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The price of Marriott International, Inc (NASDAQ: MAR) closed at $264.7 in the last session, down -1.54% from day before closing price of $268.85. In other words, the price has decreased by -$1.54 from its previous closing price. On the day, 1.38 million shares were traded. MAR stock price reached its highest trading level at $271.67 during the session, while it also had its lowest trading level at $262.0.
Ratios:
We take a closer look at MAR’s different ratios to gain a better understanding of the stock. It provided that stocks Price–to–Cash (P/C) ratio for the trailing twelve months (TTM) is standing at 107.09 whereas its Price-to-Free Cash Flow (P/FCF) for the term is 42.72. For the most recent quarter (mrq), Quick Ratio is recorded 0.49 and its Current Ratio is at 0.49.
Upgrades & Downgrades
In addition, analysts’ ratings and any changes thereto give investors an idea of the stock’s future direction. In the most recent recommendation for this company, JP Morgan on June 23, 2025, initiated with a Neutral rating and assigned the stock a target price of $284.
On May 12, 2025, Jefferies Upgraded its rating to Buy which previously was Hold but kept the price unchanged to $303. Goldman Downgraded its Buy to Neutral on April 14, 2025, while the target price for the stock was maintained at $245.
Insider Transactions:
An investor can also benefit from insider trades by learning what management is thinking about the future direction of stock prices. A recent insider transaction in this stock occurred on Jun 24 ’25 when Menon Rajeev sold 2,500 shares for $268.28 per share. The transaction valued at 670,710 led to the insider holds 5,706 shares of the business.
Menon Rajeev bought 2,500 shares of MAR for $670,710 on Jun 24 ’25. On May 30 ’25, another insider, Capuano Anthony, who serves as the President & CEO of the company, sold 12,000 shares for $263.90 each. As a result, the insider received 3,166,800 and left with 124,067 shares of the company.
Valuation Measures:
Investors should consider key stock statistics when deciding whether to invest or divest. In the wake of the recent closing price, MAR now has a Market Capitalization of 71854931968 and an Enterprise Value of 87719886848. As of this moment, Marriott’s Price-to-Earnings (P/E) ratio for their current fiscal year is 29.86, and their Forward P/E ratio for the next fiscal year is 23.47. The expected Price-to-Earnings-to-Growth (PEG) calculation for the next 5 years is 2.78. For the stock, the TTM Price-to-Sale (P/S) ratio is 2.80. Its current Enterprise Value per Revenue stands at 12.932 whereas that against EBITDA is 19.954.
Stock Price History:
The Beta on a monthly basis for MAR is 1.36, which has changed by 0.1579684 over the last 52 weeks, in comparison to a change of 0.18469036 over the same period for the S&P500. Over the past 52 weeks, MAR has reached a high of $307.52, while it has fallen to a 52-week low of $205.40. The 50-Day Moving Average of the stock is -1.99%, while the 200-Day Moving Average is calculated to be -0.85%.
Shares Statistics:
According to the various share statistics, MAR traded on average about 1.40M shares per day over the past 3-months and 1193650 shares per day over the past 10 days. A total of 272.10M shares are outstanding, with a floating share count of 224.25M. Insiders hold about 17.39% of the company’s shares, while institutions hold 62.19% stake in the company. Shares short for MAR as of 1755216000 were 6380087 with a Short Ratio of 4.55, compared to 1752537600 on 5873313. Therefore, it implies a Short% of Shares Outstanding of 6380087 and a Short% of Float of 2.92.
Dividends & Splits
The forward annual dividend rate for MAR is 2.60, which was 2.56 in the trailing 12 months. Against a Trailing Annual Dividend Yield of 0.009522038The stock’s 5-year Average Dividend Yield is 1.29. The current Payout Ratio is 28.94% for MAR, which recently paid a dividend on 2025-08-21 with an ex-dividend date of 2025-08-21. Stock splits for the company last occurred on 2011-11-22 when the company split stock in a 1061:1000 ratio.
Earnings Estimates
The performance of Marriott International, Inc (MAR) in the stock market is under the watchful eye of 19.0 analysts actively contributing to its current rating.The consensus estimate for the next quarter is $2.66, with high estimates of $2.76 and low estimates of $2.58.
Analysts are recommending an EPS of between $10.84 and $9.87 for the fiscal current year, implying an average EPS of $10.06. EPS for the following year is $11.35, with 24.0 analysts recommending between $12.91 and $10.8.
Revenue Estimates
According to 15 analysts, the current quarter’s revenue is expected to be $6.46B. It ranges from a high estimate of $6.63B to a low estimate of $6.29B. As of the current estimate, Marriott International, Inc’s year-ago sales were $6.25BFor the next quarter, 15 analysts are estimating revenue of $6.75B. There is a high estimate of $7B for the next quarter, whereas the lowest estimate is $6.52B.
A total of 19 analysts have provided revenue estimates for MAR’s current fiscal year. The highest revenue estimate was $27.2B, while the lowest revenue estimate was $25.82B, resulting in an average revenue estimate of $26.27B. In the same quarter a year ago, actual revenue was $25.1BBased on 18 analysts’ estimates, the company’s revenue will be $27.73B in the next fiscal year. The high estimate is $28.82B and the low estimate is $26.32B.