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Marriott International Inc - Class A

Exchange: NASDAQSector: Consumer CyclicalIndustry: Lodging

Marriott International, Inc. is based in Bethesda, Maryland, USA, and encompasses a portfolio of over 9,300 properties across more than 30 leading brands in 144 countries and territories. Marriott operates, franchises, and licenses hotel, residential, timeshare, and other lodging properties all around the world. The company offers Marriott Bonvoy ®, its highly awarded travel platform.

Did you know?

Pays a 0.75% dividend yield.

Current Price

$354.97

-1.86%

GoodMoat Value

$232.65

34.5% overvalued
Profile
Valuation (TTM)
Market Cap$95.26B
P/E36.62
EV$104.35B
P/B
Shares Out268.35M
P/Sales3.64
Revenue$26.19B
EV/EBITDA23.32

Marriott International Inc - Class A (MAR) Quality Analysis

MAR GoodMoat Verdict

Full signal breakdown coming soon. Use the X-Ray tool for a detailed analysis.

MAR Profitability

Profitability trend analysis coming soon

MAR Growth

Growth trend analysis coming soon

MAR Financial Health

Financial health indicators coming soon

MAR Quality & Fundamental Analysis

Marriott International Inc - Class A (MAR) is a Consumer Cyclical company in the Lodging industry, listed on NASDAQ. This quality analysis page evaluates Marriott International Inc - Class A's financial health using the Piotroski F-Score methodology, profitability ratios, growth trajectory, and balance sheet strength.

Marriott International Inc - Class A has a Piotroski F-Score of N/A out of 9, measuring profitability, leverage, and operating efficiency. The company operates with a profit margin of 9.93%. Return on assets (ROA) stands at 9.44%.

with a current ratio of 0.43. Operating margin is 15.81%.

GoodMoat's quality analysis uses AI-powered insights to evaluate whether Marriott International Inc - Class A is a fundamentally sound investment. The GoodMoat Verdict synthesizes profitability, growth, and financial health scores into a clear investment quality rating. Use these metrics alongside valuation tools like the DCF calculator and fair value models to make informed investment decisions.