Marriott International, Inc.

MAR · Consumer Cyclical · Lodging

Large CapHigh Margin
$396.20
+0.40%

Marriott International, Inc. engages in the operation, franchise, and licensing of hotel, residential, timeshare, and other lodging properties in the U.S. & Canada, Europe, Middle East & Africa, Greater China, and Asia Pacific, and internationally. It operates properties under JW Marriott, The Ritz-…

What to know about MAR

Marriott International, Inc. is a large Consumer Cyclical company with a mixed financial profile. It scores well on profitability and size, but cash flow is worth keeping an eye on.

Should you consider MAR?

Based on 31 financial metrics and sector comparison. Not financial advice.

  1. Marriott International, Inc. is a large-cap Consumer Cyclical company with a mixed overall financial profile — it is in the lower half of its Consumer Cyclical peers (31 of 54).

  2. Profit margins are a clear strength, though the balance sheet warrants a closer look — make sure the debt levels are manageable.

  3. The stock trades at a premium — investors are paying more per dollar of earnings than most S&P 500 companies. That's fine if strong growth justifies it, but leaves little room for disappointment.

  4. The company is growing at a reasonable pace — not the fastest, but consistently moving in the right direction.

  5. There is a small dividend (0.01%), but income-focused investors will likely find better yields elsewhere in the market.

  6. Volatility is close to the S&P 500 average — typical market swings, nothing unusual.

  7. This is a mixed picture — real strengths in some areas, but areas that need watching too. Do your homework on the sector before deciding.

At a glance

Price $396.20
Market size 104.47B
Annual dividend 0.01%
Strongest metric Price to Book -25.63

How it scores

We look at 31 different financial metrics and group them into categories. Here's how MAR compares to the other S&P 500 stocks.

Size
Great
Growth
Good
Risk
Good
Dividends
Average
Health
Average
Sentiment
Average
Valuation
Average
Cash Flow
Average
Dive deeper — all 31 metrics 9 categories · valuation, growth, health, dividends & more Show all Hide

Valuation

Is the stock cheap or expensive relative to its earnings, sales, and assets? Lower multiples often mean better value.

Metric Value vs S&P 500
P/E Ratio (Trailing) 41.53 Below avg
Forward P/E 30.28 Below avg
PEG Ratio 2.37 Average
Price to Sales 14.54 Below avg
Price to Book -25.63 Top 25%
EV/EBITDA 25.81 Below avg
Earnings Yield 2.41% Below avg

Profitability

How efficiently does the company turn revenue into profit? Higher margins mean more money kept from each dollar earned.

Metric Value vs S&P 500
Gross Margin 79.04% Top 25%
Operating Margin 59.01% Top 25%
Net Profit Margin 35.97% Top 25%
Return on Equity N/A
Return on Invested Capital 9.77% Top 25%

Growth

How fast is the business expanding? Strong growth in revenue and earnings signals increasing market demand.

Metric Value vs S&P 500
Revenue Growth (YoY) 12.60% Above avg
Revenue Growth (3Y CAGR) 8.02% Above avg
EPS Growth (YoY) 1.70% Average
Free Cash Flow Growth 30.47% Top 25%

Health

Can the company cover its debts and obligations? A healthy balance sheet reduces the risk of financial trouble.

Metric Value vs S&P 500
Current Ratio 0.46 Below avg
Debt to Equity N/A
Interest Coverage 5.20 Average
Altman Z-Score 4.18 Above avg

Dividends

Does the company pay shareholders, and is that payment growing and sustainable?

Metric Value vs S&P 500
Dividend Yield 0.73% Below avg
Payout Ratio 28.06% Above avg
Dividend Growth (5Y) N/A

Cash Flow

Is real cash flowing into the business — not just accounting profits? Strong cash flow funds growth and dividends.

Metric Value vs S&P 500
Free Cash Flow Yield 2.70% Average
OCF to Sales 12.88% Below avg

Risk

How volatile is the stock compared to the broader market? Lower beta and volatility mean a smoother ride.

Metric Value vs S&P 500
Beta (1-Year) 1.10 Average
Volatility (30-Day) 22.63% Top 25%

Sentiment

What do analysts and short-sellers think? High analyst ratings and low short interest signal broad confidence.

Metric Value vs S&P 500
Short % of Float 2.59% Above avg
Avg. Analyst Rating 2.23 Average
Target Upside % -3.88% Below avg

Size

How large is the company by market value? Size affects stability, growth potential, and index inclusion.

Metric Value vs S&P 500
Market Capitalization 104.47B Top 25%

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