stock · yahoo

Marriott International, Inc.

MAR

$366.24
4.9 (-1.32%)
polled · warming up

Below: live stock price for Marriott International, Inc. (MAR), a 1-year chart, 8 indicators (RSI, MACD, Bollinger, MA, EMA, Stochastic, ATR, Volume), and a compare mode. Add to your portfolio, star to your watchlist, or set a price alert in one place.

Marriott International, Inc. (MAR) is a Consumer Cyclical company based in United States. Operating in Lodging, it employs about 414,000 people. Over the past year MAR traded between 253.76 and 410.98 USD. Trailing P/E sits near 38.31 on a market cap of about 96.57B USD. It currently yields 0.80% in dividends.

Day
-1.32%
-4.90
Week
-2.62%
-9.87
Month
-7.56%
-29.96
Year
Prev close
$371.14
Volume (24h)
$675.94M
Market cap
$96.57B
Currency
USD

Score

49/ 100 · Mixed

Coverage: 7/7
  • Value19
  • Quality86
  • Momentum57
  • Growth40
  • Risk92
  • Dividend51
  • Liquidity1

Composite of public market data. Informational only — not investment advice.

Trend projection

Where the recent trend points if it continues.

UptrendFit 25%Pace +0.11% per bar
+5 bars+20 bars+60 bars+120 bars
+5 bars
367.8369
+0.44%
Bull428.5285
Bear315.741
+20 bars
370.0518
+1.04%
Bull502.2399
Bear272.6552
+60 bars
370.9122
+1.28%
Bull629.543
Bear218.5329
+120 bars
370.9438
+1.28%
Bull783.8441
Bear175.5442

Linear-regression continuation — not a prediction, not investment advice. ±1σ ≈ 68% range · ±2σ ≈ 95% range: ±0.0341 USD.

Interpretation

Composite signals look mixed. Strength: risk profile with weakness: balance-sheet liquidity. Price sits near the lower third of the recent range, trend is sloping upward.

Descriptive observation — not investment advice.

Score breakdown

Raw values behind each pillar so you can see what the composite is reading.

  • Value
    19/100

    Value looks fragile — driven by P/E (38.31).

    P/E:38.31PEG:2.18
  • Quality
    86/100

    Quality looks strong — driven by Gross margin (79.04%).

    ROA:9.77%Profit margin:35.97%Gross margin:79.04%
  • Momentum
    57/100

    Momentum looks mixed — driven by 52w change (34.87%).

    52w change:34.87%
  • Growth
    40/100

    Growth looks weak — driven by Revenue growth (12.60%).

    Revenue growth:12.60%Earnings growth:1.70%
  • Risk
    92/100

    Risk looks strong — driven by Beta (1.11).

    Beta:1.11Short interest:2.32%
  • Dividend
    51/100

    Dividend looks mixed — driven by Payout ratio (28.06%).

    Dividend yield:0.80%Payout ratio:28.06%
  • Liquidity
    1/100

    Liquidity looks fragile — driven by Current ratio (0.46).

    Current ratio:0.46Quick ratio:0.42

Derived from public market data — informational, not investment advice.

Reference levels

Fibonacci retracements and extensions across the recent range.

60 bars

Reference only — not investment advice.

These coordinates describe past-trade clustering, not where to buy or sell. Do your own research before any trade.

  • ResistanceFib +161.8% extension
    517.1208 USD
    +41.20% from current
  • ResistanceFib +100% extension
    476.58 USD
    +30.13% from current
  • ResistanceFib +61.8% extension
    451.5208 USD
    +23.29% from current
  • ResistanceFib +27.2% extension
    428.8232 USD
    +17.09% from current
  • ResistanceFib 23.6% retracement
    395.4984 USD
    +7.99% from current
  • ResistanceFib 38.2% retracement
    385.9208 USD
    +5.37% from current
  • ResistanceFib 50% midpoint
    378.18 USD
    +3.26% from current
  • ResistanceFib 61.8% retracement
    370.4392 USD
    +1.15% from current
  • Current
    366.24 USD
  • SupportFib 78.6% retracement
    359.4184 USD
    -1.86% from current
  • SupportFib −27.2% extension
    327.5368 USD
    -10.57% from current
  • SupportFib −61.8% extension
    304.8392 USD
    -16.77% from current
  • SupportFib −100% extension
    279.78 USD
    -23.61% from current

Financials

52w high
$410.98
52w low
$253.76
52w change
34.87%
Day high
$372.98
Day low
$363.52
P/E (TTM)
38.31
Forward P/E
27.98
PEG
2.18
Beta (5Y)
1.11
Enterprise value
113.53B
EV / Revenue
15.8
EV / EBITDA
23.98
EPS (TTM)
$9.56
Forward EPS
$13.09
Dividend yield
0.80%
Dividend rate
$2.92
Payout ratio
28.06%
Revenue (TTM)
7.18B
EBITDA
4.74B
Free cash flow
1.8B
Total cash
454M
Total debt
17.41B
Current ratio
0.46
Quick ratio
0.42
Profit margin
35.97%
Gross margin
79.04%
Return on assets
9.77%
Shares outstanding
263.69M
Float
228.23M
Sector: Consumer CyclicalIndustry: LodgingHQ: United StatesEmployees: 414Kwww.marriott.com

Marriott International, Inc. engages in the operation, franchising, and licensing of hotel, residential, timeshare, and other lodging properties in the United States, Canada, Europe, the Middle East, Africa, Greater China, the Asia-Pacific, and internationally. The company operates properties under the JW Marriott, The Ritz-Carlton, The Luxury Collection, W Hotels, St. Regis, EDITION, Bvlgari, Marriott Hotels, Sheraton, Westin, Autograph Collection, Renaissance Hotels, Le Méridien, Delta Hotels by Marriott, MGM Collection with Marriott Bonvoy, Tribute Portfolio, Gaylord Hotels, Design Hotels, Marriott Executive Apartments, Apartments by Marriott Bonvoy, Courtyard by Marriott, Fairfield by Marriott, Residence Inn by Marriott, SpringHill Suites by Marriott, Four Points by Sheraton, TownePlace Suites by Marriott, Aloft Hotels, AC Hotels by Marriott, Moxy Hotels, Element Hotels, Protea Hotels by Marriott, citizenM, City Express by Marriott, and Four Points Flex by Sheraton brands. It also operates residences, timeshares, and yachts. The company was formerly known as New Marriott MI, Inc. and changed its name to Marriott International, Inc. in May 1998. Marriott International, Inc. was founded in 1927 and is headquartered in Bethesda, Maryland.

Analyst & Risk

Consensus
Buy
Mean rating2.23 / 5
Analysts24
Next earnings2026-08-03
Strong buy 1Buy 11Hold 12Sell 1Strong sell 1
Analyst price target
$383.63
Mean target · 24 analysts
+4.7%
upside
Low $272.00Now $366.24High $449.00
Beta (vs S&P 500)
1.11
slightly more volatile
52-week change
34.87%
Short % of float
2.32%
Short ratio (days)
3.35
Current ratio
0.46
Quick ratio
0.42
ROA
9.77%
PEG ratio
2.18
richly valued
EV / Revenue
15.8
EV / EBITDA
23.98
Revenue growth
12.60%
Earnings growth
1.70%
EBITDA
4.74B
Free cash flow
1.8B
Total cash
454M
Total debt
17.41B
Insider holdings
17.88%
Institutional
65.50%

Recent rating changes

  • 2026-07-17Morgan StanleyOverweightOverweightmain
  • 2026-07-17StifelHoldHoldmain
  • 2026-07-16Wells FargoOverweightOverweightmain
  • 2026-07-14MacquarieNeutralNeutralmain
  • 2026-06-15UBSNeutralNeutralmain
  • 2026-05-26Truist SecuritiesHoldHoldmain
  • 2026-05-15BernsteinOutperformOutperformmain
  • 2026-05-12Morgan StanleyOverweightOverweightmain

Recent news

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