MLM · Martin Marietta Materials
S&P 500 #277 · NYSE
Risiko 5/10 · Infrastructure materials, cyclical premium · $583.67 ▲ 2.03%
Kennzahlen
- Price $583.67
- Market cap $35.0B
- P/E (ttm) 36.57
- Div yield 0.58%
- 52-wk range $525.38 – $710.97
- Index rank #277 / —
Wichtigste Risiken
- Construction spending cyclicality (Volume & pricing) — MED
- Pulled back ~19% from 52-week high (Near-term holders) — MED
- Fuel and energy cost pass-through risk (Margins) — LOW
- Federal infrastructure-spend timing delays (Demand outlook) — LOW
Fazit
Dominant aggregates and heavy-building-materials company poised to benefit from infrastructure-bill spending, though the stock has retraced sharply from 2025 highs.
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