FCF Yield
Higher than 17% of Technology sector peers
Updated 71h ago
Sector Performance
17th percentileMRVL
0.9%
Sector Median
3.2%
Sector Avg
3.3%
Deep Analysis
The current FCF Yield of 0.9% means Marvell generates only $0.90 of free cash flow for every $100 of its stock price, a measure of how much cash the company throws off relative to its market value.
This is far below the technology sector median of 3.1%, placing Marvell in the 17th percentile among peers—meaning 83% of sector companies offer a higher cash return. The metric has no trend data: the year-over-year change, quarter-over-quarter change, and eight-quarter trend are all labeled N/A, so no direction can be observed. The combination of a very low yield with no history of improvement implies limited cash-based upside and a higher hurdle for justifying the current valuation, adding risk for income-focused investors. This metric directly contradicts the overall BULLISH verdict, as a low FCF Yield typically signals that the stock is expensive relative to its cash generation.
Frequently Asked Questions
What does the FCF Yield tell investors about MRVL?
One of the purest measures of value. High FCF yield means the company generates a lot of cash relative to its price — favoured by value investors.
How is the FCF Yield calculated?
FCF Yield is calculated as: Free Cash Flow / Market Cap.
How does MRVL's FCF Yield compare to its sector?
MRVL's FCF Yield of 0.9% compares to a Technology sector median of 3.2%, placing it in the 17th percentile.
Who are MRVL's closest peers by FCF Yield?
The closest Technology peers by FCF Yield include: AVGO (1.5%), DDOG (1.4%), SMTC (1.2%), SHOP (1.0%), AMD (0.9%).
The Formula
Free Cash Flow / Market Cap
Why It Matters
One of the purest measures of value. High FCF yield means the company generates a lot of cash relative to its price — favoured by value investors.
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0.9%
Sector Median
3.2%
Sector Avg
3.3%
How MRVL's FCF Yield compares to sector peers.
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Not financial advice. Research tool only. Data may be delayed.