The analysis of Marriott International shows a complex price movement over recent months, influenced by various economic factors. As a leader in the hospitality industry, its stock trend is crucial for investors looking for resilience in a volatile market, with potential influence from global travel trends and economic recovery.
The recent data reflects significant volatility in MAR's stock prices. The calculated EMAs provide clarity on trend direction:
Date | Closing Price | Trend |
---|---|---|
2025-04-21 | 215.69 | ▼ Abwärtstrend |
2025-04-17 | 220.41 | ▼ Abwärtstrend |
2025-04-16 | 218.79 | ▼ Abwärtstrend |
2025-04-15 | 222.58 | ▲ Aufwärtstrend |
2025-04-14 | 223.49 | ▲ Aufwärtstrend |
2025-04-11 | 225.22 | ▲ Aufwärtstrend |
2025-04-10 | 222.92 | ⚖️ Seitwärtstrend |
Identified support and resistance levels highlight critical price thresholds:
Zone | Price Range |
---|---|
🟢 Support 1 | 215.69 - 220.41 |
🟢 Support 2 | 220.41 - 223.49 |
🔴 Resistance 1 | 233.39 - 242.56 |
🔴 Resistance 2 | 244.84 - 248.11 |
The current price is near the first support zone, suggesting a potential reversal opportunity.
The Marriott International stock is experiencing notable fluctuations with potential near-term recovery supported by robust foundational performance. Analysts should consider global economic indicators, especially the hospitality industry's recovery signals, while monitoring price movements against identified support and resistance levels for optimal strategic decisions.
json This analysis provides an overview of Marriott's stock from a technical point of view, highlighting critical market trends, and significant price levels for potential investment strategies.