Consumer Cyclical
Live Price
Offline$394.88
+2.24% today
1Y Change
+44.44%
Window
Jun 25, 2025 β Jun 22, 2026
Coverage: 248 bars Β· Jun 25, 2025 β Jun 22, 2026
Research Briefing
A compact read on the setup, peer context, quarterly changes, and recent earnings reaction.
Research Snapshot
Marriott International, Inc. (MAR) is a Consumer Cyclical stock with a market cap of $94.06B and listed on NASDAQ. The stock last traded around $394.88 and up 44.4% across the available one-year price window (Jun 25, 2025 β Jun 22, 2026). Baseline metrics include revenue growth of +4.3%, EPS growth of +13.9%, a dividend yield of 0.8%. What stands out right now is revenue +4.3%, EPS +13.9%, free cash flow +30.5% with operating margin 15.8% and ROIC 15.6%. The dividend is present but secondary, with a yield around 0.8%. Valuation already assumes a fairly strong business story at P/E 36.6 and price/sales 3.6. Stock Foundry combines MAR price history, valuation, growth, dividend context, earnings, analyst forecasts, news, related Consumer Cyclical peers on this page.
Sector Context
How this name stacks up against nearby peers on first-pass metrics.
Revenue Growth
Below sector median
+4.3% vs +7.5% peer median
Operating Margin
Above sector median
+15.8% vs +8.4% peer median
P/E
Above sector median
36.6 vs 18.1 peer median
What Changed This Quarter
Latest report context and the signals most likely to have changed the story.
Latest report is on the board
2026 was reported on May 5, 2026, but the surprise data is still limited.
The operating story is still moving forward
Revenue is running at +4.3% and EPS at +13.9%, with operating margin around 15.8%.
Shareholder return is still part of the story
The stock is still offering a dividend yield around 0.8%, which matters if the thesis depends on income as much as growth.
Earnings Reaction Memory
How the stock has tended to move after recent reports.
Across the last 3 reported quarters, the stock averaged +1.7% over the next 5 trading days and finished higher after 1 of those reports.
| Quarter | EPS Ξ | 1D | 5D | 20D |
|---|---|---|---|---|
2026 May 5, 2026 | β | +1.3% | -1.2% | +6.3% |
2026 Feb 10, 2026 | -0.8% | -0.2% | -0.9% | -9.2% |
2025 Nov 4, 2025 | +3.8% | +4.0% | +7.2% | +12.6% |
Benchmark Edge
Normalized return, excess return, max drawdown, and calendar-year wins against the benchmarks investors actually use.
MAR
β
Normalized return
SPY
--
S&P 500
Excess Return
--
Relative to SPY
MAR Max Drawdown
-12.82%
Trailing 1Y
SPY Max Drawdown
β
Trailing 1Y
Uses the longest available daily history for MAR and SPY.

Company Overview
Marriott International, Inc.
NASDAQ Global Select
Marriott International, Inc. operates, franchises, and licenses hotel, residential, and timeshare properties worldwide. The company operates through U.S. and Canada, and International segments. It operates its properties under the JW Marriott, The Ritz-Carlton, Ritz-Carlton Reserve, W Hotels, The Luxury Collection, St. Regis, EDITION, Bulgari, Marriott Hotels, Sheraton, Delta Hotels, Marriott Executive Apartments, Marriott Vacation Club, Westin, Renaissance, Le MΓ©ridien, Autograph Collection, Gaylord Hotels, Tribute Portfolio, Design Hotels, Courtyard, Residence Inn, Fairfield by Marriott, SpringHill Suites, Four Points, TownePlace Suites, Aloft, AC Hotels by Marriott, Protea Hotels, Element, and Moxy brand names. As of February 15, 2022, it operated approximately 7,989 properties under 30 hotel brands in 139 countries and territories. Marriott International, Inc. was founded in 1927 and is headquartered in Bethesda, Maryland.
Valuation, growth, profitability, and balance sheet signals.
Company announcements and filings-style updates.
Next Step
After the overview, the strongest next step is usually chart context or a tighter compare set.