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marriot stock: Marriott (MAR) Guide

marriot stock: Marriott (MAR) Guide

This comprehensive guide explains marriot stock (Marriott International, ticker MAR), how the shares are identified and traded, key financial and market metrics, risks specific to the hotel sector,...
2024-07-12 00:42:00
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Marriott International (MAR) — Stock

Note on spelling: The common search term "marriot stock" (single r) often refers to Marriott International, Inc. (correct spelling: "Marriott") and its common shares trading under the ticker MAR on Nasdaq. This article uses the search term exactly where relevant to support discoverability but clarifies the correct company name and identifiers.

Introduction

marriot stock is commonly searched by retail and institutional users seeking information about Marriott International, Inc.’s shares. This guide explains what marriot stock refers to, how the security is identified and traded, where to find reliable live data, the primary metrics analysts monitor, company-specific and market risks, and practical steps for following the stock using reputable sources. Readers will learn how to interpret filings and market signals without receiving investment advice.

As of 2026-01-27, according to Marriott Investor Relations, Marriott International’s equity trade ticker remains MAR on Nasdaq and the company continues to publish SEC filings (10-Q, 10-K) and press releases via its IR channel.

Company overview

Marriott International is a global hospitality company that develops, franchises, and manages a broad portfolio of hotels and related lodging facilities. Its business model includes both franchised and company-managed properties. Marriott’s brand portfolio spans economy to luxury segments and includes well-known names across full-service and select-service categories. This operating structure shapes how marriot stock performance relates to lodging demand, franchise economics, management fees, and owned-property results.

Key business drivers for marriot stock include global travel volumes, corporate and leisure demand, average daily rate (ADR) and revenue per available room (RevPAR), conversion of new franchised locations, management and franchise fee growth, and cost control in managed properties.

Stock identification and listing

Ticker symbol and exchange

  • Ticker: MAR
  • Primary exchange: Nasdaq (United States)
  • Trading currency: USD
  • Share class: Common stock (Class A common shares in public free float)

marriot stock queries typically aim to identify MAR on Nasdaq and confirm trading details such as lot sizes, trading hours, and currency. Official statements and up-to-the-minute quotes are provided by the company’s Investor Relations and market-data platforms.

ISIN and other identifiers

To uniquely identify marriot stock across global systems, the security has standard identifiers such as ISIN and CUSIP. These codes are used in settlement, electronic trading systems, and detailed portfolio reporting. For precise ISIN/CUSIP values, consult the company’s Investor Relations materials or your broker’s security lookup tool.

Market data and key metrics

Price and market capitalization

Market price and market capitalization for marriot stock change continuously during trading hours. Market capitalization equals the current share price multiplied by total outstanding shares and is commonly used to place the company within a size-based peer group. For live price and market cap updates, reputable data platforms and the company’s IR pages provide real-time or end-of-day figures.

As of 2026-01-27, according to public market-data providers such as Yahoo Finance and MarketWatch, users can obtain the latest MAR price, intraday charts, and market capitalization figures. Readers should note that quoted prices are subject to delay depending on the data provider.

Valuation metrics

Common valuation metrics for marriot stock include:

  • Price-to-earnings (P/E) ratio — compares share price to trailing or forward earnings per share (EPS).
  • Earnings per share (EPS) — reported on a GAAP basis and sometimes adjusted for special items.
  • Enterprise value to EBITDA (EV/EBITDA) — useful for comparing companies with differing capital structures.
  • Price-to-sales (P/S) and price-to-book (P/B) ratios — additional cross-checks.

These metrics are available on financial portals (e.g., TradingView, MarketWatch) and in analyst reports. Differences between trailing and forward valuations reflect analysts’ consensus estimates and guidance.

Dividend policy and yield

Marriott has historically managed capital return through dividends and share repurchases depending on cash flow and board decisions. Dividend yield equals the annual dividend per share divided by the current share price and varies with price movement and payout changes. Share repurchase programs are disclosed in SEC filings and shareholder communications and affect outstanding share counts and per-share metrics.

For the most recent dividend announcement dates, ex-dividend dates, and amounts, refer to Marriott’s Investor Relations page and quarterly filings. Any historical or current dividend data should be date-stamped to reflect when it was reported.

Historical stock performance

Price history and major milestones

Marriott’s long-term share-price history reflects travel cycles, economic recessions, pandemic-related disruptions, recovery phases, and company-specific catalysts such as M&A or strategic partnerships. Charting tools (TradingView, Yahoo Finance) allow users to visualize multi-year and intraday performance, overlay technical indicators, and compare marriot stock against peers or indices.

When discussing milestones for marriot stock, mention events such as IPO-related timing (if applicable), record highs/lows, and recoveries after systemic shocks. Always reference the date of any price milestone and the data source.

Corporate actions

Corporate actions that have historically affected marriot stock include share buybacks, special dividends, secondary offerings, and asset dispositions or acquisitions. Any stock splits, spin-offs, or major capital-structure changes would be documented in SEC filings and investor releases. Keep track of proxy statements and press releases for up-to-date action details.

Financial reporting and earnings

Quarterly and annual results

Marriott reports quarterly (Form 10-Q) and annual (Form 10-K) financials to the SEC. Earnings releases typically cover revenue, net income, adjusted EBITDA, management and franchise fees, and per-share metrics. Management commentary offers guidance for upcoming quarters and notes on demand patterns across regions.

As of 2026-01-27, Marriott continues to publish quarterly earnings and supplemental materials on its Investor Relations site. Investors and researchers should consult the latest 10-Q/10-K filings for audited figures and reconciliation tables.

Key financial trends

Investors following marriot stock monitor several hospitality-specific metrics:

  • RevPAR (Revenue Per Available Room) — core industry metric capturing room revenue performance.
  • Occupancy rate and ADR (Average Daily Rate) — drivers of RevPAR.
  • Fee revenue mix — portion of revenue from management and franchising vs. owned/leased operations.
  • Operating margins and adjusted EBITDA — indicate profitability across cycles.

Seasonality influences hotel performance: peak travel seasons, business travel patterns, and regional events can create recurring revenue swings. Management’s commentary often outlines expectations for seasonality and demand drivers.

Ownership and shareholders

Major institutional and insider holders

Ownership of marriot stock typically includes institutional investors such as mutual funds, pension funds, and asset managers, along with insiders like executives and board members. Ownership tables, usually published on financial portals, show top institutional holders and percentage ownership. Changes in holdings are tracked via regulatory filings (e.g., Form 13F for institutional holdings and Form 4 for insider transactions).

Share float and short interest

Public float (shares available for trading by public investors) affects liquidity. Short interest — the number of shares sold short divided by float — provides a gauge of hedging or bearish sentiment and is reported periodically by exchanges and data aggregators. Elevated short interest can inform discussions about market sentiment toward marriot stock but requires context from fundamentals and news flow.

Corporate governance

Board and executive leadership

Board composition, committees (audit, compensation, nominating), and executive leadership (CEO, CFO) influence strategic oversight and operational execution. Proxy statements and IR materials provide biographies, compensation details, and governance policies. For marriot stock, governance disclosures help investors evaluate alignment of management incentives with shareholder outcomes.

Shareholder meetings and voting rights

Marriott’s annual shareholder meeting and proxy materials outline shareholder votes on directors, executive compensation, and other governance items. Voting rights are determined by share class (common shares typically carry one vote per share unless otherwise specified). Proxy statements filed with the SEC give full details on proposals and voting procedures.

Analysts, ratings and investor sentiment

Analyst coverage and price targets

Sell-side analysts provide ratings (e.g., buy/hold/sell) and price targets for marriot stock. These opinions and consensus forecasts appear on platforms like MarketWatch, CNBC coverage, and investment research outlets. Analyst revisions often follow earnings releases, guidance updates, or macro events that materially affect travel demand.

Market commentary and media

Financial media and research outlets (e.g., CNBC, The Motley Fool, MarketWatch) publish news, features, and daily price commentary that shape short-term sentiment for marriot stock. Industry reports and travel trend studies also inform investor expectations. When citing media, always anchor statements with the publication date and source.

As of 2026-01-27, according to MarketWatch and CNBC coverage, analysts continue to track demand recovery, RevPAR trends, and international travel recovery as key sentiment drivers for marriot stock.

Trading, liquidity and derivatives

Average volume and liquidity

Average daily trading volume for marriot stock indicates how easily shares can be bought or sold without materially moving the price. Higher average volume generally implies better liquidity and tighter bid-ask spreads. Data providers and brokerage platforms list average volume statistics and historical volume patterns.

Options market and institutional activity

MAR options are listed on U.S. options exchanges and are used by market participants for hedging, income generation, or directional exposure. Common option strategies around marriot stock include covered calls, protective puts, and spreads. Institutional flows, block trades, and large derivative positions occasionally appear in options market reports and regulatory disclosures.

If you intend to trade derivatives tied to marriot stock, consult your brokerage or a derivatives specialist for product specifications and margin requirements. For trading execution and derivatives access, Bitget offers spot and derivatives functionality; visit Bitget for product details and account requirements.

Investment considerations and risks

This section summarizes common considerations and risk factors that affect marriot stock. The content is informational and not investment advice.

Business-specific risks

Key risks for Marriott’s business model that may influence marriot stock include:

  • Cyclical demand for travel and lodging, influenced by macroeconomic conditions.
  • Changes in corporate travel policies and consumer preferences.
  • Operational risks at managed properties, including labor costs and local regulations.
  • Concentration risk in key geographic markets or brand segments.
  • Franchise-related risks: brand standards, franchisee performance, and reputational issues.

Market and macro risks

Interest rates, inflation, exchange rates, and geopolitical events can alter travel demand and financing costs. Economic slowdowns typically reduce discretionary travel and group bookings, which can pressure marriot stock. Conversely, strong economic growth supports ADR and occupancy improvements.

As of 2026-01-27, major macro indicators reported by financial news outlets continue to be key drivers for hospitality equities, including marriot stock.

ESG considerations

Environmental, social, and governance (ESG) factors are increasingly material to hospitality companies. For Marriott, ESG topics include energy and water use at properties, climate resilience, labor and human-rights policies, guest safety, and board-level governance practices. Investors often review sustainability reports and corporate disclosures when assessing non-financial risk for marriot stock.

Competitors and peer group

Major competitors

Marriott competes with other global and regional hospitality companies and alternative lodging platforms. Major peers include multinational hotel operators and franchisors such as Hilton, Hyatt, and InterContinental Hotels Group, as well as digital platforms like Airbnb which compete for lodging demand. Peer comparison helps contextualize valuation multiples and operating performance for marriot stock.

Sector/ETF exposure

Travel and hospitality ETFs and sector indices include exposure to marriot stock alongside peers. These ETFs provide diversified ways to track industry performance rather than a single-company focus. For investors who prefer a one-ticker exposure to the sector, ETFs can be a complement or alternative to holding marriot stock directly.

Notable events and recent developments

Significant corporate announcements

Significant events that can move marriot stock include leadership changes, mergers and acquisitions, major franchising agreements, litigation outcomes, or regulatory developments. Each material announcement typically carries a date and a source; when documenting events, cite the company press release or SEC filing and the reporting date.

As of 2026-01-27, readers should consult Marriott’s Investor Relations press release archive and SEC filings for the most recent corporate announcements affecting marriot stock.

Recent earnings/market reactions

Earnings releases and guidance updates frequently prompt market reactions in marriot stock. Following quarterly results, price moves and analyst revisions are covered by outlets such as CNBC, MarketWatch, and Yahoo Finance. When reporting a market reaction, always reference the report date and data source.

For example: as of 2026-01-27, according to MarketWatch and company press releases, quarterly results and management commentary on RevPAR and international recovery have been central to recent market reactions for marriot stock.

How to research and follow the stock

Official sources

Primary, authoritative sources for marriot stock information include:

  • Marriott Investor Relations (press releases, events, SEC filings)
  • U.S. SEC filings (10-Q, 10-K, 8-K, proxy statements)

As of 2026-01-27, Marriott’s IR site and the SEC EDGAR database are the definitive locations for audited financial reports and material corporate disclosures.

Market-data and analysis platforms

For quotes, charts, news aggregation, and community analysis on marriot stock, common platforms include Yahoo Finance, MarketWatch, CNBC coverage, TradingView charting, Robinhood’s quote pages, and research pieces from The Motley Fool. These platforms provide different tools: real-time or delayed quotes, technical analysis, analyst consensus, and news feeds.

If you plan to trade marriot stock, Bitget provides trading infrastructure and products. For custody and on-chain wallet needs related to web3 assets or tokenized exposure (if available in the future), Bitget Wallet is the recommended wallet experience in this guide.

See also

  • Marriott International (company profile)
  • Hospitality industry overview
  • Hotel REITs and lodging REIT comparisons
  • NASDAQ ticker symbols and market structure

References

  • Marriott Investor Relations — company filings and press releases (primary source). Report dates and filings should be checked directly on the IR site for the latest figures.
  • MarketWatch — MAR quote and market coverage.
  • Yahoo Finance — MAR quote page with price, charts, and analyst data.
  • CNBC — MAR stock coverage and breaking news.
  • The Motley Fool — company analysis and long-form articles.
  • TradingView — interactive charts and community trade ideas.
  • Robinhood — retail-focused quote and summary pages.
  • The Globe and Mail — coverage of MAR in broader market context.

Note: When referencing any numeric metric such as market cap, price, P/E, or volume for marriot stock, include the source and the date of the quoted figure because these values change frequently.

External resources (names only — visit these sources for live data)

  • Marriott Investor Relations
  • SEC EDGAR filings
  • Yahoo Finance (MAR)
  • MarketWatch (MAR)
  • TradingView (NASDAQ: MAR)
  • CNBC MAR coverage

Practical checklist to follow marriot stock

  1. Bookmark Marriott Investor Relations and SEC filings for primary disclosures.
  2. Add MAR to watchlists on a charting platform (TradingView recommended for technical work) for historical charts and alerts.
  3. Monitor quarterly earnings dates and analyst conference calls using IR event calendars.
  4. Track RevPAR, ADR, and occupancy metrics in Marriott’s quarterly supplemental materials.
  5. Use reputable market-data sources (Yahoo Finance, MarketWatch) for live price and average-volume data; cross-check before making trading decisions.
  6. For execution or derivatives access, consider trading via Bitget and use Bitget Wallet for custody of related web3 assets (where applicable).

Responsible use and next steps

marriot stock is a widely followed hospitality equity that reflects both company execution and broader travel demand cycles. For further technical or fundamental research, consult the company’s filings, read analyst reports, and use market-data tools. If you want to track or trade MAR, Bitget provides trading tools, derivatives, and custody solutions; visit Bitget to learn about product specifics and account setup.

Further exploration: review Marriott’s latest 10-Q/10-K, read recent earnings call transcripts, and set alerts on market-data platforms to stay updated on material developments that affect marriot stock.

More practical guides and how-to articles are available to help you interpret key hospitality metrics like RevPAR and ADR, and to compare marriot stock against peer valuations.

This article is informational and neutral in tone. It does not constitute investment advice or a recommendation to buy or sell securities. For personalized advice, consult a licensed financial professional.

The content above has been sourced from the internet and generated using AI. For high-quality content, please visit Bitget Academy.
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