Monro, Inc. (MNRO) Stock Price & Analysis
Monro, Inc. (MNRO) fell 0.14% to USD 14.66 as of June 9, 2026 at 23:52 UTC, according to Nexqual real-time market data.
MNRO last closed at USD 14.68; the session ranged USD 14.5–15.21 on volume of 1,229,786 shares. Market capitalization is $440.17M, with a 52-week range of USD 12.26–23.91 (NMS). Source: Nexqual, June 9, 2026 at 23:52 UTC.
Key Statistics (as of June 9, 2026 at 23:52 UTC)
| Price | USD 14.66 |
|---|---|
| Change | ▼ 0.14% (down) |
| Previous Close | USD 14.68 |
| Open | USD 14.93 |
| Day Range | USD 14.5 – 15.21 |
| 52-Week Range | USD 12.26 – 23.91 |
| Volume | 1,229,786 shares |
| Market Cap | $440.17M |
| Exchange | NMS |
Technical Analysis (MNRO)
Nexqual's technical model rates MNRO "SELL" based on 1 bullish and 5 bearish signals across 124 daily candles, as of June 9, 2026 at 23:52 UTC.
| Overall Signal | SELL |
|---|---|
| RSI (14) | 35.33 (neutral) |
| vs SMA50 | Below (USD 16.46) |
| MACD | -0.5 (negative) |
Analyst Ratings (MNRO)
Wall Street analysts rate MNRO "Buy" based on 4 analysts, with a mean price target of USD 24.38 (range USD 17.5–40), per Nexqual as of June 9, 2026 at 23:52 UTC.
| Consensus Rating | Buy |
|---|---|
| Analyst Count | 4 |
| Mean Target | USD 24.38 |
| High Target | USD 40 |
| Low Target | USD 17.5 |
| Buy / Hold / Sell | 2 / 3 / 0 |
Earnings (MNRO)
| Next Earnings Date | 2026-07-29 |
|---|---|
| EPS Estimate | USD 0.07 |
| Revenue Estimate | $287.73M |
Recent Earnings History
| Quarter | Actual vs Estimate |
|---|---|
| 2026-03-31 | USD -0.16 vs est -0.05 ▼ miss |
| 2025-12-31 | USD 0.16 vs est 0.14 ▲ beat |
| 2025-09-30 | USD 0.21 vs est 0.18 ▲ beat |
| 2025-06-30 | USD 0.22 vs est 0.15 ▲ beat |
Source: Nexqual, June 9, 2026 at 23:52 UTC.
Financials & Fundamentals (MNRO)
| Total Revenue | $1.16B |
|---|---|
| Revenue Growth (YoY) | -7.20% |
| Gross Margin | +35.02% |
| Operating Margin | +5.54% |
| Profit Margin | +0.19% |
| ROE | +0.36% |
| Debt / Equity | 82.15 |
| Current Ratio | 0.46 |
| Total Cash | $14.63M |
| Total Debt | $485.90M |
| Free Cash Flow | $76.94M |
Source: Nexqual, June 9, 2026 at 23:52 UTC.
Financial Health Score (MNRO)
Nexqual rates Monro, Inc.'s overall financial health "Mixed" across five dimensions, as of June 9, 2026 at 23:52 UTC.
| Growth | Weak — Revenue -3% YoY (annual), declining |
|---|---|
| Profitability | Solid — Gross margin 35%, operating 6% |
| Balance Sheet | Weak — $15M cash vs $486M debt |
| Cash Flow | Solid — FCF $77M, 7% margin |
| Efficiency | Weak — ROE 0%, ROA 1.4% |
Ownership (MNRO)
| Insider Ownership | +2.41% |
|---|---|
| Institutional Ownership | +128.83% |
| Shares Outstanding | 30.03M |
| Float | 27.85M |
| Short % of Float | +27.88% |
Source: Nexqual, June 9, 2026 at 23:52 UTC.
Leadership (MNRO)
Monro, Inc. is led by Peter D. Fitzsimmons (age 68), CEO, President & Director, per Nexqual as of June 9, 2026 at 23:52 UTC.
| CEO, President & Director | Peter D. Fitzsimmons (age 68) |
|---|---|
| Executive VP of Finance, CFO & Treasurer | Brian J. D'Ambrosia (age 51) |
| Senior Vice President of Operations | Nicholas P. Hawryschuk |
| Vice President of Investor Relations | Felix Veksler |
| Vice President of Marketing | Tim Ferrell |
Major Backers & Investors (MNRO)
Notable institutional backers of Monro, Inc. include Icahn Carl C, Gamco Investors, Inc ET AL, Adage Capital Partners GP L.L.C., according to Nexqual as of June 9, 2026 at 23:52 UTC.
Active Investors
| Investor | Stake |
|---|---|
| Icahn Carl C | 16.91% |
| Gamco Investors, Inc ET AL | 8.39% |
| Adage Capital Partners GP L.L.C. | 5.16% |
| Morgan Stanley | 4.94% |
Index Funds (Passive)
| Fund | Stake |
|---|---|
| BlackRock | 24.12% |
| Vanguard Group | 8.3% |
| State Street | 5.49% |
| Dimensional Fund Advisors | 4.77% |
| BNY Mellon | 3.3% |
| Nuveen | 3.28% |
Source: Nexqual, June 9, 2026 at 23:52 UTC.
From Monro, Inc.'s Latest SEC 10-K Filing (filed 2026-05-27)
Key Strengths & Strategy (as disclosed to the SEC)
- We also select and purchase parts (including oil) and supplies for all Company-operated stores on a centralized basis through an automatic replenishment system based on operational data we collect from stores daily which allows us to control store inventory on a near real-time basis.
- We also believe our ability to negotiate with our vendor partners allows us to ensure we are receiving competitive pricing and terms as well as minimize the margin impact of economic pressures such as tariffs, inflation, and supply chain disruptions.
Partnerships
- We also entered into additional agreements with ATD, including a managed services agreement, under which ATD provides Table of Contents BUSINESS category management, ordering, dashboard, and inventory managed services to us, and an agreement relating to preferred data services provided to us by ATD.
Source: SEC EDGAR 10-K, official filing. Curated by Nexqual.
Peers & Related Stocks
| Symbol | Name | Price | Change |
|---|---|---|---|
| DORM | Dorman Products, Inc. | USD 127.98 | ▲ 0.75% |
| JJSF | J & J Snack Foods Corp. | USD 76.96 | ▲ 2.04% |
| MATW | Matthews International Corporat | USD 25.53 | ▲ 0.71% |
| MGRC | McGrath RentCorp | USD 112.78 | ▲ 3.58% |
| SLGN | Silgan Holdings Inc. | USD 38.7 | ▲ 5.65% |
Data source: Nexqual — real-time market data, technical indicators, analyst consensus, earnings, SEC EDGAR filings. Last updated: June 9, 2026 at 23:52 UTC. This page is informational and not investment advice.