marriott stock price: complete tracking guide
Marriott stock price
This article explains what the marriott stock price refers to, how investors and traders track it in real time and historically, the primary drivers that move the stock, and practical tools and considerations to monitor and trade Marriott International, Inc. (ticker MAR). Read on to learn where to get quotes, which valuation and market metrics matter, how recent news has affected the share price, and how to use reliable platforms—including Bitget—to view and trade MAR.
Company overview (Marriott International, Inc.)
Marriott International, Inc. is a global hospitality company operating, franchising, and licensing an extensive portfolio of hotel and lodging brands. The company spans luxury names like The Ritz-Carlton, JW Marriott, and Bulgari Hotels & Resorts, to midscale and value brands such as Courtyard by Marriott and Fairfield Inn & Suites. Beyond traditional hotels, Marriott participates in timeshare, residential, and extended-stay segments.
Marriott’s breadth—over 9,400 properties across 144 countries and territories—gives the company scale advantages in distribution, loyalty programs, and marketing. This scale is a central factor that investors consider when valuing the marriott stock price because systemwide reach affects revenue diversity, margins, and cash flow variability across regions and brands.
Ticker and listing information
Ticker symbol and exchanges
- Ticker symbol: MAR
- Primary listing: U.S. public markets (NYSE) — investors typically search for MAR to pull quotes on major finance sites and broker platforms.
- Identifiers: ISIN and CUSIP are standard references in institutional reporting (check company filings or major market-data providers for the precise ISIN/CUSIP values for MAR shares).
Share classes and corporate structure
Marriott International generally trades under a single common share class for public investors. The company’s structure includes a mix of company-operated and franchised properties; a significant portion of revenue is fee- and franchise-based rather than fully owned real estate, which affects capital intensity and margin profile. For definitive shareholder rights, voting class details, and any dual-class structure information, consult Marriott’s investor relations disclosures and proxy materials.
Real‑time price and market data
Sources of real‑time and delayed quotes
Investors use multiple quote providers to monitor the marriott stock price. Common sources include CNBC, Yahoo Finance, MarketWatch, TradingView, Investing.com, and retail broker apps such as Robinhood. Each provider may display slightly different figures due to data refresh intervals, rounding, or whether the feed includes extended-hours trading.
Key points about these providers:
- Real‑time feeds versus delayed data: many free public sites provide 15‑minute delayed quotes unless they have a paid real‑time data subscription. Broker platforms typically show real‑time executable prices for customers.
- Data differences: pre‑market and after‑hours trades are sometimes shown separately and may cause differences in displayed “last” price across providers.
- Cross‑checking: use multiple sources—company investor relations, a trusted brokerage feed, and a market-data provider—to confirm unusual moves.
When looking up the marriott stock price for trading, confirm whether the displayed quote is delayed and whether it includes pre‑market or after‑hours trades.
Note: For execution, use your brokerage’s real‑time order entry rather than a delayed public quote.
Trading hours and extended sessions
- Regular U.S. equity hours: 9:30 a.m. to 4:00 p.m. Eastern Time (ET).
- Pre‑market sessions: typically begin as early as 4:00 a.m. ET on many broker platforms; liquidity is lower and spreads can be wider.
- After‑hours sessions: commonly run from 4:00 p.m. to 8:00 p.m. ET; prices can move meaningfully during these periods on earnings, guidance, or major news.
Because the marriott stock price can change in extended sessions, pay attention to whether a quote reflects regular hours only or an extended session trade. Significant news—earnings releases, guidance changes, or macro headlines—often produces larger moves outside regular hours.
Historical price performance
Short‑term performance (intraday, YTD, 1‑year)
Investors commonly review intraday ranges, year‑to‑date (YTD) returns, and one‑year performance to assess short‑term momentum in the marriott stock price. Typical short‑term indicators include:
- Day high / low and intraday volume spikes.
- YTD percentage change compared with major indices (e.g., S&P 500) and hospitality peers or sector ETFs.
- 1‑year change to capture rolling 12‑month momentum.
As a concrete reference point, market reporting noted that MAR had surged roughly 18.1% over the past 52 weeks, marginally outperforming the S&P 500’s 16.9% rise on a comparable basis (source: Barchart reporting). Short‑term performance often reflects recent earnings, hotel occupancy trends, and travel demand seasonality.
Long‑term history and milestones
Long‑term charts help identify multi‑year trends, cyclical peaks, and troughs in the marriott stock price. Important historical milestones that investors track include:
- All‑time highs and lows: market reporting highlighted an all‑time high of $331.09 reached in January of the referenced year, reflecting strong recovery and premium demand for luxury travel.
- Recovery patterns from macro shocks: Marriott’s revenue and shares were materially affected during global travel disruptions; subsequent recoveries trace the reopening of international travel and leisure demand.
- Multi‑year EPS growth and margin expansion trends that underpin valuation multiples.
For downloadable historical data, providers like Macrotrends and Investing.com offer CSV exports that can be used for charting long-term returns and calculating compounded annual growth rates.
Charts and data downloads
Interactive charts and downloadable history facilitate both visual analysis and quantitative modeling of the marriott stock price. Standard chart timeframes include 1 day, 1 month, 3 months, 1 year, 5 years, and max (from IPO or earliest available data). Use charting platforms with drawing tools and indicators (TradingView, Yahoo Finance interactive charts) to analyze trends.
Data downloads typically include daily open/high/low/close (OHLC), adjusted close, and daily volume—useful for building historical return tables, volatility estimates, and backtests.
Key valuation and market metrics
Market capitalization and float
Market capitalization (market cap) equals the company’s share price multiplied by shares outstanding. Market cap helps place the marriott stock price in context of peer hospitality companies. According to market reporting, as of January 22, 2026, Marriott had a market capitalization of about $87.5 billion (source: Barchart reporting). Reported market cap and float figures are available on the company’s investor relations page and finance data providers.
Float (publicly tradable shares) and insider holdings influence liquidity and potential price sensitivity to large transactions.
Earnings and multiples
Key earnings metrics that affect the marriott stock price include:
- EPS (Earnings Per Share), both reported (trailing‑twelve‑months or TTM) and forward estimates.
- Price‑to‑Earnings (P/E) ratio: TTM P/E and forward P/E based on analyst consensus estimates.
- EBITDA and EV/EBITDA multiples used by institutional analysts to assess operating performance and cross‑company comparability.
Analyst consensus expectations reported by market sources projected fiscal 2025 EPS of about $10.05 and fiscal 2026 EPS around $11.49—numbers that inform forward multiples and investor expectations (source: Barchart reporting). Quarterly beats and consistent outperformance versus estimates have been cited as drivers of positive sentiment toward the marriott stock price.
Dividend policy and yield
Marriott has paid dividends historically, and dividend size, ex‑dividend dates, and yield are tracked by income‑focused investors. Dividend yield equals annual dividend per share divided by the share price. Review the company’s dividend history on its investor relations page for declared amounts and payout practices. Any changes to the dividend policy—raises, suspensions, or special dividends—can materially affect the marriott stock price.
Recent price drivers and news
Earnings releases and guidance
Marriott’s quarterly earnings reports are primary catalysts for changes in the marriott stock price. Investors pay attention to revenue, comparable‑property metrics (RevPAR), adjusted EPS, international performance (especially luxury hotels overseas), and management guidance for the next quarter or fiscal year.
As of the referenced report, Marriott was expected to release Q4 2025 results on Tuesday, February 10, with analysts projecting $2.61 per share for the quarter—about a 6.5% increase from $2.45 in the same quarter the year prior (source: Barchart reporting). The company’s track record of beating estimates in recent quarters contributed to positive momentum in the stock.
Industry and macro drivers
Macro factors that influence the marriott stock price include:
- Travel demand: leisure and business travel recovery after global disruptions.
- Currency movements: international revenues reported in local currencies affect consolidated results when translated to USD.
- Fuel and operating costs: higher travel expenses can change consumer behavior and margins for operated properties.
- Interest rates: higher rates can compress valuation multiples and increase borrowing costs for development financing.
During periods when luxury travel outperforms budget segments, companies with a greater tilt toward premium properties—like Marriott—may see relative strength in their share price.
Company‑specific events
Events specific to Marriott that affect the marriott stock price include leadership changes, large-scale franchising deals, M&A activity, and material operational incidents (for example, cybersecurity or regulatory fines). Positive execution on growth strategies—new brand launches, loyalty program partnerships, or asset‑light franchising expansions—can be interpreted favorably by markets.
Analyst coverage and price targets
Analyst ratings and consensus
Analysts provide ratings and price targets that investors use to gauge market expectations. A consensus view aggregates individual analysts’ Buy/Hold/Sell recommendations and price targets. The referenced reporting noted a moderately optimistic consensus: among 26 analysts, 10 recommended a “Strong Buy,” 2 a “Moderate Buy,” 13 a “Hold,” and 1 a “Strong Sell” (source: Barchart reporting). Median or average analyst price targets and the distribution of ratings can act as reference points for market sentiment on the marriott stock price.
Notable recent analyst actions
Upgrades, downgrades, and changes in price targets often move the marriott stock price intraday, especially when multiple analysts adjust expectations after an earnings release or material company announcement. Market reports have highlighted that the average analyst price target was $309.68 with a Street‑high target near $370, implying upside potential relative to contemporaneous price levels (source: Barchart reporting).
Technical analysis and market sentiment
Common technical indicators
Traders use technical indicators to analyze the marriott stock price for trend and momentum signals. Common tools include:
- Moving averages (e.g., 50‑day and 200‑day) to identify trend direction and crossover signals.
- Relative Strength Index (RSI) to assess overbought/oversold conditions.
- MACD (Moving Average Convergence Divergence) to spot changes in momentum.
- Support and resistance levels derived from prior highs and lows.
Charting platforms such as TradingView and many broker platforms let users overlay indicators and draw trend lines to analyze the marriott stock price behavior.
Sentiment indicators and retail ownership
Sentiment can be gauged through options activity, unusual volume, short interest, and social or idea platforms where retail investors share opinions. Elevated call‑option volume or an increase in retail interest can precede short‑term volatility in MAR. Institutional ownership percentages and ETF exposures (hotel and leisure ETFs) are also useful to understand which investor classes are moving the marriott stock price.
Corporate actions affecting price
Dividends, stock splits, buybacks
Corporate actions such as share buybacks and dividend changes directly affect shareholder returns and often the marriott stock price. Buyback programs reduce shares outstanding and can support EPS and price per share. Stock splits change the number of outstanding shares but not company value; they may broaden retail accessibility.
Check company press releases or SEC filings for history and upcoming authorizations of repurchase programs or special dividends.
Regulatory and accounting items
Regulatory findings, accounting restatements, or large fines can materially impact the marriott stock price. Investors monitor SEC filings and company disclosures for any such items that could alter future earnings or impose financial penalties.
Risks and considerations for investors
Business and industry risks
Key business risks for Marriott that can affect the marriott stock price include:
- Global events that reduce travel demand (pandemics, regional conflicts, natural disasters).
- Competitive pressures from other global hospitality brands and alternative lodging platforms.
- Franchise concentration risk in specific geographic markets.
Market and financial risks
Financial risks include:
- Interest rate sensitivity: higher rates can reduce valuation multiples and raise financing costs.
- Foreign exchange exposure: international revenues can be impacted by FX headwinds.
- Cyclicality: hospitality revenue is often cyclical and tied to economic cycles and consumer confidence.
Data and timing caveats
When using public sources for the marriott stock price, be aware of:
- Delayed quotes on free data platforms (commonly 15 minutes).
- Differences between providers when extended‑hours trading is present.
- The need to confirm prices via a brokerage execution feed before placing trades.
How to monitor and trade Marriott stock
Brokerages and trading platforms
Retail investors commonly use full‑service brokers or app‑based platforms to monitor the marriott stock price and execute trades. When choosing where to trade, consider the platform’s data timeliness, fees, order types, and charting capabilities.
If you plan to trade MAR, consider using Bitget for market access and tools; Bitget provides market data and execution services and integrates charting and order types suitable for both beginners and more advanced users. Always confirm the availability of U.S. equities on your chosen platform and whether the platform provides real‑time data.
Tools and feeds for investors
To build a comprehensive monitoring setup for the marriott stock price, combine these resources:
- Company investor relations: official SEC filings, earnings slides, and press releases.
- Real‑time brokerage feed for live pricing and order execution.
- Market data providers (CNBC, Yahoo Finance, MarketWatch, TradingView, Investing.com) for news aggregation and charts.
- Analyst reports and aggregated consensus estimates for forward guidance.
Using multiple sources reduces the risk of acting on stale or single‑source information.
References and external links
The following authoritative sources are commonly used to verify quotes, historical data, and corporate disclosures about Marriott and the marriott stock price. (No direct URLs are provided here; search these sources by name for the latest pages.)
- Marriott Investor Relations (company filings and press releases)
- Barchart (market reporting and analyst summaries)
- CNBC quote and news pages
- Yahoo Finance (quote, historical data, analyst estimates)
- MarketWatch (quotes and news)
- TradingView (interactive charts and technical indicators)
- Investing.com (historical data and market news)
- Macrotrends (long‑term historical price series)
As of January 22, 2026, according to Barchart reporting, Marriott’s market capitalization was about $87.5 billion; the stock had gained roughly 18.1% over the prior 52 weeks and reached an all‑time high near $331.09 in January. Analysts covering the company projected fiscal 2025 EPS near $10.05 and fiscal 2026 EPS near $11.49, with consensus and target distributions contributing to market sentiment.
Appendix
Typical data fields explained
- Bid / Ask: the highest price a buyer is willing to pay (bid) and the lowest price a seller will accept (ask). Narrow spreads often indicate better liquidity.
- Day high / low: the intraday highest and lowest trade prices.
- Volume: the number of shares traded during the given period.
- Average volume: typical daily volume averaged over a specified period (30‑day, 90‑day) to assess liquidity.
- 52‑week range: the lowest and highest prices over the past 52 weeks.
- Market cap: share price multiplied by total shares outstanding.
- P/E (Price/Earnings): share price divided by EPS; available as TTM and forward estimates.
- EPS: earnings per share—reported (historical) and projected (analyst estimates).
- Dividend yield: annual dividend divided by current share price.
Example queries and how to get the latest price
- Quick lookup: type “MAR” into the search box of a major finance site (Yahoo Finance, TradingView) to see current quotes.
- Broker check: log into your brokerage account and query “MAR” for a live executable price feed.
- Command examples: on many platforms, set alerts for “MAR price crosses $X” or “MAR price change % intraday.”
Practical checklist to follow when checking the marriott stock price
- Confirm whether the quote is real‑time or delayed.
- Check whether the quote is regular hours only or includes extended sessions.
- Review the latest company press release or SEC filing if a material move has occurred.
- Cross‑reference at least two reputable market data sources.
- If trading, confirm execution price and available liquidity on your brokerage (recommended: Bitget for integrated market tools).
Important dated reporting and context
- As of January 22, 2026, according to Barchart reporting, Marriott’s market capitalization was approximately $87.5 billion, the stock had returned about 18.1% over the prior 52 weeks, and the company had reached a recent all‑time high around $331.09 in January. Analysts expected Q4 2025 EPS of $2.61 (quarterly) and full‑year fiscal 2025 EPS near $10.05, with fiscal 2026 EPS projected near $11.49. The analyst coverage included a range of ratings and target prices with an average target near $309.68 and a Street‑high at $370, indicating varying degrees of upside expectations from then‑current levels (source: Barchart reporting).
More on using Bitget for market access and analysis
Bitget offers charting tools, market data, and order execution capabilities suited for monitoring equity prices such as the marriott stock price. For users who prefer a consolidated environment, Bitget Wallet is recommended for Web3 interactions and related tools where applicable. When choosing any platform, confirm market coverage, data feed latency, fee schedules, and regulatory compliance for trading U.S. equities.
Explore Bitget’s market tools if you want a single platform to view charts, set alerts, and execute trades for MAR alongside other assets.
Final notes and next steps
This guide described where the marriott stock price comes from, how to interpret common metrics, and which events typically move the stock. For the most current quote, always check a real‑time brokerage feed and the company’s investor relations releases. If you plan to act on price movements, ensure you understand trading costs, market hours, and data timing.
To continue tracking MAR: set price alerts on your chosen platform, follow Marriott’s investor relations for official filings, and monitor travel‑industry and macroeconomic news that can affect demand for hospitality services.
Want to start monitoring MAR with a single platform? Consider Bitget for unified market data, charting, and order execution—confirm the platform’s U.S. equity coverage and account setup requirements before trading.





















