Marawila Resorts Faces Valuation Shift Amid Mixed Financial Indicators and Bearish Trends

Feb 18 2026 04:01 PM IST
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Marawila Resorts Plc has experienced a recent evaluation adjustment, indicating a change in its valuation metrics. Key financial indicators show a notable Return on Capital Employed and Return on Equity, while technical trends suggest a shift to a mildly bearish outlook. Long-term fundamentals reveal challenges despite a significant profit increase.
Marawila Resorts Faces Valuation Shift Amid Mixed Financial Indicators and Bearish Trends
Marawila Resorts Plc, a small-cap player in the Hotels & Resorts industry, has recently undergone an adjustment in its evaluation. This revision reflects a shift in the company's valuation metrics, which have moved from a fair assessment to a classification of expensive. Key financial indicators such as the EV to EBIT ratio stand at 2.42, while the EV to EBITDA ratio is recorded at 1.97. The company's Return on Capital Employed (ROCE) is noted at 10.81%, and the Return on Equity (ROE) is at 14.33%.
In terms of technical trends, the stock's position has transitioned from a sideways movement to a mildly bearish outlook. Various technical indicators, including the MACD and Bollinger Bands, suggest a bearish sentiment in the weekly analysis, while the monthly indicators present a mixed picture. Long-term fundamentals indicate challenges, with a high Debt to EBITDA ratio of 13.99 times and an average ROCE of 3.75%. Despite a notable increase in profits of 73% over the past year, the stock has underperformed the broader market, generating negative returns of -8.33% compared to the Sri Lanka CSE All Share's 43.17% return. Discover the Latest Mojo Score and Financial Trend Performance - SignUp in less than 2 Minutes and get FREE Premium Access.
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