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Sector: Consommation Cyclique
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Marriott International

MAR Large Cap

Consumer Cyclical · Lodging

Mis à jour: Jun 18, 2026, 22:21 UTC

345,75 €
+0.4% aujourd'hui
52W: 221,45 € – 358,65 €
52W Low: 221,45 € Position: 90.6% 52W High: 358,65 €

Price Chart

Indicateurs clés

P/E Ratio
41.53x
Cours/Bénéfice
Forward P/E
30.28x
P/E prévisionnel
P/S Ratio
14.54x
Cours/Ventes
EV/EBITDA
25.81x
Valeur d'entreprise/EBITDA
Rend. dividende
0.74%
Rendement annuel du dividende
Cap. boursière
91,2 Md €
Capitalisation boursière
Croissance du CA
12.6%
Croissance du CA sur un an
Marge bénéficiaire
35.97%
Marge nette
ROE
Rentabilité des capitaux propres
Beta
1.1
Sensibilité au marché
Positions vendeuses
2.59%
% du flottant vendu à découvert
Volume moyen
1,465,495
Volume quotidien moyen

Valuation Analysis

Signal
Overvalued
vs. S&P 500 avg P/E (24.7x)
Analyst Consensus
Acheter
24 analysts
Avg. Price Target
332,34 €
-3.88% upside
Target Range
237,37 € – 389,21 €

About the Company

Sector: Consumer Cyclical Industry: Lodging Country: United States Employees: 414,000 Exchange: NMS

Marriott International en bref

Marriott International (MAR) is currently trading at 345,75 € with a market capitalization of 91,2 Md €. The trailing P/E ratio stands at 41.53x, with a forward P/E of 30.28x. The 52-week range spans from 221,45 € to 358,65 €; the current price is 3.6% below the yearly high. Year-over-year revenue growth stands at +12.6%. The net profit margin stands at 35.97%.

💰 Dividende

Marriott International pays an annual dividend of 2,55 € per share, representing a yield of 0.74%. The payout ratio stands at 28.06%.

📊 Avis des analystes

24 analystes évaluent Marriott International (MAR) au consensus : Acheter. L'objectif de cours moyen est de 332,34 €, soit un potentiel de -3.88% par rapport au cours actuel. La fourchette des objectifs de cours des analystes va de 237,37 € à 389,21 €.

Marriott International : la thèse d'investissement en détail

Marriott International (MAR) operates in the Consumer Cyclical — specifically Lodging — and is headquartered in United States. Below is a structured read of the investment case built directly from the latest fundamentals, valuation multiples, analyst positioning and smart-money flows. Each section translates raw numbers into the investment logic they imply, so you can decide whether the risk/reward fits your portfolio.

Le scénario haussier

Revenue is growing at a healthy 12.6% pace year-over-year, suggesting the business model continues to find new customers and pricing power. With a gross margin near 79.04%, the company sits in the top tier of its industry — these are the kinds of structural margins that protect earnings during downturns. Free cash flow is positive and net margins stand at 35.97%, meaning reported earnings translate into real cash that can fund buybacks, dividends or strategic acquisitions.

Le scénario baissier

Our valuation screen flags the stock as overvalued — current multiples imply the business needs to deliver well above its recent trajectory to justify the price.

Valorisation en contexte

The EV/EBITDA multiple of 25.81x reflects rich expectations — historically, multiples at this level have proven hard to maintain for more than a few quarters.

À surveiller

  • The forward P/E of 30.28x is meaningfully below the trailing 41.53x — analysts expect earnings to step up; the next earnings release is the test.
  • The share is trading at 90.6% of its 52-week range — a break above the recent high opens technical upside, a failure here often invites profit-taking.

Thèse d'investissement : forces et faiblesses

Points forts
  • Rentable avec une marge nette de 35.97%
  • Marge brute élevée de 79.04% — signe d'un pouvoir de fixation des prix
  • Consensus des analystes : Buy
  • Free cash flow positif
Points faibles
  • Actuellement jugée surévaluée

Aperçu technique

MM 50 jours
322,50 €
+7.21% vs. cours
MM 200 jours
278,03 €
+24.36% vs. cours
Sous le plus haut 52s
−3.6%
358,65 €
Au-dessus du plus bas 52s
+56.1%
221,45 €

Price trades above both the 50- and 200-day moving averages, with 50d above 200d — a classic bullish setup (golden-cross alignment).

Profil de risque

Risque de marché (Bêta)
1.1 · Proche du marché
Évolue plus que le marché global
Positions vendeuses
2.59% · Faible
% du flottant vendu à découvert

The data points to market-like volatility.

Trading Data

50-Day MA: 322,50 €
200-Day MA: 278,03 €
Volume: 2,201,630
Avg. Volume: 1,465,495
Short Ratio: 4.24
P/B Ratio:
Debt/Equity:
Free Cash Flow: 1,6 Md €

💵 Dividend Info

Dividend Yield
0.74%
Annual Rate
2,55 €
Payout Ratio
28.06%

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