Marriott International (MAR)
223.49
+0.00 (0.00%)
NASDAQ · Last Trade: Apr 15th, 6:06 AM EDT
Detailed Quote
Previous Close | 223.49 |
---|---|
Open | - |
Bid | 213.66 |
Ask | 258.00 |
Day's Range | N/A - N/A |
52 Week Range | 204.55 - 307.52 |
Volume | 26 |
Market Cap | 72.78B |
PE Ratio (TTM) | 26.83 |
EPS (TTM) | 8.3 |
Dividend & Yield | 2.520 (1.13%) |
1 Month Average Volume | 2,413,149 |
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About Marriott International (MAR)
Marriott International is a leading global hospitality company that operates and franchises a diverse portfolio of hotels and related lodging facilities. With a strong presence in various market segments, the company offers a wide range of accommodations, from luxury resorts and full-service hotels to budget-friendly properties and extended stay options. Marriott is renowned for its commitment to guest satisfaction, quality service, and innovative experiences, facilitating travel for business and leisure through its brands, loyalty programs, and extensive network of properties worldwide. The company also emphasizes sustainability and community engagement, aiming to create a positive impact in the destinations it serves. Read More
News & Press Releases
Goldman Sachs anticipates that ongoing macroeconomic volatility and consumer strain will act as a drag on the more "macro-sensitive segments,” such as hotels.
Via Stocktwits · April 15, 2025
International travel contributes only 5% of US room nights and 3% of arrivals, but brings in more revenue as international travelers stay longer and spend more. Canada is the largest source market, followed by Europe and Mexico.
Via Benzinga · April 14, 2025
Goldman Sachs analyst Lizzie Dove downgrades U.S. Lodging C-Corps and Timeshares due to weaker consumer demand, geopolitical uncertainty, and negative impacts from U.S. airlines. The forecast for 2025 RevPAR is lowered by 125 basis points, with a 45% probability of a U.S. recession. Preference shifts towards asset-light companies with global exposure, focusing on non-RevPAR and ancillary revenues amid uncertain macro conditions.
Via Benzinga · April 14, 2025
Via Benzinga · April 14, 2025

Via Benzinga · March 12, 2025

Via Benzinga · March 6, 2025
Large-cap stocks have the power to shape entire industries thanks to their size and widespread influence.
With such vast footprints, however, finding new areas for growth is much harder than for smaller, more agile players.
Via StockStory · April 10, 2025
Gaming and lodging stocks are under pressure as recession risks mount, BofA Securities reports. With tariffs weighing on GDP, analysts warn of a potential 3%–8% EBITDA hit. Hotel and timeshare sectors remain the most exposed, while REITs and Gaming OpCos face heightened earnings risk. Stocks are now trading at their lowest valuations since the COVID-19 and GFC downturns.
Via Benzinga · April 9, 2025
The end of an earnings season can be a great time to discover new stocks and assess how companies are handling the current business environment. Let’s take a look at how Hyatt Hotels (NYSE:H) and the rest of the travel and vacation providers stocks fared in Q4.
Via StockStory · April 7, 2025

Via Benzinga · February 27, 2025

Via Benzinga · February 17, 2025
Via Benzinga · April 4, 2025
Marriott has been treading water for the past six months, recording a small loss of 4.8% while holding steady at $237.
Via StockStory · April 2, 2025
A 10% decline in Canadian travel may result in 2 million fewer visits and $2.1 billion in lost spending in U.S. spending.
Via Benzinga · April 1, 2025
Wondering which stocks are making significant price gaps? Explore the S&P500 index on Friday to find the gap up and gap down stocks in today's session.
Via Chartmill · March 21, 2025
Despite the pullback, we have found numerous opportunities which we discuss in this video using technical analysis.
Via Talk Markets · March 23, 2025
Via Benzinga · March 20, 2025

Travel industry faces turbulence as airlines, booking platforms, hotels, and cruise lines suffer due to weak demand. Three travel-focused ETFs are feeling the pressure, with stocks slipping.
Via Benzinga · March 11, 2025
Let's take a look at the S&P500 stocks that are experiencing notable price gaps in today's session on Tuesday. Discover the gap up and gap down stocks in the S&P500 index.
Via Chartmill · March 11, 2025

After the conclusion of the US market's regular session on Monday, let's examine the after-hours session and unveil the notable S&P500 performers among the top gainers and losers.
Via Chartmill · March 10, 2025

As the Q4 earnings season wraps, let’s dig into this quarter’s best and worst performers in the travel and vacation providers industry, including Marriott (NASDAQ:MAR) and its peers.
Via StockStory · March 5, 2025

Airbnb wastrading at a premium compared to its peers. The stock was nearly 40% more or 1.4 times as expensive as its industry average.
Via Benzinga · February 27, 2025

Consumer discretionary businesses are levered to the highs and lows of economic cycles. This sensitive demand profile can lead to some stock price volatility, but over the past six months,
the industry has stayed on track as its 6.3% return was close to the S&P 500’s.
Via StockStory · February 25, 2025

Via The Motley Fool · February 23, 2025

At a time when investors are paying a premium for many stocks, here are three travel stocks that are set up to capitalize on the ongoing travel boom
Via MarketBeat · February 18, 2025