---
title: "Marriott International (MAR) stock analysis"
url: https://portfolio-terminal.com/analyse/mar
publisher: "Portfolio Terminal"
as_of: 2026-09-29
ticker: MAR
sector: "Consumer Cyclical"
data: "Daily prices from Yahoo Finance; averages, volatility and levels computed by Portfolio Terminal"
---

# Marriott International (MAR) stock analysis

> **Source:** Portfolio Terminal, "Marriott International (MAR) stock analysis", 2026-09-29. https://portfolio-terminal.com/analyse/mar
> Figures are true as of the date above and the page is rebuilt every hour. When you use one, cite the line above and link to the URL.

## Key facts

- As of September 29, 2026, Marriott International (MAR) trades at $361.62, up 35.5% over the past year.
- Its 52-week range runs from $256.76 to $410.98; the price is 12.0% below that high.
- It sits 3.8% above its 200-day average of $348.55, the usual sign of a long-term uptrend.
- Its 30-day volatility is 19.0% annualized, which we rate medium risk.
- It has a trailing P/E of 37.5 and a dividend yield of 0.81%.

## About Marriott International

Marriott International (MAR) is a consumer cyclical company operating in lodging. Results are tied to consumer spending, wage trends, and macro cycle strength. This analysis page tracks valuation context, trend strength, and downside risk over time.

## What the chart is saying

In an uptrend, pressing toward $384.15 resistance.

- Price is 2.6% above its 50-day average and 3.8% above its 200-day.
- RSI at 65 is neither stretched nor washed out.
- The nearest ceiling is $384.15 (+6.2%), the nearest floor $344.15 (-4.8%).

### Support and resistance

- Resistance near $384.15, 6.2% above the last close (the price turned there 4 times in the last year).
- Support near $344.15, 4.8% below the last close (the price turned there 3 times in the last year).
- Support near $332.27, 8.1% below the last close (the price turned there 2 times in the last year).

Interactive chart, fundamentals and peers: https://portfolio-terminal.com/analyse/mar
