Analyst Expects Marriott International, Inc (NASDAQ: MAR) To Make Big Moves

After Hours

There may be slightly higher risks associated with pre-market and after-hours trading than during regular market hours. Due to the fact that issuers often announce critical financial information outside of regular trading hours, extended-hours trading may result in wider spreads for particular securities.

Stocks Info

As a NASDAQ listed company, MAR falls under the Consumer Cyclical sector while operating within the Lodging industry segment. The current market capitalization of Marriott International, Inc is $63.28B. A total of 3.49 million shares were traded on the day, compared to an average of 1.97M shares.

In the most recent transaction, SCHWAB SUSAN C sold 1,054 shares of MAR for 277.48 per share on Feb 24 ’25. After the transaction, the Director now owns 4,551 company shares. In a previous transaction on Feb 21 ’25, Brown William P sold 12,642 shares at 285.63 per share. MAR shares that Group Pres., US and Canada owns now total 30,919.

Among the insiders who sold shares, Oberg Kathleen K. disposed of 14,498 shares on Feb 21 ’25 at a per-share price of $278.07. This resulted in the EVP & CFO holding 14,282 shares of MAR after the transaction. In another insider transaction, Reiss Rena Hozore sold 3,500 shares at $286.65 per share on Feb 21 ’25. Company shares held by the EVP & General Counsel now total 24,733.

Dividend

Investors prefer companies that pay dividends because dividends generate immediate cash flow and indicate a positive outlook. Marriott International, Inc pays an annual dividend of $2.52, resulting in a dividend yield of 1.10%, and it has a price to earnings (P/E) ratio of 27.62. MAR’s most recent ex-dividend date was 0.87% when it declared a $0.63 quarterly dividend that was paid in cash on 2/27/2025. Previously, the company paid the dividend on 11/21/2024 with an ex-dividend date of 0.91%. The MAR stock dividend was $0.63 per share in cash.

In spite of price targets being rarely accurate, it tends to exert some kind influence from time to time, and was often accepted by the market as having some value. In terms of 52-week highs and lows, MAR has a high of $307.52 and a low of $204.55.

Balance Sheet Annually/Quarterly

The balance sheet of a company shows what assets and liabilities a company has, as well as the amount, equity investors have invested. With the help of this information, a company’s financial ratios can be calculated to give investors an overview of the company’s prospects. MAR’s latest balance sheet shows that the firm has $1.39B in Cash & Short Term Investments as of fiscal 2021. There were $11.24B in debt and $6.41B in liabilities at the time. Its Book Value Per Share was -$10.81, while its Total Shareholder’s Equity was $1.41B.

Analysts Opinion

The risks associated with pre-market and after-hours trading may be slightly higher than the regular market hours. The reason is that extended-hours trading may result in wider spreads for particular security due to lower liquidity and higher volatility as issuers often announce critical financial information outside regular trading hours. Currently, 0 analysts are providing their opinions on the stock. On a scale of 1 to 5, with 1 being Sell and 5 being Buy, the average analyst rating for MAR is Buy with a score of 3.39.

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