Marriott International (MAR)
349.79
-23.04 (-6.18%)
NASDAQ· Last Trade: Aug 3rd, 3:35 PM EDT
Detailed Quote
| Previous Close | 372.83 |
|---|---|
| Open | 359.44 |
| Bid | 349.56 |
| Ask | 349.98 |
| Day's Range | 344.13 - 365.47 |
| 52 Week Range | 255.27 - 410.98 |
| Volume | 3,380,276 |
| Market Cap | 113.91B |
| PE Ratio (TTM) | 51.97 |
| EPS (TTM) | 6.7 |
| Dividend & Yield | 2.920 (0.83%) |
| 1 Month Average Volume | 1,385,548 |
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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
Exploring the top movers within the S&P500 index during today's session.chartmill.com
Via Chartmill · August 3, 2026
Explore the top gainers and losers within the S&P500 index in today's session.chartmill.com
Via Chartmill · August 3, 2026
Marriott International (NASDAQ:MAR) has outperformed the market over the past 5 years by 8.34% on an annualized basis producing an average annual return of 19.63%. Currently, Marriott International has a market
Via Benzinga · August 3, 2026
Marriott International (NASDAQ:MAR) reported second-quarter results that exceeded its prior expectations, driven by global revenue per available room growth, expanding fee revenue and continued portfolio growth. The company raised its full-year 2026 outlook for global RevPAR, gross fee revenue, adju
Via MarketBeat · August 3, 2026
Marriott International (NASDAQ:MAR) Faces Market Pushback on Revenue Miss Despite Q2 EPS Beatchartmill.com
Via Chartmill · August 3, 2026
These S&P500 stocks are gapping in today's sessionchartmill.com
Via Chartmill · August 3, 2026
Which S&P500 stocks are moving before the opening bell on Monday?chartmill.com
Via Chartmill · August 3, 2026
Global hospitality company Marriott (NASDAQ:MAR) missed Wall Street’s revenue expectations in Q2 CY2026 as sales rose 4.8% year on year to $7.07 billion. Its...
Via StockStory · August 3, 2026
Global hospitality company Marriott (NASDAQ:MAR) will be reporting earnings this Monday before market open. Here’s what to expect. Marriott met analysts’ rev...
Via StockStory · August 1, 2026
While the S&P 500 (^GSPC) includes industry leaders, not every stock in the index is a winner. Some companies are past their prime, weighed down by poor exec...
Via StockStory · July 24, 2026
AI stocks may be the biggest driving force, but analysts' top picks aren't exactly tech ETFs.
Via The Motley Fool · July 17, 2026
Amid resilient travel spending, Marriott and Viking Holdings show strong earnings and booking trends, though both stocks trade near their consensus price targets ahead of Q2 reports.
Via MarketBeat · July 15, 2026
Since July 2021, the S&P 500 has delivered a total return of 70.5%. But one standout stock has more than doubled the market - over the past five years, Marri...
Via StockStory · July 10, 2026
A company that generates cash isn’t automatically a winner. Some businesses stockpile cash but fail to reinvest wisely, limiting their ability to expand. Cas...
Via StockStory · July 9, 2026
Booking's capital-light model delivers 20% net margins, while Marriott's 271-million-member loyalty program anchors its physical empire.
Via The Motley Fool · July 8, 2026
Expensive stocks often command premium valuations because the market thinks their business models are exceptional. However, the downside is that high expecta...
Via StockStory · July 2, 2026

Many investors avoid stocks at 52-week highs, but Coca-Cola, TJX, and Marriott show how strong businesses with growing dividends can keep rewarding shareholders long after setting new records.
Via The Motley Fool · June 16, 2026
A ceasefire in Iran may mean a big spike in shares of UAL, MAR, and RCL, but these companies could still thrive even if the conflict continues.
Via MarketBeat · June 15, 2026
High oil prices above $90 per barrel are pressuring airlines and cruise lines, while fuel-cost-free hotel franchises like Marriott and Hilton reach new highs.
Via MarketBeat · June 13, 2026
As the Q1 earnings season wraps, let’s dig into this quarter’s best and worst performers in the consumer discretionary - travel and vacation providers indust...
Via StockStory · June 11, 2026
The performance of consumer discretionary businesses is closely linked to economic cycles. Over the past six months, it seems like demand trends may be worki...
Via StockStory · June 9, 2026
See where NVIDIA's dividend yield sits after a 25x dividend boost; one of the largest investors will ever see. Two other industry leaders also lifted payouts.
Via MarketBeat · June 3, 2026
Marriott International (NASDAQ:MAR) Chief Financial Officer Jen Mason said travel demand remains broadly healthy, with leisure and group travel showing strength, while the Middle East remains the company’s primary near-term headwind.
Speaking at a Morgan Stanley investor conference, Mason, who rece
Via MarketBeat · June 1, 2026
