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Marriott International Inc (MAR) — chart, structure and Closelooknet read

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Company snapshot — Marriott International Inc

MAR in five paragraphs: what it makes and sells, where it sits in the Closelooknet stack, who it is priced against, why we track it, what we watch. Research diary, not advice.

What it does
Marriott operates, franchises and licenses hotels, residences, timeshares and yachts under many brand names, from luxury lines such as Ritz-Carlton and St. Regis to select-service brands such as Courtyard and Fairfield. It runs properties across North America, Europe, the Middle East, Africa, Greater China and the wider Asia-Pacific region. The company is headquartered in Bethesda, Maryland.
Where it sits in the stack
Marriott carries no seat in Rubin or Halo, the diary's AI-focused indices, so it sits outside the build-out entirely. Inside our wider universe it belongs to the Consumer Cyclical sector, in the Lodging sleeve alongside other hotel operators and franchisors.
Who it is priced against
The diary has no assigned peer group for Marriott; the comparison the market usually draws is with Hilton Worldwide, another hotel franchisor operating under multiple brands.
Why Closelooknet tracks it
Marriott is a Nasdaq-100 constituent but carries no Closelooknet score and no recorded quotes in our editions, so its coverage stays limited to index membership.
What the diary watches
Whether new brand launches and added management or franchise agreements keep expanding room count without Marriott owning the underlying property, which shapes how fee income holds up through a travel downturn.

Marriott International Inc (MAR) trades on US exchanges.

Written from the company’s public profile and Closelooknet’s own readings, 2026-09-17. Descriptive, refreshed with the registry; corrections welcome via the imprint. closelook.net is an investment research diary — market structure, index membership and scores are our own readings, not investment advice. Related: index compare · sector dispersion · scanner.

Signals for this name

Every Closelooknet reading that exists for MAR, from the same nightly bakes the boards use. Research diary readings, not advice.

The Street on this name 2 analyst actions on the wire · latest: price target by Truist, 2026-09-10

The Street on this name

Analyst actions and the latest print for MAR from the Closelooknet wires — third-party opinions on the record, not our readings.

  • Price target Truist — target 360 from 356 Target raised to $360 from $356 (+8.2% to spot) 2026-09-10
  • Price target UBS — target 395 from 412 Target cut to $395 from $412 (+9.7% to spot) 2026-08-20

2 actions on the analyst wire since 2026-08-13: 2 target changes. Analyst wire → · Earnings wire →

Who it is priced against Lodging · 6 names with week and year-to-date

Peer group

Lodging

This name carries no Closelooknet score, so its cohort ranks on trend state — distance to the 50- and 200-day averages — never on a score it does not have.

Compared against MAR on the nightly bakes; the Peers tab ranks the cohort on the Closelooknet scores where it exists.

Dividends and capital return trailing yield 0.80%, quarterly · last 0.73 USD on 2026-08-20

Dividends and capital return

What MAR pays out and buys back — distributions read from the price series, money terms from the filings.

  • Trailing 12 months 2.80 USD per share · a 0.80% yield on the 2026-09-25 close 4 distributions, paid quarterly 2026-09-25
  • Change on the year +7.7% against the prior twelve months prior twelve months 2.60 USD per share
  • Last distribution 0.73 USD per share as the price series records it, within days of the ex-date 2026-08-20
  • By calendar year 2023: 0.52 USD (partial) · 2024: 2.41 USD · 2025: 2.64 USD · 2026: 2.13 USD to date first distribution recorded in the three-year window: 2023-11-21

Per-share amounts are derived from the adjusted price series in the listing currency, so dates sit within days of the ex-date; filing figures come from the fundamentals feed for the last reported fiscal year. An investment diary, not a recommendation.

How it trades on rate days beta 0.70 to TLT · on the worst bond days it moved with the market

How it trades on rate days

How MAR has moved when long-dated Treasury yields rise — measured against TLT, the 20+ year Treasury fund.

  • Beta to long bonds, 1 year 0.70 — moves strongly with bonds for every 1% move in TLT (20+ year Treasuries), Marriott International Inc moved 0.70% on average · correlation 0.24 · higher than 70% of US names
  • Beta, last 3 months 0.26 less rate-sensitive lately than over the year
  • On the 10 worst bond days −0.72% on average against −0.74% for the S&P 500 the 10 sessions of the past year in which TLT fell most, i.e. long yields rose most
  • Latest of those days −0.04% TLT −1.29% that day 2026-09-24

Daily total returns from the adjusted price series; a TLT down day is a day long yields rose. Beta = the average move of the name for a 1% move in TLT. Past sensitivity, not a forecast. An investment diary, not a recommendation.

Weather around the name 3 macro readings: Money Temperature, Factor regime, Sovereign pressure

The weather around this name

Macro readings that apply by membership — the regime, the factor tape, the sector cell, the funding backdrop.

  • Money Temperature Composite 62/100 · S&P 500 fund at 67, bullish alignedEight instruments scored on position, momentum, volume, volatility and fragility — the regime every name trades inside. Temperature lab → 2026-09-25
  • Factor regime Momentum leading — risk appetite buildingMomentum against low volatility (SPMO / SPLV): above its 50-day trend, 99th percentile of the window, +8.4% over 20 sessions. Factor regime → 2026-09-25
  • Sovereign pressure Index 0.61 · up 0.29 over 21 sessionsG7 long-end yields, 10s30s and the slope — the funding weather for every balance sheet on this site. Sovereign pressure → 2026-09-25

FAQ · from the current data · as of 2026-09-26

Quick answers

What is Marriott International Inc (MAR)?

Marriott International Inc trades as MAR on the US exchange (US) in the Closelooknet research universe, as of the registry build of 2026-09-26.

Is MAR in a Closelooknet index?

Not currently — Marriott International Inc is tracked in the Closelooknet research universe but is not a constituent of a Closelooknet functional index as of 2026-09-26.

Where does MAR trade against its moving averages?

Pullback inside an uptrend stack: Trades -0.2% vs the 50-day and +1.3% vs the 200-day average, 14.3% below the 52-week high and +37.7% off the 52-week low. Computed from daily closes. As of 2026-09-25 — a technical state from the nightly Closelooknet bake, not advice. The Technical tab carries the full row.

What does Marriott International Inc do?

Marriott operates, franchises and licenses hotels, residences, timeshares and yachts under many brand names, from luxury lines such as Ritz-Carlton and St. Regis to select-service brands such as Courtyard and Fairfield. It runs properties across North America, Europe, the Middle East, Africa, Greater China and the wider Asia-Pacific region. The diary has no assigned peer group for Marriott; the comparison the market usually draws is with Hilton Worldwide, another hotel franchisor operating under multiple brands.

Where does Marriott International Inc sit in the AI build-out?

Marriott carries no seat in Rubin or Halo, the diary's AI-focused indices, so it sits outside the build-out entirely. Inside our wider universe it belongs to the Consumer Cyclical sector, in the Lodging sleeve alongside other hotel operators and franchisors. Marriott is a Nasdaq-100 constituent but carries no Closelooknet score and no recorded quotes in our editions, so its coverage stays limited to index membership.

Does Marriott International Inc pay a dividend?

Marriott International Inc has paid 2.80 USD per share over the last twelve months, paid quarterly, a trailing yield of 0.80% on the 2026-09-25 close; the last distribution recorded in the price series was 0.73 USD on 2026-08-20. The "Dividends and capital return" block on this page carries the lines.

How does Marriott International Inc trade when bond yields rise?

Over the past year Marriott International Inc had a beta of 0.70 to TLT, the long-dated Treasury fund — it moves strongly with bonds, higher than 70% of US names. On the 10 sessions in which long bonds fell most it moved −0.72% on average, against −0.74% for the S&P 500. The "How it trades on rate days" block on this page carries the lines.

What has Wall Street done on Marriott International Inc recently?

The most recent analyst action on Marriott International Inc on the Closelooknet wire is a price target by Truist on 2026-09-10 (target 360 from 356). 2 actions on the analyst wire since 2026-08-13: 2 target changes. Analyst actions are third-party opinions recorded by the wire, not Closelooknet readings. The “The Street on this name” block on this page lists the moves; the full feeds are the analyst wire and the earnings wire.

What does this page show?

A live price chart with SMA overlays and drawing tools for MAR, performance metrics, index-membership context and the Closelooknet structure read — an investment research diary view, not investment advice.

Related in the Closelooknet universe

then Lodging, then Consumer Cyclical. Scored names rank on their Closelooknet score; names without one rank on trend state — above or below their 50- and 200-day averages — never on a score they do not carry.