Marsh & McLennan (MMC) stock forecast for 2025. Forecast tables and graphs.







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Marsh & McLennan (MMC) stock forecast for 2025

Updated: December 10, 2024 (15:06)

Sector: Financial

The share price of Marsh & McLennan Companies, Inc. (MMC) now

What analysts predict: $231.38
52-week High/Low: $235.5 / $181.63

50/200 Day Moving Average: $224.6 / $215.26

This figure corresponds to the Average Price over the previous 50/200 days. For Marsh & McLennan stocks, the 50-day moving average is the resistance level today.

For Marsh & McLennan stocks, the 200-day moving average is the resistance level today.

Are you interested in Marsh & McLennan Companies, Inc. stocks and want to buy them, or are they already in your portfolio? If yes, then on this page you will find useful information about the dynamics of the Marsh & McLennan stock price in 2025. How much will one Marsh & McLennan share be worth in 2025? Is it worth taking profit / loss on MMC stock now or waiting? What are analysts' forecasts for Marsh & McLennan stock?

We forecast Marsh & McLennan stock performance using neural networks based on historical data on MMC stocks. Also, when forecasting, technical analysis tools are used, world geopolitical and news factors are taken into account. This corporation stock prediction results are shown below and presented as a graph, table and text information.

Marsh & McLennan Companies, Inc. stock forecasts are adjusted once a day based on the closing price of the previous trading day.

The minimum target price for Marsh & McLennan analysts is $231.38. Today 200 Day Moving Average is the support level (215.26 $). 50 Day Moving Average is the support level (224.6 $).




Historical and forecast chart of Marsh & McLennan Companies, Inc. stock

The chart below shows the historical price of Marsh & McLennan stock and a prediction chart for the next year. For convenience, prices are divided by color. Forecast prices include: Optimistic Forecast, Pessimistic Forecast, and Weighted Average Best Forecast. Detailed values for the MMC stock price can be found in the table below.


Marsh & McLennan Companies, Inc. is a global professional services firm headquartered in New York City specializing in brokerage insurance, risk management, reinsurance, talent management, investment consulting and management consulting. The four main operating companies are Guy Carpenter, Marsh, Mercer and Oliver Wyman Group. Marsh & McLennan ranked # 212 on the 2018 Fortune 500, # 24 on the annual Fortune list and # 458 on the 2017 Forbes Global 2000. The revenue of Marsh & McLennan in 2016 amounted to $ 13.2 billion and took 1st place in the rating of the largest insurance brokers in the world Business Insurance.

Trending Themes in the Financial Sector

Marsh & McLennan (MMC) Forecast for 2025

Month Target Pes. Opt. Vol., %
Jan 226.02 216.98 228.28 4.95 %
Feb 231.00 226.38 235.62 3.92 %
Mar 232.04 226.24 240.16 5.80 %
Apr 228.67 225.47 237.25 4.96 %
May 233.25 226.71 240.48 5.72 %
Jun 230.80 224.91 235.64 4.55 %
Jul 228.83 221.51 233.98 5.33 %
Aug 226.32 220.55 234.92 6.12 %
Sep 223.71 219.13 230.54 4.95 %
Oct 215.55 213.29 222.45 4.12 %
Nov 209.41 205.43 214.96 4.43 %
Dec 206.68 203.79 212.37 4.04 %

Marsh & McLennan information and performance

Marsh & McLennan Address

1166 AVENUE OF THE AMERICAS, NEW YORK, NY, US

Market Capitalization: 107 148 083 000 $

Market capitalization of the Marsh & McLennan Companies, Inc. is the total market value of all issued shares of a company. It is calculated by the formula multiplying the number of MMC shares in the company outstanding by the market price of one share.

EBITDA: 7 246 000 000 $

EBITDA of Marsh & McLennan is earnings before interest, income tax and depreciation of assets.

PE Ratio: 26.9

P/E ratio (price to earnings) - shows the ratio between the price of a share and the company's profit

PEG Ratio: 2.402

Price/earnings to growth

DPS: 3.05

Dividend Per Share is a financial indicator equal to the ratio of the company's net profit available for distribution to the annual average of ordinary shares.

DY: 0.0145

Dividend yield is a ratio that shows how much a company pays in dividends each year at the stock price.

EPS: 8.11

EPS shows how much of the net profit is accounted for by the common share.

Quarterly Earnings Growth YOY: 0.027
Quarterly Revenue Growth YOY: 0.059
Trailing PE: 26.9

Trailing P/E depends on what has already been done. It uses the current share price and divides it by the total earnings per share for the last 12 months.

Forward PE: 23.53

Forward P/E uses projections of future earnings instead of final numbers.

EV To Revenue: 5.16

Enterprise Value (EV) /Revenue

EV To EBITDA: 17.99

The EV / EBITDA ratio shows the ratio of the cost (EV) to its profit before tax, interest and amortization (EBITDA).

Shares Outstanding: 491122000

Number of issued ordinary shares

Shares Float: N/A

Number of freely tradable shares

Shares Short Prior Month: N/A

Shares Short Prior Month - the number of shares in short positions in the last month.

Short Ratio: N/A
Percent Insiders: N/A
Percent Institutions: N/A

Marsh & McLennan price target for 2025 by month


Target values for the price of one Marsh & McLennan share for Jan 2025.

The weighted average target price per Marsh & McLennan share in Jan 2025 is: 226.02.
In Jan, the Positive dynamics for Marsh & McLennan Companies, Inc. shares will prevail with possible monthly volatility of 4.950% volatility is expected.
Pessimistic target level: 216.98
Optimistic target level: 228.28

Target values for the price of one Marsh & McLennan share for Feb 2025.

The weighted average target price per Marsh & McLennan share in Feb 2025 is: 231.00.
In Feb, the Positive dynamics for Marsh & McLennan Companies, Inc. shares will prevail with possible monthly volatility of 3.922% volatility is expected.
Pessimistic target level: 226.38
Optimistic target level: 235.62

Target values for the price of one Marsh & McLennan share for Mar 2025.

The weighted average target price per Marsh & McLennan share in Mar 2025 is: 232.04.
In Mar, the Positive dynamics for Marsh & McLennan Companies, Inc. shares will prevail with possible monthly volatility of 5.797% volatility is expected.
Pessimistic target level: 226.24
Optimistic target level: 240.16

Target values for the price of one Marsh & McLennan share for Apr 2025.

The weighted average target price per Marsh & McLennan share in Apr 2025 is: 228.67.
In Apr, the Negative dynamics for Marsh & McLennan Companies, Inc. shares will prevail with possible monthly volatility of 4.964% volatility is expected.
Pessimistic target level: 225.47
Optimistic target level: 237.25

Target values for the price of one Marsh & McLennan share for May 2025.

The weighted average target price per Marsh & McLennan share in May 2025 is: 233.25.
In May, the Positive dynamics for Marsh & McLennan Companies, Inc. shares will prevail with possible monthly volatility of 5.723% volatility is expected.
Pessimistic target level: 226.71
Optimistic target level: 240.48

Target values for the price of one Marsh & McLennan share for Jun 2025.

The weighted average target price per Marsh & McLennan share in Jun 2025 is: 230.80.
In Jun, the Negative dynamics for Marsh & McLennan Companies, Inc. shares will prevail with possible monthly volatility of 4.554% volatility is expected.
Pessimistic target level: 224.91
Optimistic target level: 235.64

Target values for the price of one Marsh & McLennan share for Jul 2025.

The weighted average target price per Marsh & McLennan share in Jul 2025 is: 228.83.
In Jul, the Negative dynamics for Marsh & McLennan Companies, Inc. shares will prevail with possible monthly volatility of 5.330% volatility is expected.
Pessimistic target level: 221.51
Optimistic target level: 233.98

Target values for the price of one Marsh & McLennan share for Aug 2025.

The weighted average target price per Marsh & McLennan share in Aug 2025 is: 226.32.
In Aug, the Negative dynamics for Marsh & McLennan Companies, Inc. shares will prevail with possible monthly volatility of 6.117% volatility is expected.
Pessimistic target level: 220.55
Optimistic target level: 234.92

Target values for the price of one Marsh & McLennan share for Sep 2025.

The weighted average target price per Marsh & McLennan share in Sep 2025 is: 223.71.
In Sep, the Negative dynamics for Marsh & McLennan Companies, Inc. shares will prevail with possible monthly volatility of 4.949% volatility is expected.
Pessimistic target level: 219.13
Optimistic target level: 230.54

Target values for the price of one Marsh & McLennan share for Oct 2025.

The weighted average target price per Marsh & McLennan share in Oct 2025 is: 215.55.
In Oct, the Negative dynamics for Marsh & McLennan Companies, Inc. shares will prevail with possible monthly volatility of 4.118% volatility is expected.
Pessimistic target level: 213.29
Optimistic target level: 222.45

Target values for the price of one Marsh & McLennan share for Nov 2025.

The weighted average target price per Marsh & McLennan share in Nov 2025 is: 209.41.
In Nov, the Negative dynamics for Marsh & McLennan Companies, Inc. shares will prevail with possible monthly volatility of 4.433% volatility is expected.
Pessimistic target level: 205.43
Optimistic target level: 214.96

Target values for the price of one Marsh & McLennan share for Dec 2025.

The weighted average target price per Marsh & McLennan share in Dec 2025 is: 206.68.
In Dec, the Negative dynamics for Marsh & McLennan Companies, Inc. shares will prevail with possible monthly volatility of 4.039% volatility is expected.
Pessimistic target level: 203.79
Optimistic target level: 212.37



Marsh & McLennan (MMC) stock dividend

Marsh & McLennan last paid dividends on 10/04/2024. The next scheduled payment will be on 11/15/2024. The amount of dividends is $3.05 per share. If the date of the next dividend payment has not been updated, it means that the issuer has not yet announced the exact payment. As soon as information becomes available, we will immediately update the data. Bookmark our portal to stay updated.

Last Split Factor:

Last Split Date: 01/01/1970

Splitting of shares is an increase in the number of securities of the issuing company circulating on the market due to a decrease in their value at constant capitalization.

For example, a 5: 1 ratio means that the value of one share will decrease 5 times, the total amount will increase 5 times. It is important to understand that this procedure does not change the capitalization of the company, as well as the total value of assets held in private hands.


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