February 20, 2026 a 07:43 pm

MAR: Fundamental Ratio Analysis - Marriott International, Inc.

Marriott International, Inc. stock representation

Marriott International continues to demonstrate stability in a volatile market. Despite challenges in the travel lodging industry, the company's strategic operations and diverse brand portfolio provide resilience. Investors should be mindful of external economic factors but can take comfort in Marriott's strong global presence.

Fundamental Rating

Marriott International's overall fundamental rating is moderate, with mixed scores across different financial metrics.

Category Score Visual
Overall 2
Discounted Cash Flow 3
Return on Equity 1
Return on Assets 5
Debt to Equity 1
Price to Earnings 2
Price to Book 1

Historical Rating

This section shows the progression of Marriott's financial ratings over time.

Date Overall DCF ROE ROA D/E P/E P/B
2026-02-20 2 3 1 5 1 2 1
N/A 0 3 1 5 1 2 1

Analyst Price Targets

Analysts provide a varied range of price targets, reflecting differing opinions on Marriott's future performance.

High Low Median Consensus
$400 $310 $354 $356.1
Stock price targets chart

Analyst Sentiment

The current analyst sentiment portrays a cautious stance with a predominant 'Hold' consensus.

Recommendation Count Visual
Strong Buy 0
Buy 23
Hold 28
Sell 1
Strong Sell 0

Conclusion

Marriott International presents a balanced investment opportunity with moderate risk and reward potential. While the travel industry's variability poses challenges, Marriott's extensive brand portfolio and international reach offer defensive strengths. Investors should weigh current valuations and analyst sentiments against sector trends. Overall, caution is advised, but potential for growth remains. The company's strategic management and historical stability position it well amidst global market shifts.