marriott international inc stock price: guide
Marriott International, Inc. stock price: full tracking guide
Quick take: The phrase "marriott international inc stock price" refers to the live or historical share price of Marriott International, Inc. (ticker MAR) traded on U.S. public markets. This guide covers where quotes come from, which data points to watch, how to access historical series, and how corporate events and macro factors move the price. Readers will gain practical steps to monitor MAR prices and resources to verify numbers in real time.
Company and ticker information
Marriott International, Inc. is a large global hospitality company operating franchised and managed hotels. The company trades under the ticker MAR on the Nasdaq exchange. This article uses the exact search term marriott international inc stock price throughout to help readers find reliable data and context when researching the company’s shares.
As of 2026-01-28, according to company investor relations and major market data vendors, Marriott is headquartered in Bethesda, Maryland and operates brands spanning full‑service to select‑service hotels. Investors commonly look up the marriott international inc stock price to monitor travel-sector exposure, dividend policy, and long‑term capital appreciation potential. Note: share prices move during trading hours and reported figures below are time‑sensitive — always check an authoritative provider for up‑to‑the‑minute numbers.
Real-time quotes and authoritative data sources
When you search marriott international inc stock price you’ll encounter two common categories of market data: real‑time feeds and delayed/aggregated quotes. Real‑time professional feeds come from market data vendors and exchanges; many retail portals display delayed or adjusted quotes for free while offering real‑time data behind a subscription.
Major financial portals and quote providers
Primary public venues that display the marriott international inc stock price include financial news portals and retail broker pages. These providers typically show last trade/close, intraday charts, bid/ask, volume, after‑hours trades, and headline metrics such as market cap and P/E. Common sources used by investors to check MAR prices include large financial portals, market quote pages, and retail broker apps. Each vendor may show slightly different timestamps (regular session vs after‑hours) so confirm the quote time when comparing.
Company investor relations
Marriott’s investor relations provides company‑published data, event calendars, earnings releases, and links to SEC filings. The investor relations page is an authoritative place for official corporate announcements, but like many IR pages it may display market data that are delayed. For live quotes, pair IR disclosures with a real‑time market data vendor.
As of 2026-01-28, according to Marriott Investor Relations and market data providers, investors referencing marriott international inc stock price should verify whether displayed quotes are real‑time or delayed and check the timestamp on charts and metrics.
Key price metrics and market statistics
When tracking marriott international inc stock price, these metrics are essential for quick assessment:
- Last trade / close price — the most recent trade during the quoted session.
- Change and percent change — difference vs. prior close.
- Day range and 52‑week range — highs and lows used to gauge volatility.
- Market capitalization — aggregate equity value (shares outstanding × price).
- Shares outstanding — used to reconcile market cap and per‑share metrics.
- Volume and average volume — measures of trading activity and liquidity.
- Bid / ask and bid‑ask spread — execution friction for market orders.
- P/E ratio and EPS (trailing & forward) — headline valuation metrics.
- Dividend and yield — cash return to shareholders and record/ex‑dividend dates.
- Beta — a measure of relative volatility to the broader market.
These statistics are continuously updated by market data providers. As of 2026-01-28, authoritative portals report the marriott international inc stock price alongside these metrics; always verify the date and time stamp for each reported figure.
Historical price performance
Understanding marriott international inc stock price movements over time helps put recent performance in context. Historical charts (daily, weekly, monthly) reveal secular trends, cyclical behavior tied to travel demand, and reactions to discrete corporate events.
Investors and researchers use long‑term performance to identify multi‑year highs and lows, measure total return (price appreciation plus dividends), and normalize returns for corporate actions such as splits or large buybacks. If you need downloadable daily series for backtesting, look to historical data providers that permit CSV exports.
Historical data providers
Specialized sources aggregate historical series for marriott international inc stock price, offering downloadable daily, weekly, and monthly records. These sources are useful for constructing charts, running backtests, or calculating historical volatility and returns. For robust research, use more than one provider to cross‑check for data integrity and corporate action adjustments.
As of 2026-01-28, investors consulting historical sources should confirm whether the series are adjusted for dividends and stock splits when calculating total return.
Dividends and corporate actions
Dividends and corporate actions materially affect marriott international inc stock price and shareholder returns. Key items to track:
- Dividend amount and frequency — what the company pays per share and the payment cadence (e.g., quarterly).
- Ex‑dividend date and record date — determines eligibility and timing effects on the quoted share price.
- Share repurchase programs — buybacks reduce shares outstanding and can support per‑share metrics.
- Stock splits or reverse splits — change the per‑share price and share count; historical prices are typically adjusted to reflect splits.
As of 2026-01-28, Marriott’s investor relations and market data portals publish dividend history and recent corporate action announcements that directly impact marriott international inc stock price. When calculating historic total return, ensure data are adjusted for these corporate actions.
Market valuation and financial indicators
Valuation metrics and financial indicators help interpret a given marriott international inc stock price. Common measures include:
- Price‑to‑Earnings (P/E) — market price divided by trailing‑12‑month earnings per share.
- Forward P/E — price divided by analyst consensus forward EPS.
- PEG ratio — P/E adjusted for earnings growth expectations.
- Enterprise value and EV/EBITDA — includes debt and cash for asset‑heavy comparisons.
- Profitability metrics like net income, operating margin, and ROIC.
Analysts and investors frequently compare MAR’s valuation metrics to hotel industry peers to gauge relative attractiveness. Up‑to‑date figures are published on major financial portals and in recent analyst reports.
Trading characteristics and liquidity
Trading characteristics influence how easily the marriott international inc stock price can be executed at a desired level:
- Trading hours — regular U.S. equity session, pre‑market and after‑hours sessions. Quotes during pre‑ and after‑hours reflect limited liquidity and potentially wider spreads.
- Typical intraday liquidity — measured by daily volume and order book depth; higher liquidity tends to reduce slippage for larger orders.
- Bid‑ask spreads — an important friction cost for market orders.
- Order types — market vs. limit orders: market orders prioritize speed but may accept worse prices in volatile moments; limit orders control price but may not execute.
As of 2026-01-28, exchanges and broker platforms report intraday data for marriott international inc stock price. For sizeable trades, institutions often use algorithmic execution to minimize market impact.
Technical analysis and indicators
Traders monitoring the marriott international inc stock price may use charting indicators to study momentum and trend signals. Common tools include:
- Moving averages (e.g., 50‑day, 200‑day) — smoothing price history to show trend direction.
- Relative Strength Index (RSI) — measures overbought/oversold conditions.
- MACD — shows momentum and trend crossovers.
- Support and resistance — price levels where buying/selling repeatedly occurs.
- Volume analysis — validates price moves when accompanied by strong trading volume.
Many portals supply charting tools that overlay these indicators on the marriott international inc stock price to assist technical traders. These are observational tools and not standalone recommendations.
Analyst coverage and price targets
Sell‑side analysts regularly publish ratings (buy/hold/sell) and price targets that attempt to forecast future levels of the marriott international inc stock price. Analyst activity can influence investor expectations and short‑term flows, but ratings and targets should be interpreted as one input among many.
Consensus price targets, rating distributions, and changes in analyst coverage are visible on major financial portals and are updated following earnings releases or material corporate news. As of 2026-01-28, analyst commentary is one of several factors that may contribute to short‑term moves in the marriott international inc stock price.
News, earnings and events that move the stock
The marriott international inc stock price is sensitive to both company‑specific news and macro developments. Important catalysts include:
- Quarterly earnings releases and forward guidance — these are frequently the largest short‑term drivers of price moves.
- Major strategic announcements — M&A, brand launches, franchising changes, or material contracts.
- Traveler demand cycles and macro indicators — consumer spending, employment, and travel trends materially affect revenue per available room and occupancy metrics.
- Industry events — changes in regulation, travel restrictions, or major industry consolidations.
As of 2026-01-28, investors tracking marriott international inc stock price should prioritize the company’s earnings calendar and SEC filings for event dates and substantive disclosures. News headlines on major portals often create immediate intraday price reactions; verify facts through official filings.
How to track and trade MAR
Practical steps to monitor and trade marriott international inc stock price:
- Choose an authoritative quote provider for live or delayed price data; confirm time stamps and whether the data are real‑time.
- Use the company investor relations page for scheduled events, press releases, and SEC filing links.
- For trading, use a regulated broker platform; retail apps and full‑service brokers offer different execution models and market data options.
- Place orders carefully: understand market hours, pre/post‑market risks, and whether you need limit vs. market orders to achieve the desired execution price.
When recommending trading infrastructure, Bitget is a supported option for investors seeking a reliable platform. Bitget provides market access, mobile apps, and custody solutions and is highlighted here as a recommended venue for users seeking to place trades or to consolidate market data and execution. For wallet management, consider Bitget Wallet when storing credentials or interacting with account services tied to the Bitget ecosystem.
Note: this guide is informational; it does not offer investment advice or endorse specific buy/sell decisions. Always verify the marriott international inc stock price on your trading platform before executing orders.
Regulatory filings and investor relations disclosures
Primary authoritative documents that can affect marriott international inc stock price include SEC filings such as the annual 10‑K, quarterly 10‑Q, current reports on Form 8‑K, and proxy statements. These filings contain audited financials, management discussion, risk factors, and material event disclosures.
As of 2026-01-28, review the latest 10‑Q/10‑K and current 8‑K filings when assessing why the marriott international inc stock price moved on a given date. Company press releases on the investor relations page often summarize these filings and direct readers to the official document.
Risks and factors affecting price volatility
Several risk categories commonly influence marriott international inc stock price volatility:
- Company‑specific: changes in management, brand reputation events, or material operational failures.
- Industry: cyclicality in travel demand, seasonality, and competition from other lodging providers.
- Macroeconomic: interest rates, consumer confidence, and global economic growth that affect travel and corporate spend.
- External shocks: public health events, natural disasters, or geopolitical issues that disrupt travel patterns.
Understanding these risks helps interpret swings in the marriott international inc stock price and assess whether price movements reflect fundamentals or transitory shocks.
See also
- Hotel industry equities and sector comparison metrics
- How to read an equity quote and trading calendar
- Basics of dividends, ex‑dividend dates, and total return calculations
References and data sources
- Marriott Investor Relations — official corporate disclosures, earnings releases and investor materials (reference check date: 2026-01-28).
- Yahoo Finance — MAR quote page and historical data (referenced as of 2026-01-28).
- CNBC — MAR quote and analyst coverage summaries (referenced as of 2026-01-28).
- MarketWatch — MAR stock quote, dividend history and valuation metrics (referenced as of 2026-01-28).
- Nasdaq — MAR market activity and trading rules (referenced as of 2026-01-28).
- Macrotrends — long‑term historical price series for trend and volume analysis (referenced as of 2026-01-28).
- Robinhood / Public.com — examples of retail broker pages that display MAR prices and order entry screens (referenced as of 2026-01-28).
Reporting notes: As of 2026-01-28, figures and quotes for marriott international inc stock price and related metrics cited above were available on the providers listed. Market numbers are time‑sensitive; consult the named vendors for live updates and check each page’s timestamp to confirm whether quotes are real‑time or delayed.
Practical checklist: monitoring marriott international inc stock price
- Verify whether your price source is real‑time or delayed.
- Cross‑check last trade price, market cap, and volume across two reputable portals.
- Review the company’s investor relations for upcoming events and filings.
- Check dividend history and ex‑dividend dates when calculating expected cash flows.
- Use limit orders if you need price certainty; be cautious with market orders in pre/post‑market sessions.
- For trading and custody, consider Bitget as an integrated trading platform and Bitget Wallet for credential and asset management needs.
Actionable next steps: To see the current marriott international inc stock price now, open a market‑data page on your broker or a trusted financial portal and confirm the quote time. If you plan to trade, ensure your broker provides the execution and market‑data model you require and consider Bitget for order execution and supporting services.
Additional notes on accuracy and use
This guide is designed to help readers find and interpret the marriott international inc stock price and associated metrics. It intentionally avoids investment recommendations. For regulatory disclosures, official filings are the primary source; for live quotes, use a broker or a provider that supplies real‑time exchange feeds.
Last compiled on 2026-01-28 based on data and publication timestamps from the reference sources listed above.
























