Marriott International, Inc (MAR): A Case For Going Higher

Cody Martinez

After Hours

There is a slight risk associated with trading before and after the market open. Due to lower liquidity and higher volatility, extended-hours trading may result in wider spreads on particular security due to the release of critical financial information after regular trading hours.

Stocks Info

This NASDAQ-listed company operates within the Lodging industry segment, falling under the Consumer Cyclical sector. The current market capitalization of Marriott International, Inc is $83.21B. A total of 1.66 million shares were traded on the day, compared to an average of 1.60M shares.

In the most recent transaction, Lee Felitia sold 1,617 shares of MAR for 305.98 per share on Dec 15 ’25. After the transaction, the Controller and CAO now owns 4,893 company shares. In a previous transaction on Dec 15 ’25, Lee Felitia bought 528 shares at 308.00 per share.

Among the insiders who bought shares, Lee Felitia acquired of 1,089 shares on Dec 15 ’25 at a per-share price of $305.00. In another insider transaction, Lee Felitia sold 873 shares at $301.58 per share on Nov 25 ’25. Company shares held by the Controller and CAO now total 6,510.

Dividend

The income generated by dividends is an indication that a company is improving its financial position, which is why investors prefer companies paying dividends. Marriott International, Inc pays an annual dividend of $2.64, resulting in a dividend yield of 0.85%, and it has a price to earnings (P/E) ratio of 32.75.

Even though price targets are rarely accurate, they do tend to exert some kind of influence from time to time and are often considered important by markets. In terms of 52-week highs and lows, MAR has a high of $310.23 and a low of $205.40.

As of this writing, MAR has an earnings estimate of $2.61 per share for the current quarter. EPS was calculated based on a consensus of 22.0 estimates, with a high estimate of $2.79 per share and a lower estimate of $2.58. The company reported an EPS of $2.45 in the last quarter

Balance Sheet Annually/Quarterly

In a balance sheet, you can see what assets and liabilities the company has, as well as how much equity investors have invested. These figures can be used to calculate a company’s financial ratios to give investors a better idea of its 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 -$11.58, 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 3.69.

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