Profit Margin of 14.5% demonstrates effective cost management and profitability.
- Gross Margin of 69.3% highlights the firm's ability to generate revenue efficiently from its advisory services.
- Dividend Yield of 4.00% provides an attractive return for investors, signaling financial stability.
Who Are MC's Competitors?
MC is benchmarked below against 8 industry peers on price, market cap, and our AI MoonshotScore.
| Company | Price | Change | Market Cap | MoonshotScore |
|---|---|---|---|---|
| RJF Raymond James Financial, Inc. | $173.53 | -1.11% | $33.3B | 845-pillar |
| VIRT Virtu Financial, Inc. | $61.77 | -1.78% | $13.2B | 905-pillar |
| HUT Hut 8 Corp. | $90.60 | -5.55% | $10.2B | — |
| SNEX StoneX Group Inc. | $69.34 | +0.39% | $8.24B | 795-pillar |
| BGC BGC Group, Inc. | $12.22 | +0.25% | $5.79B | 765-pillar |
| PIPR Piper Sandler Companies | $76.11 | -1.10% | $5.14B | 745-pillar |
| PJT PJT Partners Inc. | $171.74 | -3.51% | $4.39B | 915-pillar |
| MRX Marex Group plc | $74.09 | -2.15% | $5.33B | 985-pillar |
AI Score by Stock Expert AI · Price data: FMP / Yahoo Finance
What Are MC's Key Strengths?
Strong expertise in M&A and restructuring advisory.
- Global presence with strategic alliances.
- Experienced management team.
- High gross profit margin.
What Are MC's Weaknesses?
Reliance on advisory fees, making revenue susceptible to market fluctuations.
- Smaller scale compared to larger investment banks.
- High beta value indicates higher volatility than the market.
- Dependence on key personnel.
What Could Drive MC Stock Higher?
Potential increase in M&A activity due to favorable economic conditions.
- Strategic alliances driving expansion in key international markets.
- Focus on technology and digital solutions enhancing client service capabilities.
- Growing demand for ESG advisory services.
What Are the Key Risks for MC?
Economic downturns impacting M&A activity and advisory fees.
- Increased competition from larger investment banks.
- Regulatory changes affecting the financial industry.
- Market volatility impacting financial performance.
What Are the Growth Opportunities for MC?
- Expansion in Emerging Markets: Moelis & Company can pursue growth by expanding its presence in emerging markets, particularly in Asia and South America. These regions offer significant opportunities for M&A and restructuring advisory services due to rapid economic growth and increasing corporate activity. By establishing strategic partnerships and local offices, Moelis & Company can tap into these markets and increase its revenue streams. The market size for advisory services in emerging markets is projected to grow at a rate of 8-10% annually over the next five years.
- Increased Focus on Restructuring Advisory: With potential economic downturns on the horizon, there is an anticipated rise in companies requiring restructuring advisory services. Moelis & Company can capitalize on this trend by strengthening its restructuring team and developing specialized solutions for distressed companies. The market for restructuring advisory is expected to grow significantly, presenting a substantial growth opportunity for the firm. By proactively positioning itself as a leader in restructuring, Moelis & Company can attract a larger share of this market.
- Leveraging Technology and Digital Solutions: Investing in technology and digital solutions can enhance Moelis & Company's efficiency and client service capabilities. By implementing advanced data analytics and AI-driven tools, the firm can provide more insightful and timely advice to its clients. This can lead to increased client satisfaction and repeat business. The market for fintech solutions in the financial advisory sector is rapidly expanding, offering Moelis & Company a competitive edge if it embraces these technologies.
- Strategic Acquisitions and Alliances: Moelis & Company can pursue growth through strategic acquisitions and alliances with complementary businesses. This can expand its service offerings and geographic reach. For example, acquiring a boutique investment bank with expertise in a specific industry or region can provide Moelis & Company with access to new clients and markets. Strategic alliances can also enhance the firm's capabilities and market position, creating synergies and driving revenue growth.
- Capitalizing on ESG Advisory Services: As environmental, social, and governance (ESG) factors become increasingly important to investors and companies, Moelis & Company can capitalize on this trend by offering specialized ESG advisory services. This includes advising companies on sustainable business practices, ESG reporting, and impact investing. The market for ESG advisory services is growing rapidly, presenting a significant opportunity for Moelis & Company to differentiate itself and attract clients who prioritize sustainability. By developing expertise in ESG advisory, the firm can enhance its reputation and drive revenue growth.
What Are MC's Competitive Advantages?
- Strong reputation and brand recognition in the investment banking industry.
- Global presence with strategic alliances in key markets.
- Expertise in complex M&A and restructuring transactions.
- Experienced team of investment banking professionals.
What Does MC Do?
Moelis & Company, established in 2007, has rapidly grown into a prominent global investment banking advisory firm. Founded with a vision to provide conflict-free advice, the firm specializes in mergers and acquisitions (M&A), recapitalizations and restructurings, and capital markets transactions. Moelis & Company serves a diverse range of clients, including public multinational corporations, middle-market private companies, financial sponsors, entrepreneurs, governments, and sovereign wealth funds. The company operates across North and South America, Europe, the Middle East, Asia, and Australia, demonstrating a significant global footprint. Moelis & Company differentiates itself through its strategic alliances, including partnerships with Alfaro, Dávila y Scherer, S.C. in Mexico and MA Moelis Australia. These alliances enhance the firm's regional expertise and market access. The company's headquarters are located in New York City. Since its inception, Moelis & Company has focused on delivering tailored advisory solutions, leveraging its expertise to navigate complex financial landscapes and provide strategic guidance to its clients. The firm's commitment to client service and its global reach have solidified its position in the competitive investment banking industry.
What Products and Services Does MC Offer?
- Provides mergers and acquisitions (M&A) advisory services.
- Offers recapitalization and restructuring advice to companies.
- Assists with capital markets transactions, including debt and equity offerings.
- Advises public multinational corporations on financial strategies.
- Serves middle-market private companies with tailored financial solutions.
- Provides financial guidance to financial sponsors and entrepreneurs.
- Offers advisory services to governments and sovereign wealth funds.
How Does MC Make Money?
- Generates revenue primarily through advisory fees for M&A transactions.
- Earns fees from restructuring and recapitalization advisory services.
- Collects fees from advising on capital markets transactions.
- Operates on a global scale, serving clients across multiple regions.
What Industry Does MC Operate In?
Moelis & Company operates within the financial capital markets industry, which is characterized by intense competition and cyclical trends. The industry is influenced by global economic conditions, regulatory changes, and market volatility. Moelis & Company competes with larger investment banks and boutique advisory firms. The demand for M&A and restructuring advisory services is a key driver for the industry. Moelis & Company's strategic alliances and global presence position it to capitalize on international opportunities. The firm's focus on advisory services differentiates it from competitors that offer a broader range of financial products.
Who Are MC's Key Customers?
- Public multinational corporations seeking M&A advice.
- Middle-market private companies requiring financial restructuring.
- Financial sponsors looking for investment opportunities.
- Governments and sovereign wealth funds needing financial advisory services.
Research confidence
Broad, current evidence sits behind this analysis.
- ● Scored on 100% of our measures
- ● Price is current
- ● Latest filing 43 days ago
- ● Covered by analysts
Why 72?
Measured against companies in the same sector. The figures below are the factor contributions the scoring engine itself produced.
What is helping
- +0.78 Return on invested capital (Business Quality)
- +0.78 Return on equity (Business Quality)
- +0.78 Return on assets (Business Quality)
What is holding it back
- -0.50 Volatility vs the market (Financial Strength)
- -0.48 5-year revenue per share (Growth)
- -0.36 Price to book (Valuation)
Contribution = how far the company sits from its sector on that measure, weighted by how much the pillar counts. Not investment advice. How the score is built →
MoonshotScore History
Recorded daily since 2026-08-23 · 19 snapshots
| 2026-08-23 | 79 |
| 2026-08-26 | 77 |
| 2026-08-29 | 78 |
| 2026-09-01 | 78 |
| 2026-09-04 | 78 |
| 2026-09-07 | 80 |
| 2026-09-10 | 76 |
What changed?
The grade moved from 79 to 76 (-3).
What moved it up or down:
- -14 Growth
- -12 Momentum
Held back by:
- +5 Valuation
- +1 Financial Strength
Over the same 18 days the stock moved -4.2%.
Company Profile
Moelis & Company operates in the Financial - Capital Markets industry within the Financial Services sector. It is headquartered in New York City, US. The company is led by CEO Navid Mahmoodzadegan. MC has traded publicly since 2014.
Moelis & Company Financial Trajectory
Moelis & Company (MC) reported $409.4M in revenue for Q2 FY2026, reflecting 28.0% growth compared to the prior quarter. The company recorded net income of $48.6M, with diluted EPS of $0.61. Quarter-over-quarter revenue has been mixed, typical for a mid-cap company operating in Financial Services. Across the four most recent quarters, MC averaged $0.72 in diluted EPS.
How Moelis & Company Is Valued
Moelis & Company carries a market capitalization of $4.76B, placing it in the mid-cap category. Analyst price targets span from $60.00 to $85.00, with a consensus of $73.33. At the current price of $64.25, that implies approximately 14% upside potential. Relative to its peer group, MC's quantitative score of 72/100 is below the peer average of 85/100.
Key Financial Metrics
Return on equity for Moelis & Company stands at 43.6%, a gauge of how efficiently it converts shareholder capital into profit. Return on assets is 16.2%, showing how much profit it generates from its asset base. MC trades at a trailing price-to-earnings ratio of 21.20, above the Financial Services sector average of ~17.50x. Its free cash flow yield is 8.7%, a gauge of the cash the business throws off relative to its market value. A current ratio of 20.27 indicates the company holds enough short-term assets to cover its near-term obligations. Its earnings yield is 4.5%, the inverse of the P/E and a quick read on earnings relative to price.
Financial Health
Moelis & Company's Piotroski F-Score is 7/9, a 9-point checklist of profitability, leverage and efficiency — signaling solid underlying fundamentals. Its Altman Z-Score of 5.02 places it in the safe zone, indicating low near-term bankruptcy risk.
Earnings Track Record
Moelis & Company has beaten Wall Street's EPS estimate in 7 of its last 8 reported quarters — a consistent record of delivering on expectations. Reported results have landed about 42.9% above estimates on average.
Insider Activity
Over the past six months, Moelis & Company insiders filed 72 SEC Form 4 transactions — 2 sales and 70 purchases. On net that is roughly 4K shares acquired (about $82K) — insiders putting money in tends to read as conviction.
MC Financials
Fundamental Snapshot
Based on FMP financials and quantitative analysis · FY 2025
Bull Case vs Bear Case
Bull Case
- Strong expertise in M&A and restructuring advisory.
- Global presence with strategic alliances.
- Experienced management team.
- High gross profit margin.
Bear Case
- Reliance on advisory fees, making revenue susceptible to market fluctuations.
- Smaller scale compared to larger investment banks.
- High beta value indicates higher volatility than the market.
- Dependence on key personnel.
AI-generated arguments based on insider flow, news sentiment and technicals — not financial advice · September 2026
Recent Quarterly Results
| Quarter | Revenue | Net Income | EPS |
|---|---|---|---|
| Q2 FY2026 | $409M | $49M | $0.61 |
| Q1 FY2026 | $320M | $38M | $0.48 |
| Q4 FY2025 | $488M | $88M | $1.10 |
| Q3 FY2025 | $357M | $53M | $0.68 |
Q2 FY2026 · filed 30 Jul 2026 · SEC EDGAR →
Based on FMP financials and quantitative analysis
MC Latest News
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Microchip Technology Incorporated (MCHP) Presents at Citi's 2026 Global TMT Conference Transcript
All Articles on Seeking Alpha · Sep 10, 2026
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World’s largest contract chipmaker TSMC sees August revenue surge over 53% to record high
CNBC · Sep 10, 2026
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McCormick & Company, Incorporated (MKC) Presents at Barclays 19th Annual Global Consumer Staples Conference - Slideshow
All Articles on Seeking Alpha · Sep 10, 2026
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Spotting Winners: Moelis (NYSE:MC) And Investment Banking & Brokerage Stocks In Q2
Yahoo! Finance: MC News · Sep 9, 2026
MC Analyst Consensus
Consensus Rating
Aggregated Buy/Hold/Sell recommendations collected by Financial Modeling Prep for MC.
Price Targets
Median: $75.00 (+14.1% from current price)
Source: FMP analyst consensus · as of Aug 25, 2026 · an estimate, not advice
MC MoonshotScore
What does this score mean?
MoonshotScore is Stock Expert AI's proprietary 0-100 research rating, not a buy or sell recommendation. MC scores 72/100 (Grade A): the number comes from the five-pillar engine (business quality, financial safety, valuation, growth durability, momentum), re-ranked daily against sector peers.
Latest News
Microchip Technology Incorporated (MCHP) Presents at Citi's 2026 Global TMT Conference Transcript
World’s largest contract chipmaker TSMC sees August revenue surge over 53% to record high
McCormick & Company, Incorporated (MKC) Presents at Barclays 19th Annual Global Consumer Staples Conference - Slideshow
Spotting Winners: Moelis (NYSE:MC) And Investment Banking & Brokerage Stocks In Q2
Leadership: Navid Mahmoodzadegan
Managing Director and Co-Founder
Navid Mahmoodzadegan is a Managing Director and Co-Founder of Moelis & Company. Prior to co-founding Moelis & Company, Mr. Mahmoodzadegan was Head of Global Mergers & Acquisitions at UBS Investment Bank and also served as a member of the UBS Investment Bank Board. He joined UBS in February 2001. Prior to joining UBS, Mr. Mahmoodzadegan was at Donaldson, Lufkin & Jenrette since 1993. He holds a B.S. in Economics from the Wharton School of the University of Pennsylvania.
Track Record: As a Co-Founder and Managing Director, Navid Mahmoodzadegan has been instrumental in the growth and success of Moelis & Company. Under his leadership, the firm has established a strong global presence and built a reputation for providing high-quality advisory services. He has overseen numerous high-profile M&A transactions and played a key role in the firm's strategic decision-making.
Common Questions About MC (Financial Services)
What does the AI Score mean for MC?
MC holds an AI Score of 72/100 (Grade: A). This is an educational research signal, not a buy or sell recommendation. The number comes from the five-pillar engine (business quality, financial safety, valuation, growth durability, momentum), re-ranked daily against sector peers. Moelis & Company is a global investment bank providing advisory services.
Is MC a good stock?
Stock Expert AI does not rate MC buy, sell or hold. Moelis & Company carries a MoonshotScore of 72/100 on the five-pillar engine, a research rating against its peers. Whether it fits is your call: check what it sells, whether it earns, what the price assumes, and what would prove you wrong.
What do analysts say about MC stock?
Analyst consensus on Moelis & Company (MC) stock reflects a generally positive outlook, driven by the firm's strong advisory business and global presence. Key valuation metrics, such as the P/E ratio of 21.20 and a dividend yield of 4.00%, are closely monitored.
What are the key factors to evaluate for MC?
Moelis & Company (MC) holds an AI score of 72/100 (high). P/E: 21.20x vs the S&P 500's ~20-25x. Analysts target $73.33 (+14%). Not financial advice.
How frequently does MC data refresh on this page?
MC's price was last updated on Sep 11, 2026 and refreshes on page view during U.S. market hours; the quote is a provider snapshot, not an exchange feed. Fundamentals update after quarterly filings; the MoonshotScore recalculates nightly; news aggregates continuously.
What has driven MC's recent stock price performance?
Moelis & Company (MC) moves on earnings results, analyst revisions, sector rotation, and market sentiment. Notable catalyst: Strong expertise in M&A and restructuring advisory. See the News tab for the latest drivers. Past performance does not predict future results.
Should investors consider MC overvalued or undervalued right now?
Moelis & Company (MC) trades at 21.20x earnings. Analysts target $73.33 (+14%) — upside seen. Compare P/E, P/S, and EV/EBITDA against sector peers for a full view.
Can I buy fractional shares of MC?
Yes, most major brokerages offer fractional shares of Moelis & Company (MC) with no minimum purchase requirement. This means you can invest any dollar amount regardless of the share price. Check your brokerage platform for specific terms, fees, and fractional share availability.
How can I track MC's earnings and financial reports?
Moelis & Company (MC) reports quarterly earnings approximately 4-6 weeks after each fiscal quarter ends. You can track earnings dates, revenue and EPS estimates, and actual results on this page's Financials tab. Earnings surprises (beats or misses) often cause significant short-term price moves. Your brokerage can send alerts for MC earnings announcements.
Disclaimer: This content is for informational purposes only and does not constitute investment advice. Always do your own research and consult a financial advisor.
Official Resources
Data provided for informational purposes only.
- Information is based on available data and may be subject to change.
- Financial metrics are as of the latest available reporting period.