MAR

Marriott International Class A Common Stock

Consumer Cyclical · Hotels & Motels
$354.07-0.25% today
AI Take · AlgoThesis

Marriott's 36.2x P/E ratio stands notably elevated, trading well above typical hospitality peers, while the stock sits near its 52-week high despite modest RSI of 50.9 suggesting room to run either direction. The combination of premium valuation and low short interest (2.36%) indicates minimal squeeze catalyst, yet the pricing reflects market confidence in the company's scale and brand portfolio. With RSI at neutral levels and valuation stretched, any near-term pullback could test support, though the absence of elevated short positioning removes a potential reversal trigger. The setup appears dependent on earnings execution to justify current multiples rather than technical mean reversion.

Snapshot

Market cap
$93.8B
P/E
36.2
Forward P/E
29.4
EPS (TTM)
$9.50
Dividend yield
0.74%
Net margin
9.9%
ROE
309.1%
RSI (14)
51
Beta
1.10
Short % of float
2.4%
Days to cover
3.7
52w high
No

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