May 20, 2026 a 03:43 pm

MAR: Fundamental Ratio Analysis - Marriott International, Inc.

Marriott International, Inc. Stock Analysis

Marriott International, Inc. operates in the travel lodging industry with a strong global presence. With a diverse portfolio of brands, the company maintains its leadership in the hospitality industry. However, the stock has been experiencing rating fluctuations, indicating a moderate growth potential mixed with certain risks.

Fundamental Rating

The fundamental rating of Marriott International suggests a moderate investment potential. Here is a breakdown of its current scores.

Category Score Visualization
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

An examination of the historical scores indicates a consistency in certain financial metrics with minor fluctuations.

Date Overall DCF ROE ROA D/E P/E P/B
2026-05-20 2 3 1 5 1 2 1
2026-05-19 2 3 1 5 1 2 1

Analyst Price Targets

Analyst price targets suggest a balanced forecast with potential for both growth and caution.

High Low Median Consensus
446 350 386 390.85
Stock Chart

Analyst Sentiment

Current analyst sentiment reflects a cautious outlook with the majority suggesting to hold the stock.

Recommendation Quantity Visualization
Strong Buy 0
Buy 23
Hold 28
Sell 1
Strong Sell 0

Conclusion

Marriott International, Inc. presents a stable investment opportunity with consistent performance across its assets. The company's vast portfolio and global reach secure its standing within the travel lodging sector. However, the fundamental scores indicate moderate financial health, cautioning investors about potential risks. Analysts mostly recommend holding the stock as it offers limited short-term gains. Overall, investing in MAR may appeal to those looking for stability in the travel industry.

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