July 12, 2026 a 01:00 pm

MAR: Fundamental Ratio Analysis - Marriott International, Inc.

Marriott International, Inc. - Overview

Marriott International, Inc. has a remarkable international presence with a diverse brand portfolio. The company's fundamental performance appears moderate, navigating a competitive hospitality industry. Long-term growth might hinge on global travel trends and strategic brand expansions.

Fundamental Rating

Marriott holds a mixed fundamental rating, highlighting strengths and areas needing improvement in its financial operations.

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 historical data allows for understanding how Marriott's ratings have evolved over time.

Date Overall DCF ROE ROA Debt to Equity P/E P/B
2026-07-10 2 3 1 5 1 2 1
Previous 0 3 1 5 1 2 1

Analyst Price Targets

Recent analyst estimates suggest varied opinions, but the consensus tends toward a "Hold" rating.

High Low Median Consensus
446 350 392 393.07
Stock Chart Analysis

Analyst Sentiment

The sentiment among analysts reflects a "Hold" position, indicating a balanced perspective on future performance.

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

Conclusion

Marriott International, Inc. presents itself as a stable entity within a volatile industry. The balance between growth potential and risks such as fluctuating travel demand is evident. Currently, the stock reflects mixed prospects with a consensus towards holding. The diverse portfolio and global reach provide resilience, but financial prudence is vital going forward. Investors should watch for strategic trends and managerial initiatives.

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