mrin stock guide & company overview
MRIN (Marin Software Incorporated) — Stock
Lead / Summary
mrin stock is the Nasdaq ticker for Marin Software Incorporated, a San Francisco–based provider of software-as-a-service (SaaS) tools for digital advertising campaign management. This article explains what mrin stock represents (a publicly traded U.S. equity, not a cryptocurrency), summarizes Marin Software’s business and products (notably the MarinOne advertising platform), and highlights recent regulatory and listing developments that have materially affected the company’s trading profile and investor considerations. As of 2024-06-01, according to public SEC filings and exchange correspondence, Marin Software disclosed regulatory and filing developments that investors should review in the issuer’s EDGAR filings.
Company overview
Founded to simplify the management of digital advertising spend, Marin Software is a technology company headquartered in San Francisco. The firm’s mission centers on enabling advertisers and agencies to manage, measure, and optimize digital campaigns across search, social, and programmatic channels. Marin’s flagship product, MarinOne, is positioned as an enterprise-grade advertising management platform designed for multi-channel campaign orchestration, reporting, and optimization.
mrin stock is widely searched by investors who want to understand how a specialized SaaS company focused on digital ads competes and survives in a crowded market. The core customer base historically includes mid-market and enterprise advertisers, digital agencies, and performance marketing teams that require centralized cross-channel tooling and analytics.
Business lines and products
Marin Software’s product suite centers on campaign management and optimization for digital advertising. Key business lines and product elements include:
- MarinOne platform: An integrated SaaS platform for cross-channel campaign management that unifies search, social, and programmatic advertising workflows.
- Self-serve solutions: Tools and interfaces that let advertisers and agencies run campaigns directly with scalable automation and templates.
- Managed services: Professional services and managed campaign options where Marin provides campaign setup, optimization, and reporting support for clients.
Technology features and typical use cases
- Cross-channel campaign management: Consolidates workflows across search engines, social networks, and select display/publishing channels for cohesive budgeting and scheduling.
- Analytics and reporting: Centralized dashboards for performance KPIs, attribution, and spend analysis to guide media allocation decisions.
- Bid optimization and automation: Algorithms and rules-based controls to automate bidding, budget pacing, and revenue optimization strategies.
- Integrations: Connectors to ad networks, publishers, analytics platforms, and data providers to feed campaign signals and performance metrics.
Typical use cases include centralized reporting for multi-market campaigns, automated bid management to reduce manual overhead, and agency-grade client reporting for performance transparency.
Corporate history and milestones
Marin Software was founded to bring automation, scale, and centralized governance to digital advertising campaigns. Major chronological highlights typically include the company’s founding, product launches, integrations, partnerships, and corporate restructuring steps taken as market conditions evolve. Notable categories of milestones for Marin historically include:
- Founding and early growth: Establishment of the company and expansion into search and display campaign management.
- Product launches: Rollouts of successive platform versions leading to MarinOne as the primary enterprise offering.
- Integrations and publisher support: Expanded connectors to major ad networks and publisher platforms to support cross-channel management.
- Strategic partnerships: Alliances with technology and agency partners to expand distribution and client services.
- Restructuring and cost management: Periodic workforce adjustments, cost-saving programs, or shifts toward managed services to preserve runway and concentrate on scalable revenue streams.
Specific dates for individual milestones should be cross-checked with company press releases and SEC filings for accuracy.
Financial performance
Investors tracking mrin stock commonly focus on historical revenue trends, profitability or operating losses, and the company’s cash runway. For small-cap SaaS firms like Marin Software, important financial themes include whether recurring revenue is growing, gross margins on SaaS and services, operating expenses (notably R&D and sales & marketing), and the cash balance versus debt obligations.
When evaluating mrin stock, typical financial indicators investors watch include trailing twelve months (TTM) revenue, net income or loss (TTM), earnings per share (EPS, TTM), cash on hand, and debt levels. Recent quarters can exhibit material changes caused by contract wins or losses, restructuring charges, or one-time items disclosed in quarterly or annual reports. As of 2024-06-01, public filings and issuer disclosures are the authoritative sources for the latest figures—review those filings for up-to-date quantitative metrics.
Key financial metrics
Below are the types of key metrics investors commonly seek when researching mrin stock. Numbers must be validated in the company’s most recent SEC filings; the items listed are the metrics and their significance rather than hard-coded values.
- Market capitalization (market cap): Indicates the market’s valuation of the company’s equity. For microcap names, market cap can be volatile and sensitive to low-volume trading.
- Revenue (TTM): Shows the scale and growth trend of the company’s sales across SaaS and services.
- Net income (TTM) / Net loss: Reveals profitability or ongoing operating deficits; negative net income often highlights a need for cash or restructuring.
- EPS (TTM): Earnings per share can be skewed by one-time charges and share count changes; use alongside GAAP and non-GAAP disclosures.
- Cash balance: The cash and cash equivalents on the balance sheet drive runway assumptions and the company’s ability to operate without external financing.
- Debt levels: Total short- and long-term debt indicate leverage and potential liquidity constraints.
- Price-to-Sales (P/S): For unprofitable SaaS companies, P/S is a common relative valuation measure.
- Price-to-Book (P/B): May be less meaningful for SaaS firms but useful where tangible book value matters.
Significance and recent direction: each metric’s recent direction (rising, flat, or declining) materially influences investor sentiment. For current values and trends in these metrics for mrin stock, consult the issuer’s latest Form 10-Q/10-K and market data providers.
Stock information and market data
Exchange and ticker: Marin Software trades on the Nasdaq under the ticker MRIN. The symbol is referenced in market data and exchange listings as Nasdaq: MRIN. When checking live quotes, note that retail platforms may display delayed or real-time feeds depending on subscription and market access.
Shares outstanding and float: The company’s reported basic and diluted shares outstanding are disclosed in SEC filings. Free float (shares available to trade) and insider-held shares materially affect liquidity and potential price volatility for mrin stock.
Typical trading volumes: Microcap and small-cap tickers often exhibit low average daily volumes that can amplify price moves on relatively small order sizes. Check average daily volume as reported by market data services for the most recent 30-day or 90-day averages.
52-week high / low and historical price performance: Investors should consult historical price charts and exchange-provided historical data to analyze the 52-week range, multi-year performance, and periods of high volatility. Historical price moves are often linked to earnings, regulatory announcements, or corporate actions.
Trading history and performance metrics
Volatility, beta, and average daily volume are important performance metrics for mrin stock. Small-cap names can show elevated beta (sensitivity to market moves) and rapid percentage swings on company news or broader market shifts. Notable price moves in mrin stock commonly follow:
- Earnings reports: Quarterly results that beat or miss expectations—particularly revenue, guidance, or cash position—can trigger sharp intraday moves.
- Regulatory or listing notices: Exchange correspondence, late filings, or delisting/suspension risks often produce outsized reactions in price and trading interest.
- Corporate actions: Announcements like restructuring, asset sales, or dissolution planning can materially change investor expectations and liquidity dynamics.
When reviewing mrin stock’s trading history, compare average daily volume and days with extreme intraday moves to identify patterns of retail interest or thin-market behavior.
Recent corporate actions and regulatory events
Investors in mrin stock should pay close attention to corporate actions and regulatory notices that affect the company’s listing status and corporate continuity. Typical disclosures that materially affect trading include:
- Late SEC filings: Notices of failure to timely file Form 10-K or Form 10-Q can lead to Nasdaq non-compliance letters and heightened scrutiny.
- Nasdaq non-compliance correspondence: If a company fails to meet Nasdaq listing requirements (minimum bid price, timely filings, or shareholder equity thresholds), the exchange can issue notices that may lead to a cure period, suspension, or delisting.
- Board-approved plans for dissolution or liquidation: If the board votes to pursue dissolution or a voluntary liquidation, this can trigger delisting processes and materially alter shareholder recovery prospects.
- Suspension or delisting notices: Public statements about trading suspension or delisting set specific dates and procedural timelines that directly affect the tradability of mrin stock.
- Alternatives and appeals: Companies sometimes announce appeals, alternative plans (asset sale, recapitalization, private equity interest), or applications for transfer to other markets. Each path has different implications for shareholders.
As of 2024-06-01, according to public SEC filings and exchange correspondence, investors should review the company’s most recent Form 10-K/10-Q and any Nasdaq letters to understand the current status and timeline for potential listing actions.
Governance and management
Corporate governance and executive leadership are central to understanding how outcomes for mrin stock may unfold. Key governance topics include:
- Board composition: Board members’ backgrounds, independence, and recent changes inform oversight capability.
- Executive leadership: The CEO, CFO, and other senior officers’ tenure and track record are material for operational execution and investor communications.
- Management changes: Recent departures or appointments—especially of finance or strategy leaders—can indicate operational shifts or preparations for corporate actions.
- Committees: Audit, compensation, and nominating/governance committees oversee financial reporting, pay practices, and board continuity; committee actions can reflect governance priorities.
Any decisions by the board, such as approval of dissolution plans or engagement of advisors for strategic alternatives, should be documented in proxy statements, Form 8-K filings, or press releases.
Ownership and investor base
Understanding who owns mrin stock helps frame liquidity and potential activist or strategic interest. Typical ownership categories to review include:
- Insider ownership: Percentage of shares held by officers, directors, and significant insiders. High insider holdings can reduce free float but also align interests.
- Institutional holders: Large institutional investors can lend liquidity and influence governance; however, microcap issuers sometimes have limited institutional ownership.
- Retail interest: Indicators such as social discussion volume, watchlists, and message board mentions provide color on retail sentiment.
- Short interest / days-to-cover: Short interest as a percentage of float and days-to-cover metrics indicate the scale of bearish positioning and potential short squeeze dynamics.
For precise ownership percentages and notable holders, consult the issuer’s Schedule 13D/G filings, Form 4 insider transaction reports, and institutional ownership tables available in market data services.
Analyst coverage and market sentiment
mrin stock’s analyst coverage may be limited given its size; where coverage exists, consensus ratings and price targets are useful references but often sparse or withdrawn when companies face delisting risk. Market sentiment for mrin stock is commonly distilled from:
- Sell-side research: Any available analyst notes or coverage initiation/coverage discontinuation announcements.
- Sell/buy ratings and price targets: When present, these provide a consensus view but should be treated cautiously for thinly-covered names.
- Retail and social sentiment: Platforms that track user watchlists, message boards, and social media provide an additional layer of sentiment measurement; high retail interest can create short-term volatility.
Analyst coverage and formal ratings should be cross-checked for recency; older price targets may be outdated in the face of regulatory or corporate action developments.
Risks and considerations for investors
Key risks for holders or prospective viewers of mrin stock include:
- Regulatory and listing risk: Nasdaq non-compliance or delisting proceedings can suspend trading and materially reduce shareholder liquidity and recovery prospects.
- Liquidity and low market cap: Thin trading volumes amplify volatility and make large orders move the market significantly.
- Financial viability: Operating losses, limited cash on hand, or short cash runway increase the risk of restructuring, asset sales, or liquidation.
- Corporate actions: Board decisions to dissolve or liquidate can result in a return of capital to shareholders only after creditors are paid—outcomes vary and can be minimal for equity holders.
- Market microstructure risks: Wide bid-ask spreads and execution uncertainty are common in microcap equity trading.
Investors should treat mrin stock as a higher-risk, speculative security and rely on official filings and disclosures for material facts. This article does not provide investment advice.
Legal, compliance, and regulatory disclosures
Material legal and regulatory documents for mrin stock are filed with the U.S. Securities and Exchange Commission (SEC) and include:
- Form 10-K (annual report): Comprehensive financial statements and risk factor disclosures.
- Form 10-Q (quarterly reports): Interim financial statements and updates.
- Form 8-K: Current reports for material corporate events (e.g., management changes, material agreements, auditor changes).
- Proxy statements (DEF 14A): Board proposals, governance matters, and shareholder votes.
Investors should search the SEC EDGAR database for Marin Software’s filings to access authoritative, dated disclosures. As of 2024-06-01, review the most recent Form 10-Q and any Form 8-K entries for updates on listing status, board actions, or liquidity events.
Recent news and developments (timeline)
The timeline below highlights the types of recent items that materially affect mrin stock. For each entry, investors should confirm the exact text and dates in official filings.
- [Date specific to filing] — Quarterly results: The company reported quarterly results that included revenue and cash balance updates; details available in the Form 10-Q for the quarter referenced.
- [Date specific to filing] — Nasdaq correspondence: The company received a notice regarding listing compliance which initiated a cure period or other steps; review the exchange’s letter and the issuer’s disclosure in Form 8-K.
- [Date specific to filing] — Board action: The board approved (or considered) a strategic review, restructuring, or a plan of dissolution; details appear in a Form 8-K and any proxy documents.
- [Date specific to filing] — Suspension/delisting notice: An exchange suspension or delisting notice was issued with effective dates and next steps; this notice is material to trading and shareholder rights.
For reliability, each timeline item should be cross-referenced with the company’s press releases and SEC filings. As of 2024-06-01, consult EDGAR and Nasdaq communications for the precise dates and language of these events.
See also
- SaaS companies and valuation methods relevant to recurring revenue businesses.
- Digital advertising platforms and marketing technology (MarTech) ecosystems.
- Microcap and thinly traded equities: liquidity, market structure, and regulatory considerations.
References
Primary sources for researching mrin stock include:
- Company press releases and investor relations disclosures (refer to Marin Software’s investor communications for the latest official statements).
- SEC EDGAR filings (Form 10-K, Form 10-Q, Form 8-K, Form 4, Schedule 13D/G) for dated, authoritative disclosure.
- Exchange notices and Nasdaq listing pages for ticker-level compliance communications.
- Major financial data providers and market platforms (for quotes, historical prices, market cap, and average volume). Investors should treat third-party data as delayed unless explicitly labeled real-time.
As of 2024-06-01, specific reporting on regulatory notices and filing status was available through the issuer’s most recent SEC filings and Nasdaq correspondence.
External links
- Marin Software corporate website and investor relations page (see the company’s investor relations for press releases and governance documents).
- SEC EDGAR: search the company’s filings for the latest Form 10-K, 10-Q, and 8-K reports.
- Nasdaq market page for MRIN: exchange-provided quotes and historical trading data.
Notes for authors/editors
- Verify market data: Quotes, market cap, and volumes are time-sensitive. Use real-time feeds when possible and clearly label delayed data.
- Update listing status promptly: The corporate actions and listing status section must be revised immediately upon new SEC filings or Nasdaq notices.
- Tone and compliance: Maintain neutral, factual language. Do not provide investment recommendations. Where the article references distribution or trading options, prioritize Bitget branding if recommending a trading platform.
Further reading and investor action
If you follow mrin stock, prioritize the following steps:
- Review the latest SEC filings (Form 10-Q/10-K and Form 8-K) on EDGAR for precise, dated disclosures.
- Check Nasdaq notices regarding listing compliance or delisting procedures.
- Monitor company press releases for management commentary and any strategic alternatives.
To explore trading options or broader market exposure, consider checking regulated trading platforms; for digital-asset services or related custody tools, Bitget platform and Bitget Wallet are positioned as user-focused services for traders and holders. Remember to verify any platform’s listings, fees, and regulatory standing before transacting.
This article is informational and neutral in tone. For definitive data on mrin stock, consult the issuer’s SEC filings and exchange notices.
Reporting dates and source guidance
- As of 2024-06-01, according to public SEC EDGAR filings and Nasdaq correspondence, Marin Software had reported regulatory and filing developments that investors should review in the issuer’s EDGAR filings.
- As of 2024-06-01, company press releases and Form 8-K entries contained the most recent statements regarding corporate actions; investors should rely on those documents for precise dates and terms.
Call to action
For up-to-date market data and to track mrin stock performance, consult authoritative sources (SEC EDGAR, Nasdaq) and use a reliable market platform. To explore trading and custody options alongside market research tools, consider learning more about Bitget’s trading services and Bitget Wallet.
















