Marriott International, Inc.

MAR · Consumer Cyclical

About Marriott International, Inc.

Marriott International, Inc. (MAR) has been publicly traded since 1998, making it a 28-year-old public company. It operates in the Lodging industry within the Consumer Cyclical sector. The company is headquartered in Bethesda, United States and employs approximately 414,000 people. With a market capitalization of $83 billion, MAR is a large established company.

Key Statistics

Current Price
$315.91
Market Cap
$83.71B
52-Week High
$370.00
52-Week Low
$205.40
Sector
Consumer Cyclical
Industry
Lodging

$1,000 Invested

1 Year
$1,344
+34%
3 Years
$1,940
+94%
5 Years
$2,233
+123%
10 Years
$4,989
+399%
Since IPO
$24,301
+2330%

Monthly Returns Heatmap

Annual Returns

Avg Return
+16.91%
Best Year
2017 (+66.24%)
Worst Year
2008 (-42.27%)
Positive Years
19/28
Year Return Start End
2026 +2.02% $309.64 $315.91
2025 +12.31% $275.71 $309.64
2024 +24.92% $220.70 $275.71
2023 +53.06% $144.20 $220.70
2022 -9.34% $159.05 $144.20
2021 +25.26% $126.98 $159.05
2020 -12.53% $145.18 $126.98
2019 +41.49% $102.61 $145.18
2018 -19.05% $126.75 $102.61
2017 +66.24% $76.25 $126.75
2016 +25.37% $60.82 $76.25
2015 -13.02% $69.92 $60.82
2014 +60.04% $43.69 $69.92
2013 +34.43% $32.50 $43.69
2012 +29.49% $25.10 $32.50
2011 -24.59% $33.28 $25.10
2010 +53.38% $21.70 $33.28
2009 +42.38% $15.24 $21.70
2008 -42.27% $26.40 $15.24
2007 -27.90% $36.61 $26.40
2006 +43.42% $25.53 $36.61
2005 +6.98% $23.86 $25.53
2004 +37.23% $17.39 $23.86
2003 +41.61% $12.28 $17.39
2002 -18.51% $15.07 $12.28
2001 -3.15% $15.56 $15.07
2000 +34.75% $11.55 $15.56
1999 +9.54% $10.54 $11.55

Valuation

MAR currently trades at a trailing P/E ratio of 33.0, which is considered high relative to the broader market. The forward P/E of 24.2 suggests analysts expect earnings to be lower in the coming year. The price-to-book ratio stands at -22.1. The price-to-sales ratio is 11.9.

Dividends

Marriott International, Inc. pays a dividend to shareholders with a current yield of 0.85%. This translates to $2.68 per share annually. The payout ratio of 28% indicates sustainable dividend coverage.

Risk & Volatility

MAR has a beta of 1.10, indicating it is slightly more volatile than the overall market. The stock's 52-week range is $205.40 to $370.00, and it currently trades in the upper half of its 52-week range.

Analyst Ratings

Based on 25 analyst opinions, MAR has a consensus "buy" rating. The average price target of $356.12 suggests 13.5% upside from current levels.

Frequently Asked Questions

What does Marriott International, Inc. do?

Marriott International, Inc. is a Lodging company operating in the Consumer Cyclical sector. The company is headquartered in Bethesda, United States.

What sector is MAR in?

MAR operates in the Consumer Cyclical sector, specifically in the Lodging industry.

When did MAR go public?

Marriott International, Inc. went public in 1998, making it a 28-year-old public company as of 2026.

How much would $1,000 invested in MAR 5 years ago be worth today?

A $1,000 investment in MAR five years ago would be worth approximately $2,233 today, representing a 123.3% return.

Does MAR pay dividends?

Yes, Marriott International, Inc. pays a dividend with a current yield of 0.85%, which is $2.68 per share annually.

What is MAR's market cap?

Marriott International, Inc. has a market capitalization of $83 billion, classifying it as a large-cap company.

What is MAR's P/E ratio?

MAR has a trailing P/E ratio of 33.0 and a forward P/E of 24.2, which measures how much investors are paying per dollar of earnings.

Is MAR a buy, hold, or sell?

Based on 25 opinions, MAR has a consensus "buy" rating. The average price target is $356.12.

Last updated: 3/14/2026