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Marriott International, Inc. logo
MAR
Marriott International, Inc.
20:00:01
396.2 $
0.0000 (%0.00)
Previous Close: 394.60999
Day Low394.91
Day High403.26
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MAR: Marriott International, Inc. Stock Live Price Graph

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Industry
NASDAQ
Sector
-

About the company

Marriott International, Inc. is a leading global hospitality firm responsible for managing, franchising, and licensing a wide range of accommodation options, including hotels, residential units, and timeshare resorts, on an international scale. The company segments its extensive operations into North America (covering the U.S. and Canada) and its various international divisions. Under its corporate umbrella, Marriott oversees a diverse collection of esteemed brands, such as JW Marriott, The Ritz-Carlton, W Hotels, Sheraton, Westin, and Courtyard, among many others. As of February 15, 2022, its impressive network encompassed nearly 8,000 properties—specifically 7,989 establishments—operating across 139 countries and territories under 30 distinct hotel brand names. Established in 1927, Marriott International, Inc. maintains its corporate headquarters in Bethesda, Maryland.

Company profile

Employees
418,000
Field of activity
Travel Lodging

Market News & Analysis

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Target Price

No analyst target price data is available for this instrument.

Dividend History

Cash dividends

Latest dividend (gross per share)
$0.73
Highest dividend$0.73
Average dividend$0.73
Lowest dividend$0.73
PaymentGross / shareNet / shareYieldPer 1,000 TRY
-$0.73$0.730.74%-

What Is MAR? Live MAR Prices and Analysis

MAR, or Marriott International, Inc., is a leading global lodging company that operates a broad portfolio of hotels and related lodging facilities. Founded in 1927, Marriott has grown to become one of the largest hotel chains in the world, with over 7,600 properties across 133 countries and territories. The company is a key player in the hospitality sector, making it an essential focus for investors interested in real estate and tourism markets.

Investors closely follow MAR due to its substantial market presence and the economic significance of the hospitality industry. With travel and tourism being a major contributor to global GDP, Marriott's performance can be indicative of broader economic trends, making its stock a barometer for the health of the travel sector.

Market Context

Marriott operates in a highly competitive and dynamic market environment. The company’s stock is influenced by factors such as international trading conditions, currency fluctuations, and overall market volatility. As a multinational corporation, MAR’s performance can be affected by geopolitical events, economic conditions in different regions, and changes in consumer preferences regarding travel and accommodation.

Why Do MAR Prices Rise or Fall?

The prices of MAR stock can be influenced by a variety of factors, which can lead to fluctuations in its market value. Understanding these factors is crucial for investors looking to navigate the stock effectively.

  • Economic indicators: Data such as unemployment rates, consumer spending, and GDP growth can affect travel demand.
  • Seasonality: Hotel occupancy rates can vary significantly throughout the year, impacting revenue and earnings.
  • Geopolitical events: Political instability or health crises can deter travel, directly impacting MAR’s business.
  • Competition: The emergence of new players in the hospitality market can affect MAR's market share and pricing power.
  • Earnings reports: Quarterly earnings results can lead to immediate stock price movements based on performance versus analyst expectations.
  • Dividend announcements: Changes in dividend policy can signal management's confidence in future earnings, affecting investor sentiment.
  • Market sentiment: Broader market trends and investor sentiment towards the hospitality sector can drive MAR stock prices.
  • Technological advancements: Innovations in booking processes and customer service can enhance operational efficiency, impacting profitability.

In summary, MAR stock prices are subject to a multitude of influences, ranging from economic conditions to competitive dynamics. Investors should stay informed about these factors to make educated trading decisions.

Why Is Live MAR Price Tracking Important?

Tracking the live price of MAR is essential for investors who aim to capitalize on market movements and make informed investment decisions. Real-time data can provide insights into market trends and investor sentiment, allowing traders to react promptly to price changes.

  • Real-time insights into stock performance.
  • Ability to identify trading opportunities based on price movements.
  • Monitoring of market reactions to news and earnings announcements.
  • Assessing overall market sentiment towards the hospitality sector.
  • Informed decision-making regarding buying or selling shares.

What Should You Consider When Trading / Investing in MAR?

When considering an investment in MAR, several factors should be taken into account. The hospitality industry is often cyclical, and understanding macroeconomic data is crucial for assessing potential risks. Investors should also be aware of the inherent volatility in the stock market, particularly in sectors like hospitality that are sensitive to economic fluctuations.

What Can You Find on the Investvio MAR Page?

  • Live MAR price updates.
  • Detailed price charts for technical analysis.
  • Latest news and developments impacting the company and sector.
  • Earnings reports and financial analysis.
  • Dividend information and yield analysis.
  • Market sentiment indicators and analyst ratings.

In conclusion, staying updated on MAR's stock performance and market conditions is vital for investors looking to navigate the complexities of the hospitality sector. The Investvio MAR page provides comprehensive resources to aid investors in making informed decisions.