May 30, 2026 a 09:00 pm

MAR: Analysts Ratings - Marriott International, Inc.

Marriott International, Inc. Stock Analysis

Marriott International, Inc. continues to be a key player in the hospitality sector, with a broad portfolio of properties worldwide. While the stock has experienced fluctuations, current analyst ratings suggest a cautious yet stable outlook. The recent data indicates an inclination towards a more conservative stance among analysts with an increasing number of 'Hold' ratings, reflecting prevailing market conditions and sentiment.

Historical Stock Grades

Rating Type Number of Recommendations Score Indicator
Strong Buy 1
Buy 11
Hold 12
Sell 2
Strong Sell 1
Historical Analyst Ratings Trends Stock Performance Chart

Sentiment Development

Over the recent months, there has been a notable increase in 'Hold' ratings, suggesting a more cautious stance among analysts. This may reflect market uncertainties or perceived stagnation in growth. The stability in 'Buy' ratings, however, implies ongoing bullish sentiment for long-term investments.

  • The number of 'Hold' ratings has been gradually increasing, indicative of a cautious market outlook.
  • 'Buy' ratings have remained stable, pointing to ongoing confidence in the company's future performance.
  • A slight decline in 'Strong Buy' recommendations suggests moderated optimism among analysts.

Percentage Trends

The distribution of analyst ratings over the past year indicates a shift towards more conservative evaluations. 'Hold' ratings have increased in prominence, while both 'Strong Buy' and 'Strong Sell' categories have seen fluctuations.

  • Strong Buy: declined from 5% to 3%
  • Buy: stable at approximately 50%
  • Hold: increased from 42% to nearly 55%
  • Sell and Strong Sell: relatively stable but with slight variations

The most noticeable change is the increase in 'Hold' ratings, signaling a careful approach given market volatility.

Latest Analyst Recommendations

The latest ratings predominantly show consistency with previous analyses, indicating sustained perspectives on the stock's potential. Recommendations have been largely maintained without significant upgrades or downgrades.

Date New Recommendation Last Recommendation Publisher
2026-05-26 Hold Hold Truist Securities
2026-05-15 Outperform Outperform Bernstein
2026-05-12 Overweight Overweight Morgan Stanley
2026-05-07 Overweight Overweight Wells Fargo
2026-05-07 Neutral Neutral Macquarie

Analyst Recommendations with Change of Opinion

Although recent recommendations have largely been consistent, there have been a few significant changes indicating evolving perspectives based on market performance or strategic shifts by Marriott International. Upgrades have occurred predominantly, reflecting adjustments to perceived growth potential.

Date New Recommendation Last Recommendation Publisher
2026-01-09 Outperform Market Perform BMO Capital
2025-12-15 Buy Neutral Goldman Sachs
2025-05-12 Buy Hold Jefferies
2025-04-14 Neutral Buy Goldman Sachs
2025-02-04 Outperform In Line Evercore ISI Group

Interpretation

The overall sentiment from analysts reflects moderate confidence in Marriott International's capabilities to maintain its market position. While there is a more significant inclination towards 'Hold' ratings, the stability in 'Buy' recommendations points to an undercurrent of long-term growth potential. The few upgrades from 'Neutral' or 'Market Perform' to 'Buy' or 'Outperform' signal selective confidence that could lead to investor optimism.

Conclusion

In summary, Marriott International, Inc. is witnessing a cautious yet optimistic outlook from analysts. The shift towards more 'Hold' ratings hints at market apprehensions, possibly due to broader economic factors or industry-specific challenges. However, consistent 'Buy' and selective upgrades underscore potential opportunities for long-term growth. Investors may consider the current sentiment as a balanced view of risks and opportunities, with the potential for Marriott to capitalize on its extensive global presence.

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