Marriott International Class A Common Stock

MARNASDAQ • USD
372.71 USD
ā†˜ 1.05 (0.28%)🟢PRE MARKET (AS OF 05:33 AM EDT)
🟢Market: OPEN
Open?$373.78
High?$373.78
Low?$372.71
Prev. Close?$373.76
Volume?301
Avg. Volume?1.4M
VWAP?$373.74
Rel. Volume?0.00x
Bid / Ask
Bid?$355.30 Ɨ 40
Ask?$394.20 Ɨ 40
Spread?$38.90
Midpoint?$374.75
Valuation & Ratios
Market Cap?98.6B
Shares Out?263.7M
Float?204.7M
Float %?77.3%
P/E Ratio?38.14
P/B Ratio?-24.09
EPS?$9.80
Dividend?0.73%
Ex-Dividend?N/A

Marriott International Class A Common Stock (MAR) trades at $372.71 per share. MAR shows a split signal: technical indicators suggest "Strong Buy" while underlying fundamentals indicate "Sell". Key drivers include a robust Altman Z-Score, negative Return on Equity, a bullish Golden Cross on the moving averages and bullish moving average alignment. MAR is fairly valued relative to its sector peers based on current multiples.

Technical & fundamental data as of Jun 2, 2026.

News
Profile
Marriott operates 1.8 million rooms across roughly 30 brands. At the end of 2025, luxury represented roughly 10% of total rooms, premium was 42%, select service was 46%, and midscale was 2%. Marriott, Courtyard, and Sheraton are the largest brands, while Autograph, Tribute, Moxy, Aloft, and Element are newer lifestyle brands. Managed and franchised represented 99% of total rooms as of Dec. 31, 2025. North America makes up 61% of total rooms. Managed, franchise, and incentive fees represent the vast majority of revenue and profitability for the company.
Employees
414.0K
Market Cap
99.4B
Industry
HOTELS & MOTELS
Listed
1998-03-30
Address
7750 WISCONSIN AVENUE
BETHESDA, MD 20814
Phone: (301) 380-3000
Technical OutlookStrong Buy
Strong SellNeutralStrong Buy
Long-Term (Tide)?ā–² Bullish(+3/3)
Medium-Term (Wave)?ā–² Bullish(+2/3)
Short-Term (Ripple)?ā–¼ Bearish(-2/3)
MA Alignment?Golden Alignment
Full Technical Analysis →
Fundamental OutlookSell
Strong SellNeutralStrong Buy
F-Score?
60
Z-Score?
99
Momentum?
50
Short Sent.?
68
Piotroski F-Score?5/9Mixed
Altman Z-Score?5.39Safe
Confidence?70%Moderate
Full Fundamental Analysis →
Short InterestModerate
Short % of Float?2.38%Low
Short Interest?4.9M
Days to Cover?3.7
Free Float204.7M
Avg Daily Volume1.3M
Settlement Date2026-05-15
Financial Health
Current Ratio?0.46Weak
Quick Ratio?0.46Weak
Cash Ratio?0.05Low
Debt/Equity?-4.04Low
ValuationFAIRLY VALUEDvs 10 peers + S&P 500
Score
61/100
P/E?
Peers
43
S&P
19
38.1PRICEYā–¾
P/B?
Peers
100
S&P
97
-24.09CHEAPā–¾
P/S?
Peers
36
S&P
41
3.71FAIRā–¾
P/FCF?
Peers
40
S&P
22
34.9FAIRā–¾
EV/EBITDA?
Peers
9
S&P
18
23.5HIGHā–¾
EV/Sales?
Peers
45
S&P
43
4.31FAIRā–¾
Returns & Efficiency
ROE?
Peers
20
S&P
3
-63.1%WEAKā–¾
ROA?
Peers
29
S&P
72
9.3%STRONGā–¾
Cash Flow & Enterprise
FCF?$2.8B
Enterprise Value?$114.6B
Fundamentals ratios updated end of day