MARMARRIOTT INTERNATIONAL INC /MD/(MAR)Stock Analysis

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13F Pro Quality Score

65.9/100

Rank #555 of 2,879 stocksTOP 25%

View Consumer Discretionary peers →

Rankings refresh quarterly once 80% of peers have filed (~45 days after quarter-end). Next update: ~Aug 14, 2026.

Revenue Growth

52.1/100

Profitability

68.5/100

Balance Sheet

86.8/100

Earnings Quality

38.7/100

Free Cash Flow

63.8/100

Institutional Flow

1.0/100

Revenue Scale

94.7/100

Dilution Risk

59.9/100

MAR Stock Analysis & AI Quality Score

AI stock analysis and institutional research for MARRIOTT INTERNATIONAL INC /MD/ (MAR), a Consumer Discretionary sector company. 13F Pro's AI-powered ranking engine scores MAR at 65.9/100 on a 32-signal composite quality model, placing it at rank #555 of 2,879 stocks — the top 25% of the AI-ranked universe. MAR scores in the top quartile across revenue scale (94.7), balance sheet strength (86.8). Areas of concern include institutional flow (1.0) and earnings quality (38.7), which score below median versus the broader universe. Based on the latest XBRL financial filings (Q1 2026), MARRIOTT INTERNATIONAL INC /MD/ reports quarterly revenue of $6.7B, net income of $648.0M, an operating margin of 16.0%. Top institutional holders of MAR by reported 13-F value include BlackRock,, VANGUARD CAPITAL MANAGEMENT, STATE STREET, based on the most recent SEC filings. MAR trades on the Nasdaq exchange and files with the SEC under CIK 1048286. 13F Pro's AI research platform runs 10 specialized AI analysts — value, growth, momentum, macro, and activist specialists — that debate MAR daily and publish AI-generated analysis with cited SEC sources. The platform aggregates historical XBRL financial facts, 10-Q and 10-K filings, insider Form 4 transactions, and institutional 13-F holdings for MARRIOTT INTERNATIONAL INC /MD/ directly from SEC EDGAR. MARRIOTT INTERNATIONAL INC /MD/'s 13F Pro composite quality score has ranged between 41 and 82 since 2021, currently 65.9 — an improving long-term trajectory across 30 quarterly and live scoring snapshots.

Revenue

Q1 2026

$6.7B

Net Income

Q1 2026

$648.0M

Free Cash Flow

Q1 2026

$728.0M

Operating Margin

Q1 2026

16.0%

Revenue & Net Income

Earnings Per Share

Key Financials Over Time

Export Financial Table · Pro+

Revenue

+20.8% YoY
$25.10BFY 2024
FY20 $10.57BFY21 $13.86BFY22 $20.77BFY24 $25.10B

Net Income

+0.7% YoY
$2.38BFY 2024
FY20 $-267.0MFY21 $1.10BFY22 $2.36BFY24 $2.38B

Operating Income

+8.8% YoY
$3.77BFY 2024
FY20 $84.0MFY21 $1.75BFY22 $3.46BFY24 $3.77B

EPS (Diluted)

+15.1% YoY
$8.33FY 2024
FY20 $-0.82FY21 $3.34FY22 $7.24FY24 $8.33

Total Assets

+5.5% YoY
$26.18BFY 2024
FY20 $24.70BFY21 $25.55BFY22 $24.82BFY24 $26.18B

Total Debt

+43.6% YoY
$14.45BFY 2024
FY20 $10.38BFY21 $10.14BFY22 $10.06BFY24 $14.45B

Op. Cash Flow

+16.3% YoY
$2.75BFY 2024
FY20 $1.64BFY21 $1.18BFY22 $2.36BFY24 $2.75B

AI Insight: MAR Financial Trends

Total debt surged 26% from $13.1B in Q2 2024 to $16.5B in Q1 2026 while negative equity deepened to -$4.1B.

Revenue grew from $6,439M in Q2 2024 to $6,654M in Q1 2026, but remains volatile quarter-to-quarter.

Total debt increased consistently from $13,143M in Q2 2024 to $16,530M in Q1 2026.

Negative equity worsened from -$2,091M in Q2 2024 to -$4,092M in Q1 2026.

Operating cash flow volatility with Q4 2024 dropping to $318M before recovering to $858M in Q1 2026.

Debt burden continues rising while equity remains deeply negative, constraining financial flexibility.

AI Insight: MAR Ratio Trends

Marriott shows strong seasonal operating leverage with margins consistently peaking in Q2 but declining profitability versus year-ago levels.

Operating margin peaked at 18.3% in Q2 2025, down from 18.6% in Q2 2024.

ROIC fell to 34.2% in Q1 2026 from 43.2% in Q2 2024 peak.

Clear seasonal pattern with Q4 consistently showing weakest margins at 11.6-11.7%.

Net profit margin compressed to 9.7% in Q1 2026 versus 12.0% in Q2 2024.

ROA declined to 9.3% in latest quarter from 12.0% in Q2 2024.

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Available Research

13F Pro tracks comprehensive data for MARRIOTT INTERNATIONAL INC /MD/ including:

SEC EDGAR filings (10-K, 10-Q, 8-K)
XBRL financial facts (revenue, EPS, margins)
Insider transactions (Form 4)
Institutional 13F holdings
Quality rankings (32 signals)
AI analyst debates & daily meetings
Historical financial trends
Peer comparison & sector analysis

Top Institutional Holders of MAR

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Is MAR a good stock to buy?

13F Pro's AI-powered analysis of MARRIOTT INTERNATIONAL INC /MD/ (MAR) draws on SEC EDGAR-sourced fundamentals, institutional 13F holdings, and insider Form 4 transactions in the Consumer Discretionary sector (listed on Nasdaq). The 32-signal AI Quality Score, current rank, and full bull/bear verdict for MAR are available on the MAR stock profile dashboard — with the same data, AI insights, ratios, and institutional activity refreshed after every 10-K, 10-Q, 13F, and Form 4 filing.

Which hedge funds own MAR?

Institutional investors are required to disclose their holdings quarterly via SEC Form 13F. 13F Pro aggregates these filings to show which hedge funds, mutual funds, and asset managers are buying or selling MAR. Combined with insider transaction data from Form 4 filings and AI-powered analysis from 10 specialized research agents, 13F Pro provides a comprehensive view of MARRIOTT INTERNATIONAL INC /MD/'s investment landscape.