Marriott International Inc (MAR) Stock Analysis

Marriott International Inc (MAR) is a publicly traded company in the CONSUMER CYCLICAL sector. It trades at $373.76, carries a market capitalization of $99.40B, a price-to-earnings ratio of 39.51. This page summarizes the public market data, fundamentals, and frequently asked questions for MAR, with GNG Research's proprietary safety, quality, and valuation analysis available to members.

Sector: CONSUMER CYCLICAL - LODGING

Exchange: NASDAQ

Key Metrics

Market Sentiment

Marriott International Inc currently has a Bullish sentiment score of 0.21.

GNG Research Analysis

GNG Research scores Marriott International Inc (MAR) on three proprietary dimensions — a Safety score, a Quality score, and a Valuation score — alongside fair value estimates and buy-price targets for 5,000+ companies. These ratings are reserved for members. Read how the scores are calculated on our methodology page, or see GNG Research plans to unlock the full rating for MAR.

Frequently Asked Questions

Does MAR pay dividends?

Marriott International Inc (MAR) does not currently pay a regular dividend.

What is MAR's P/E ratio?

Marriott International Inc has a price-to-earnings (P/E) ratio of 39.51.

What is MAR's market cap?

Marriott International Inc (MAR) has a market capitalization of $99.40B with a current stock price of $373.76.