$355.67▼ −5.95 · −1.6%from $361.62 the session before · Sep 30, 2026 close · end of day
Open
$363.69
High
$363.69
Low
$355.67
Day's range
$8.02.2% of the previous close
VWAP
$357.22close −0.43% from it
Volume, shares
1.12M0.68× the 20-session average
Traded, $
$400.9M
Trades
31.2K36 shares per trade
Previous close
$361.62−5.95 to the close
Market cap
$92.75Bat the close of Sep 30
Day range0% of the way up
$355.67$363.69
52-week range41% of the way up
$316.54 Mar 27$410.98 Jun 15
−13% from the high · +12% from the low
Options
No listed options on MAR
Close $ · S&P 500 rebased to the first close126 sessions to Sep 30 · axis fixed at 4 × ATR-14 around the last close · hover or tap a session and the read beside the chart follows it
consolidated · latest filed Aug 3, 2026 · SEC filings
Revenue $7.07B, +4.8% on a year earlier; profit $766.0M, +0.39% in the Jun 2026 quarter, consolidated.
Last 8 quarters, consolidatedUS dollars as filed · year on year against the same quarter a year earlier · market: close on the first session after the filing against the last close before it, S&P 500 over the same session
Quarterly results of MAR on the consolidated basis with the market's move on the first session after each filing
Quarter
Revenue $
Revenue YoY
Profit $
Profit YoY
EPS $
Market on the day
Jun 2026filed Aug 3
$7.07B
▲ +4.8%
$766.0M
▲ +0.39%
2.90
▼ −0.5%S&P 500 +1.8% · −2.3 pp
Mar 2026filed Aug 3
$6.65B
▲ +6.2%
$648.0M
▼ −2.6%
2.43
▼ −0.5%S&P 500 +1.8% · −2.3 pp
Dec 2025filed Feb 10
$6.69B
▲ +4.1%
$445.0M
▼ −2.2%
1.67
—not reached
Sep 2025filed Nov 4
$6.49B
▲ +3.7%
$728.0M
▲ +25%
2.67
—not reached
Jun 2025filed Aug 3
$6.74B
▲ +4.7%
$763.0M
▼ −1.2%
2.78
▼ −0.5%S&P 500 +1.8% · −2.3 pp
Mar 2025filed Aug 3
$6.26B
▲ +4.8%
$665.0M
▲ +18%
2.39
▼ −0.5%S&P 500 +1.8% · −2.3 pp
Dec 2024filed Feb 11
$6.43B
▲ +5.5%
$455.0M
▼ −46%
1.64
—not reached
Sep 2024filed Nov 4
$6.25B
▲ +5.5%
$584.0M
▼ −22%
2.07
—not reached
By fiscal yearfiscal years as filed in the 10-K · named by the year the fiscal year ends
Financial-year results of MAR on the consolidated basis, summed from the quarters filed
Year
Revenue $
Revenue YoY
Profit $
Profit YoY
EPS $
FY25to Dec 2025
$26.19B
▲ +4.3%
$2.60B
▲ +9.5%
9.51
FY24to Dec 2024
$25.10B
▲ +5.8%
$2.38B
▼ −23%
8.33
FY23to Dec 2023
$23.71B
▲ +14%
$3.08B
▲ +31%
10.18
FY22to Dec 2022
$20.77B
▲ +50%
$2.36B
▲ +110%
7.24
FY21to Dec 2021
$13.86B
▲ +31%
$1.10B
—
3.34
Fundamentals
consolidated · filings to Jun 2026 · close $355.67 on Sep 30
MAR trades at 37 times trailing earnings, revenue +4.7% over twelve months, a 0.41% dividend yield, market cap $92.75B.
Valuation
Market cap
$92.75Bon Sep 30
Price to earnings
37consolidated · four quarters to Jun 2026
Trailing EPS
$9.67diluted · consolidated · four quarters to Jun 2026
Price to book
—
Book value a share
—
Debt to equity
—
Return on equity
—
Dividend yield
0.41%$1.46 a share in 365 days
Price to sales
3.4market cap over revenue, four quarters to Jun 2026
Shares outstanding
261Mon Sep 30
Growthsums of the four quarters filed to Jun 2026 · growth against the four quarters before them · consolidated
Revenue, trailing 12 months
$26.90Bfour quarters to Jun 2026
Revenue growth, 12 months
▲ +4.7%against the twelve months before
Revenue 3-year CAGR
▲ +5.5%trailing twelve months against the twelve months 3 years earlier · consolidated
Profit, trailing 12 months
$2.59Bfour quarters to Jun 2026
Profit growth, 12 months
▲ +4.9%against the twelve months before
Profit 3-year CAGR
▼ −2.4%trailing twelve months against the twelve months 3 years earlier · consolidated
Shareholding
quarter to Jun 2026 · SEC Form 13F
13F managers hold 120% of shares, BlackRock, Inc. the largest at 12%, VANGUARD CAPITAL MANAGEMENT LLC 11% and STATE STREET CORP 7.4%, as filed for the quarter to Jun 2026.
12.3%10.8%91.1%
BlackRock, Inc. 12.3%
VANGUARD CAPITAL MANAGEMENT LLC 10.8%
STATE STREET CORP 7.4%
Other 13F managers 91.1%
Held by 13F managers
120%of shares outstanding
Shares held
317M+1.1% on Mar 2026 among managers filing both
Managers holding
1,6631,557 a quarter earlier
Largest holder
12%BlackRock, Inc.
Largest 10 holderspercent of shares outstanding · change in shares against the previous quarter
Largest 13F holders of MAR
Manager
Shares
Of outstanding
Value
Change on quarter
BlackRock, Inc.
32.1M
12%
$11.90B
+1.12M
VANGUARD CAPITAL MANAGEMENT LLC
28.1M
11%
$10.41B
+10.9K
STATE STREET CORP
19.3M
7.4%
$7.15B
+544K
Invesco Ltd.
19.3M
7.4%
$7.14B
+10.7M
FMR LLC
13.6M
5.2%
$5.05B
−531K
WELLINGTON MANAGEMENT GROUP LLP
10.9M
4.2%
$4.06B
−749K
GEODE CAPITAL MANAGEMENT, LLC
10.7M
4.1%
$3.95B
+82.3K
MORGAN STANLEY
9.96M
3.8%
$3.69B
+557K
JPMORGAN CHASE & CO
8.2M
3.1%
$3.08B
—
VANGUARD PORTFOLIO MANAGEMENT LLC
8.08M
3.1%
$3.00B
−340K
Insider tradesSEC Forms 3, 4 and 5 · the latest 10
No open-market insider buying or selling in the last 90 days.
MAR insider trades
Insider
Trade
Shares
Price
Held after
MARRIOTT J W JRTenPercentOwner,Other
gift · Jun 10, 2026
17,500
$0.00
2,540,056
Roe PeggyOfficer
sold · May 18, 2026
3,000
$361.56
19,827
MARRIOTT J W JRTenPercentOwner,Other
gift · May 18, 2026
52
$0.00
2,557,556
Harrison Deborah MarriottDirector,Other
gift · May 18, 2026
52
$0.00
21,343
Mao YibingOfficer
sold · May 13, 2026
4,816
$347.72
27,398
Goren Isabella DDirector
granted · May 11, 2026
670
$0.00
4,629
Harrison Deborah MarriottDirector,Other
granted · May 11, 2026
670
$0.00
1,962
SCHWAB SUSAN CDirector
granted · May 11, 2026
670
$0.00
10,172
LEWIS AYLWIN BDirector
granted · May 11, 2026
670
$0.00
13,409
Tresvant SeanDirector
granted · May 11, 2026
670
$0.00
1,538
Corporate actions
exchange records
Nothing upcoming on record; the last was a dividend of $0.73 a share, ex-date Aug 20, 2026.
Actionsex-dates · upcoming first, then the last eight · dividends in dollars a share, splits as ratios
Corporate actions of MAR, upcoming first, then the most recent
Ex-date
Action
Amount or ratio
Record date
recent
Aug 20, 2026
dividend
$0.73
—
May 22, 2026
dividend
$0.73
—
Calendardividends by ex-date
Dividends in 365 days
$1.46a share · ex-dates inside the year
Last dividend
$0.73ex-date Aug 20, 2026
Price history
131 sessions on record · to Sep 30 · end of day
MAR is +6.3% over 20 sessions against the S&P 500's +0.1%, 13% below its 52-week high, realised volatility 19% annualised.
Returns against S&P 500longest window first · S&P 500 over the same sessions
Returns of the stock and S&P 500 over six windows, longest first
Window
From $
MAR %
S&P 500 %
Difference pp
120 sessionssince Apr 9
$352.92
▲ +0.78%
▲ +12%
−11
60 sessionssince Jul 7
$380.76
▼ −6.6%
▲ +2.0%
−8.6
20 sessionssince Sep 1
$334.56
▲ +6.3%
▲ +0.11%
+6.2
5 sessionssince Sep 23
$351.66
▲ +1.1%
▼ −0.67%
+1.8
1 sessionsince Sep 29
$361.64
▼ −1.6%
▼ −0.21%
−1.4
Averages of the closeclose against each average
5-session average
$355.88close −0.06% from it
20-session average
$341.86close +4.0% from it
50-session average
$352.31close +0.95% from it
Range and volumetrue range over 14 sessions · high to low over 20 · volume against the 20-session average
Average true range, 14
$7.42.1% of the close
Average day's range, 20
$7.62.1% of the close
Volume against 20 sessions
0.68×1.12M vs 1.62M average
Volatility and co-movement with S&P 500annualised from daily returns
Realised volatility, 20
19%≈ ±1.2% a session · moved more than that on 7 of 20
Realised volatility, 60
27%≈ ±1.7% a session · moved more than that on 12 of 60
Beta to S&P 500, 60
-0.08moved with S&P 500 on 33 of 60 sessions
Up and down sessionscloses above and below the previous close
Last 20 sessions
12 up · 8 downof 20
Last 60 sessions
31 up · 29 downof 60
Best session, 250
▲ +5.3%Apr 8
Worst session, 250
▼ −7.0%Aug 3
Marriott International Class A Common Stock is held by
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