Marvell logo

MarvellMRVL

NASDAQ

Semiconductores

280,61 US$-1.54%

Análisis AI Multi-Horizonte

Corto plazo55% de confianza
Neutral

Price holding near $305 with mixed momentum; RSI neutral and MACD slightly positive, but low volume suggests limited immediate conviction.

Medio plazo60% de confianza
Alcista

Daily and hourly charts maintain bullish structure with price above key EMAs and positive MACD, though weekly RSI signals overbought conditions that could trigger short-term consolidation.

Largo plazo70% de confianza
Alcista

Multi-quarter revenue growth, expanding equity base, and rising free cash flow support a structural bull case, tempered by volatile net margins and persistent insider selling.

Vista general de IA65% de confianza
Alcista

MRVL shows strong long-term growth with improving balance sheet and revenue trajectory, though recent insider selling and extreme weekly RSI overbought levels introduce near-term caution.

Análisis fundamental IA detallado

Este análisis se escribió originalmente en inglés. Aún no hay una ejecución en español en caché — lanza un análisis en vivo arriba para generarlo.

Business Snapshot

Marvell Technology, Inc. (MRVL) is a US-listed semiconductor company operating in the technology sector. The provided data does not specify its exact industry segment within semiconductors.

Financial Trends

Revenue: MRVL's revenue has shown an upward trend over the last four reported quarters, with a notable jump in the most recent quarter. Revenue increased from $2.006 billion in the quarter ending August 2, 2025, to $2.075 billion by November 1, 2025 (a 3.44% increase), and further to $2.418 billion by May 2, 2026 (a 16.53% increase from the prior quarter). The full fiscal year revenue (ending Jan 31, 2026) was $8.195 billion.

Margins:

  • Gross Margin: Gross margins have remained relatively stable and strong, hovering around 50-52%. The latest quarter (ending May 2, 2026) saw a gross margin of 52.15%, up from 51.02% in the prior quarter and 50.38% in the August 2025 quarter.
  • Operating Margin: Operating margins have fluctuated. They were 14.46% in August 2025, increased to 17.25% by November 2025, then decreased to 16.14% in January 2026, and further down to 14.04% in the latest quarter.
  • Net Margin: Net margins have been highly volatile, largely influenced by significant one-time items. The latest quarter shows a net margin of 1.43%, a sharp decrease from 32.58% in the January 2026 quarter and an exceptionally high 91.65% in the November 2025 quarter. The August 2025 quarter had a net margin of 9.71%.

Free Cash Flow (FCF): FCF generation has been robust and generally increasing. FCF was $628.2 million in the August 2025 quarter, rising to $1.137 billion by November 2025, then to $1.396 billion in January 2026, and $483.1 million in the latest quarter. Despite a dip in the most recent quarter, the overall trend from a year ago is significantly higher.

Balance Sheet Strength:

  • Total Assets: Total assets have consistently grown, from $20.586 billion in August 2025 to $26.945 billion by May 2, 2026.
  • Total Liabilities: Liabilities have also increased, from $7.165 billion to $8.729 billion over the same period.
  • Shareholders' Equity: Equity has shown strong growth, climbing from $13.422 billion to $18.216 billion, indicating that asset growth is outpacing liability growth.
  • Debt: Long-term debt has increased from $3.968 billion to $4.961 billion. However, the Debt-to-Equity ratio has remained stable and healthy at around 0.27-0.30.
  • Liquidity: Current assets have grown significantly, from $4.513 billion to $7.464 billion. While current liabilities also increased, the Current Ratio has improved from 1.88 to 3.28, and Working Capital has nearly doubled from $2.114 billion to $5.187 billion, indicating enhanced short-term financial health.

Financial Health

Marvell Technology demonstrates a generally improving financial profile. Revenue is on an upward trajectory, and gross margins are strong and stable. While operating and net margins have shown volatility, particularly the recent sharp decline in net margin, this appears to be a normalization after exceptionally high figures in prior periods. The balance sheet shows significant growth in assets and equity, coupled with improving liquidity and a manageable debt-to-equity ratio. The recent dip in FCF in the latest quarter warrants monitoring, but the overall trend remains positive.

Insider Activity

Insider sentiment over the period from March 18, 2026, to June 16, 2026, is rated as Neutral (-10). During this period, there were no reported insider buys with a dollar value, totaling $0.00 across 11 transactions. Conversely, there were significant insider sells totaling $22,554,104.88 across 15 transactions, resulting in a net activity of $-22,554,104.88.

Notable recent transactions include:

  • On June 16, 2026, Matthew J. Murphy sold $2,240,700.00 worth of common stock.
  • On June 1, 2026, Chris Koopmans sold $2,058,700.00 worth of common stock.
  • On May 20, 2026, Chris Koopmans sold $1,736,119.20 worth of common stock.
  • Several other transactions in May and June involved sales with $0.00 reported dollar values, alongside buys that also reported $0.00 dollar values, suggesting these may be related to stock-based compensation or option exercises where the dollar value is not immediately realized.

The overall net selling activity from insiders suggests a cautious or profit-taking stance in the short term, despite the lack of any reported buy transactions with a dollar value.

Multi-Timeframe Technical Context

1-Minute: The price action over the last 200 bars shows a slight decrease from open to close (-0.59%). Current indicators suggest a neutral to slightly bullish bias: RSI is in the mid-60s, MACD is positive and above its signal line, and the price is trading slightly above its short-term EMAs and SMAs. Volume is currently below its 20-period SMA.

15-Minute: Over 200 bars, MRVL has seen a substantial gain (+23.37%). The current price is below the 20-period SMA and the upper Bollinger Band, with RSI at 38.53, indicating a potentially oversold condition in this timeframe. The MACD is positive but below its signal line, suggesting a potential slowdown or pullback. Volume is below its 20-period SMA.

1-Hour: A strong upward trend is evident over 200 bars (+52.17%). The current price is trading above its 12- and 26-period EMAs, and above the middle Bollinger Band, with RSI at 67.83, suggesting bullish momentum but approaching overbought territory. The MACD is positive and above its signal line, confirming upward momentum. Volume is currently below its 20-period SMA.

1-Day: The 1-day chart shows a very strong upward trajectory over 200 bars (+344.28%). The current price is trading above all its key EMAs (12, 26, 50) and SMAs (20, 50, 200), indicating a strong uptrend. RSI is at 64.06, suggesting healthy upward momentum without being excessively overbought. MACD is strongly positive and above its signal line. The price is currently below the upper Bollinger Band. Volume is below its 20-period SMA, which could indicate a temporary pause in buying pressure.

1-Week: The 1-week chart reveals a massive long-term uptrend (+404.57% over 145 bars). The current price is trading above all major EMAs and SMAs, and MACD is strongly positive and above its signal line. The RSI is at 100.0, indicating extreme overbought conditions on this long-term timeframe, suggesting a potential for a significant pullback or consolidation. The price is trading at the upper Bollinger Band.

Bull / Bear Cases

Bull Case:

  • Short-Term: Continued momentum from the daily chart could push the price higher, especially if the current consolidation phase resolves to the upside. Strong revenue growth and improving balance sheet metrics provide fundamental support.
  • Long-Term: Marvell's sustained revenue growth, stable gross margins, and significant expansion in assets and equity point to a company with strong underlying business performance. The increasing FCF generation capacity suggests an ability to reinvest and grow. If the company can translate its technological capabilities into sustained profitability and manage operating expenses effectively, the long-term outlook remains positive.

Bear Case:

  • Short-Term: The extreme overbought conditions indicated by the 1-week RSI at 100.0 suggest a high probability of a significant pullback or consolidation. The recent net selling by insiders could also weigh on short-term sentiment. A failure to hold key support levels could lead to a rapid decline.
  • Long-Term: The volatility in net margins, particularly the sharp drop in the latest quarter, raises concerns about profitability sustainability. While revenue is growing, the increase in operating expenses has outpaced revenue growth in some periods, impacting operating margins. The significant insider selling, especially with no substantial buys, might signal a lack of short-term conviction from management.

Key Levels & Triggers

Support Levels:

  • The current price is around $305.00.
  • The 1-day SMA 20 is around $246.15.
  • The 1-day SMA 50 is around $190.58.
  • The 1-day SMA 200 is around $110.74.
  • The 1-week BB Middle Band is around $148.15.

Resistance Levels:

  • The 1-day BB Upper Band is around $340.48.
  • The 1-week BB Upper Band is around $286.91 (currently trading near this level).

Triggers:

  • Bullish Trigger: A decisive break and sustained hold above the 1-day upper Bollinger Band ($340.48) could signal continuation of the uptrend. Positive news regarding new product cycles or strong earnings guidance would also be bullish.
  • Bearish Trigger: A breakdown below the 1-day SMA 20 ($246.15) could signal a more significant correction. The 1-week RSI at 100.0 is a strong indicator of potential reversal; a move below the 1-week BB Middle Band ($148.15) would confirm a bearish shift. Significant insider selling could accelerate a downtrend.

Datos financieros

De SEC EDGAR · Período de informe 2026-05-02 · Formulario de origen 10-Q

Estado de resultados · Últimos 4 períodos

 
2026-05-02
10-Q
2026-01-31
10-K
2025-11-01
10-Q
2025-08-02
10-Q
Ingresos operativos$2.42B$8.19B$2.07B$2.01B
Utilidad bruta$1.26B$4.18B$1.07B$1.01B
Utilidad operativa$339.40M$1.32B$357.80M$290.10M
Utilidad neta$34.50M$2.67B$1.90B$194.80M
Utilidad por acción (diluida)$0.04$3.07$2.20$0.22
Margen bruto52.15%51.02%51.57%50.38%
Margen operativo14.04%16.14%17.25%14.46%
Margen neto1.43%32.58%91.65%9.71%

Balance general · Últimos 4 períodos

 
2026-05-02
10-Q
2026-01-31
10-Q
2025-11-01
10-Q
2025-08-02
10-Q
Total de activos$26.94B$22.29B$21.58B$20.59B
Total de pasivos$8.73B$7.98B$7.52B$7.16B
Patrimonio neto$18.22B$14.31B$14.06B$13.42B
Efectivo y equivalentes$3.84B$2.64B$2.71B$1.22B
Deuda a largo plazo$4.96B$3.97B$3.97B$3.97B
Razón corriente3.282.012.011.88
Razón de deuda a patrimonio (deuda/patrimonio)0.270.280.280.30

Estado de flujos de efectivo · Últimos 4 períodos

 
2026-05-02
10-Q
2026-01-31
10-K
2025-11-01
10-Q
2025-08-02
10-Q
Flujo de efectivo de actividades operativas$638.80M$1.75B$1.38B$794.50M
Flujo de efectivo de actividades de inversión-$1.42B$2.10B$2.22B-$171.30M
Flujo de efectivo de actividades de financiación$1.99B-$2.16B-$1.83B-$347.10M
Gastos de capital$155.70M$354.10M$239.80M$166.30M
Flujo de efectivo libre$483.10M$1.40B$1.14B$628.20M

Estado de resultados

Ingresos operativos
$2.42B
Utilidad bruta
$1.26B
Utilidad operativa
$339.40M
Utilidad neta
$34.50M
Utilidad por acción (básica)
$0.04
Utilidad por acción (diluida)
$0.04

Balance general

Total de activos
$26.94B
Total de pasivos
$8.73B
Patrimonio neto
$18.22B
Efectivo y equivalentes
$725.60M
Deuda a largo plazo
$4.96B
Acciones en circulación
874.80M

Estado de flujos de efectivo

Flujo de efectivo de actividades operativas
$638.80M
Flujo de efectivo de actividades de inversión
-$1.42B
Flujo de efectivo de actividades de financiación
$1.99B
Gastos de capital
$155.70M
Flujo de efectivo libre
$483.10M

Ratios clave

Margen bruto
52.15%
Margen operativo
14.04%
Margen neto
1.43%
Razón corriente
3.28
Razón de deuda a patrimonio (deuda/patrimonio)
0.27
Flujo de efectivo libre
$483.10M

Transacciones de personas internas

13 declaraciones de personas internas (2026-05-17 a 2026-06-16) — directamente de los formularios SEC 4/5

Compras
$0.00 · 9
Ventas
$6.04M · 11
Neto
-$6.04M
Declaraciones analizadas
13
Fecha de transacciónPersona internaAcciónNúmero de accionesPrecioTotal
2026-06-15MURPHY MATTHEW JSell7,500$298.76$2.24M
2026-06-15Casper MarkSell1,000$0.00$0.00
2026-06-13Knight MarachelBuy3,940$0.00$0.00
2026-06-13Knight MarachelSell3,940$0.00$0.00
2026-06-13Buss Brad WBuy3,940$0.00$0.00
2026-06-13Buss Brad WSell3,940$0.00$0.00
2026-06-13WALLACE RICHARD PBuy3,940$0.00$0.00
2026-06-13WALLACE RICHARD PSell3,940$0.00$0.00

Datos clave

$132.31BCapitalización
170,84 US$Máximo de 52 semanas
53,78 US$Mínimo de 52 semanas
27.153.113Volumen promedio de 30 días

7480 empleados874.46M acciones en circulacióncotiza desde 2000-06-27rendimiento de dividendos 0.15%

Próximo informe financiero ~5 jun 2026 · Fecha ex-dividendo 10 abr 2026 · Dividendo $0.06 quarterly

Acerca de Marvell

Marvell Technology es un diseñador de chips sin fábrica centrado en redes cableadas, donde tiene la segunda cuota de mercado más alta. Marvell atiende a los mercados finales de centros de datos, operadores, empresas y consumidores con procesadores, transceptores ópticos y de cobre, switches y controladores de almacenamiento.

Análisis recientes de SimianX IA

  • decisionAlcistaconfianza 55%

    MARKET STATE: Mixed signals — fundamentals and intelligence lean mildly bullish, but technicals are neutral with no usable 1-month price data; broader tech risk-on supports the name while lacking a company-specific catalyst. MY READ: The absence of 1-month candle data and momentum indicators makes technical confirmation impossible, so I’m relying on the bull fundamental and intelligence reads. However, the modest strengths (0.65 and 0.55) and only macro-driven tailwinds argue for caution rather than aggression; a limit order well below the current extended price is the disciplined way to participate if the tape cooperates. MY ANALYSIS: - Trend direction is unclear without price history, so I will not chase. - Macro risk-on supports semis, but the only ticker-specific headline is CEO selling, which is a mild negative. - With no clear technical setup or conviction catalyst, waiting for a pullback to a price I’d genuinely want to own is the correct stance. AI DECISION (for next months to quarters): Action: LONG Order Type: LIMIT Limit Order Price: $265.00 Expires In Minutes: 1440 Confidence: 0.55 Notional USD: $3000.0 Stop Loss: 7% Take Profit: 18% Rationale: Macro/tech risk-on provides a constructive backdrop and the fundamental read is bullish, but without technical confirmation and with only modest intelligence strength, I am unwilling to pay up at $286. A $265 limit gives roughly 7.5 % cushion and keeps risk/reward above 2:1 to the 18 % target; if unfilled I simply remain in cash.

  • decisionconfianza 45%

    MARKET STATE: Mixed-to-constructive tape, but price action is unreadable on the 1-month frame because zero bars were provided. MY READ: Fundamentals and market intelligence are both mildly bullish (tech risk-on environment), yet the technicals are completely silent and price is already elevated at $286. No clear setup or entry level can be defined. AI DECISION (for next months to quarters): Action: NO_TRADE Confidence: 0.45 Rationale: With zero 1-month candle data, momentum indicators, and watch levels, I have no technical basis to determine trend or risk parameters. Although the macro and sentiment backdrop is supportive, the lack of visibility on support/resistance and the elevated price make a disciplined entry impossible. Waiting until proper 1-month price structure returns is the only prudent choice.

  • intelligenceconfianza 65%

    Net read is slightly bullish/constructive for MRVL, driven mainly by macro risk-on flows rather than fresh company-specific catalysts.

  • indicatorNeutral

    No data available: 0 bars, all indicators null, unable to assess 1-month trend.

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