1. As of noon trading, Chipotle Mexican Grill ( CMG) is down $6.44 (-2.4%) to $266.42 on average volume Thus far, 434,002 shares of Chipotle Mexican Grill exchanged hands as compared to its average daily volume of 1.0 million shares. The stock has ranged in price between $266.00-$274.61 after having opened the day at $274.61 as compared to the previous trading day's close of $272.86. Chipotle Mexican Grill, Inc. develops and operates fast-casual, fresh Mexican food restaurants in the United States, Canada, the United Kingdom, and France. Its restaurants primarily offer burritos, tacos, burrito bowls, and salads. Chipotle Mexican Grill has a market cap of $8.8 billion and is part of the leisure industry. The company has a P/E ratio of 32.5, above the S&P 500 P/E ratio of 17.7. Shares are down 19.2% year to date as of the close of trading on Wednesday. Currently there are 5 analysts that rate Chipotle Mexican Grill a buy, 2 analysts rate it a sell, and 15 rate it a hold. TheStreet Ratings rates Chipotle Mexican Grill as a buy. The company's strengths can be seen in multiple areas, such as its robust revenue growth, largely solid financial position with reasonable debt levels by most measures, impressive record of earnings per share growth, compelling growth in net income and good cash flow from operations. We feel these strengths outweigh the fact that the company has had lackluster performance in the stock itself. Get the full Chipotle Mexican Grill Ratings Report now. If you are interested in one of these 5 stocks, ETFs may be of interest. Investors who are bullish on the services sector could consider iShares Dow Jones US Cons Services ( IYC) while those bearish on the services sector could consider ProShares Ultra Short Consumer Sers ( SCC). A reminder about TheStreet Ratings group: TheStreet ratings do not represent the views of TheStreet's staff or its contributors. Ratings are established by computer based on metrics for performance (which includes growth, stock performance, efficiency and valuation) and risk (volatility and solvency). Companies with poor cash flow or high debt levels tend to earn lower ratings in our model.