MAR is in the Consumer Cyclical sector. Sector is a broad classification that groups companies based on their business activities, industry focus or economic function.
MAR is in the Lodging industry. Industry is a more specific classification within a sector, grouping companies that operate in a similar field and have closely related business models.
Over the past 52 weeks, Marriott International Class A Common Stock (MAR) has traded between a low of $205.40 and a high of $370.00.
MAR is in the Travel & Leisure industry group. Industry group is a further subdivision within an industry, grouping companies with even more closely related business models and operations. This helps investors analyze stocks at a more detailed level than sector and industry classifications alone.
MAR’s payout ratio is 0.28. Payout ratio is a financial metric used to measure the proportion of a company's earnings that are paid out as dividends to shareholders.
MAR’s trailing dividend yield is 0.7799999999999999. Trailing dividend yield is a financial metric used to measure the return on investment from a company's dividend payments over the past 12 months.

























