Marriott International Inc.

United States of America Country flag United States of America
Sector: Hotels
Ticker: MAR
Factsheet Factsheet

Risk Analysis of Marriott International Inc. ( MAR | USA)

"The Risk Score is a relevant measure for the assessment of a stock attractiveness. Marriott International Inc. shows a Risk Score of 9.00.
0 corresponds to a very high risk and 10 corresponds to a very low risk."
The Risk Score for Marriott International Inc. is significantly higher than its peer group's. This means that Marriott International Inc. is significantly less risky than its peer group.

Valuation
EV/EBITDA LastEV/EBITDA(e) 2025EV/EBITDA NTM
Marriott International Inc.Free trialFree trialFree trial
International PeersFree trialFree trialFree trial
Hotels11.279.148.94
NASDAQ 10019.4713.7513.04
United States of America5.088.138.17
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Beta (Ref: NASDAQ 100)
Levered betaUnlevered beta
1-Year0.750.65
2-Year0.630.55
3-Year0.720.62
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Stock Perf excl. Dividends (in USD)
MARNASDAQ 100Rel. Perf.
Year-to-Date-14.5%-6.9%-7.6%
1-Week3.8%4.7%-0.9%
1-Month0.2%1.5%-1.4%
1-Year1.1%12.2%-11.1%
3-Year34.4%52.2%-17.9%
5-Year162.3%117.4%44.9%
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GPRV Analysis
Created with Highcharts 4.1.70/102/104/106/108/1010/10
Marriott Internation...
Intl. Peers
U.S Patents No. 7,882,001 & 8,082,201
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International Peers - Marriott International Inc.
Company NameCtryMarket
Cap.
last (mUSD)
Marriott International ...USA67 166
International Peers Median0.46
Hilton Worldwide Holdin...USA54 967
Choice Hotels Internati...USA5 954
InterContinental Hotels...GBR-0.00
Hyatt Hotels Corp.USA10 822
WYNDHAM HOTELS & RESORT...USA6 737
Net Sales Chart
Created with Highcharts 4.1.7Millions USD201920202021202220232024 (e)2025 (e)2026 (e)2027 (e)0k10k20k30k40k
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Quotes Chart

1-Year Rebased Stock Chart

  • Marriott International Inc.
  • NASDAQ 100
Created with Highcharts 4.1.7Jan '25May '24Sep '24May '25-20%0%20%40%
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About Stock Risk Analysis

To analyze and assess the risk of a company, several indicators are important to look at including liquidity / volatility / debt level and capital structure. In GPRV, the aggregated Risk Score is the average of the risk indicators' scores.

Beta
The Beta is a quantitative measure of the volatility of a stock relatively to the volatility of the market. The Beta currently displayed is the 1 year Beta.

Volatility
Infront Analytics uses a method of estimating volatilities based on 3 months (62 business days) historical market value fluctuations.

Volume (3-Month daily average)
Volume indicator is the average of the daily volume over the last three months in $ millions.

Market Cap
Last close Market Capitalization in $ millions.

Net Debt/Market Cap
This is the Solvency measure, it guarantees that the company has a sound capital structure.
Calculation:
Last published net debt / Last market cap.