Monro, Inc. Stock Plummets to New 52-Week Low at $11.25

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Monro, Inc. has reached a new 52-week low, reflecting a difficult year with a 54.5% decline in stock price. The company faces financial challenges, including low profitability metrics, a slight decrease in net sales, and increased interest expenses, indicating ongoing operational and market positioning issues.
Monro, Inc. Stock Plummets to New 52-Week Low at $11.25
Monro, Inc., a microcap player in the retailing industry, has reached a new 52-week low, trading at USD 11.25 as of August 13, 2026. This significant decline reflects a challenging year for the company, which has seen its stock price plummet by 54.5% over the past year, contrasting sharply with the S&P 500's 20.6% gain during the same period.
The company's financial metrics reveal underlying issues, including a low return on equity of 4.08% and a return on capital employed averaging just 8.37%. These figures indicate limited profitability relative to the capital utilized. Additionally, Monro has reported a decrease in net sales of 0.75%, contributing to negative results over the last two consecutive quarters. With a market capitalization of USD 563 million, Monro's financial health is further illustrated by a price-to-book ratio of 0.93 and a debt-to-equity ratio of 0.19. The company’s operating cash flow has also reached a low of USD 41.99 million, while interest expenses have increased by 14.33%. Overall, Monro, Inc. continues to face significant challenges in its operational performance and market positioning.
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