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The Year To Date (YTD) return is +4.54%.
The 52 Week Low stock price is 88.31 set on Mon, Mar 20, 2017 which is 365 days ago.
The current price per share is 58.33% above the 52 week low.
The 52 Week High stock price is $149.21 set on Tue, Jan 30, 2018 which is 49 days ago.
The current price per share is -6.29% below the 52 week high.
The All Time High stock price is $149.21 set on Tue, Jan 30, 2018 which is 49 days ago.
The current price per share is -6.29% below the all time high.
The Marriott 5 year stock chart shows the historical prices over the previous 60 months.
The Marriott 1 year stock chart shows the historical prices over the previous 12 months.
The 50 Day Moving Average is at $140.92 which is 0.78% above the stock price of $139.82.
The 200 Day Moving Average is at 119.33 which is -17.17% above the stock price of $139.82.
Because the stock price is between the 50 DMA and 200 DMA, look at other support and resistance trendlines.
Marriott International Inc is a Consumer Discretionary stock that trades on the NASDAQ and has a market capitalization of $51.43 Billion.
Marriott International, Inc. (Marriott International) is a lodging company. Marriott International operates in three business segments: North American Full-Service, North American Limited-Service and International. Its North American Full-Service segment includes its Luxury and Premium brands (JW Marriott, Marriott Hotels, Sheraton, Westin, Renaissance Hotels, Le Meridien, Autograph Collection Hotels, Delta Hotels, Gaylord Hotels, and Tribute Portfolio) located in the United States and Canada. Its North American Limited-Service segment includes Select brands (Courtyard, Residence Inn, Fairfield Inn & Suites, SpringHill Suites, Element Hotels and Moxy Hotels) located in the United States and Canada. Its International segment includes JW Marriott, St. Regis, EDITION, Bulgari Hotels & Resorts, Marriott Hotels, Sheraton, Westin, Four Points, Aloft Hotels, AC Hotels by Marriott, Protea Hotels, Element Hotels, and Moxy Hotels located outside the United States and Canada.
For more information and analysis about Marriott International Inc, visit their web site at http://www.marriott.com. For a real time price lookup on this ticker, MAR, visit Google Finance and Bloomberg.
Below are several other Gaming, Lodging & Restaurants stocks include Chipotle Mexican Grill Inc (CMG), Darden Restaurants Inc (DRI), Marriott International Inc (MAR), McDonalds Corp (MCD), Norwegian Cruise Line Holdings Ltd (NCLH), Royal Caribbean Cruises Ltd (RCL), Starbucks Corp (SBUX), Wyndham Worldwide Corp (WYN), Wynn Resorts Ltd (WYNN), Yum! Brands Inc (YUM), .
The EPS is $5.18.
The P/E Ratio is 27.21%.
Stocks can make big percentage moves on the earnings announcement.
Companies announce earnings either before the market open or after the close.
The Earnings Release Date for Marriott International Inc was Tue, Nov 7, 2017.
Since this earnings release 133 days ago, the stock price is up by +14.63%.
Many investors know the importance of a companies earnings report. Also, the market reaction to the earnings release can be even more important and can help in making a prediction of a future price forecast of the shares.
A significant post earnings announcement percentage move can continue or reverse an existing trend for several days or weeks after the earnings date.
The most recent Earnings Release Date was on Wed, Feb 14, 2018, which was 34 days ago.
Since this earnings date, the stock price is down by -0.56%.
The Annual Dividend Yield is 0.94%.
Since the Ex-Date on Thu, Feb 22, 2018, 26 days ago, the stock price is down by -0.55%.
(The next ex-dividend date will be around Wed, May 23, 2018.)
The Pay Date is Fri, Mar 30, 2018 which is in 10 days.
The dividend payment date is the date the dividend is scheduled to be paid.
It should show in your account on that day or the next day the stock market is open.
Investors should understand the dividend history of a company. Dividend history will show the dividend payments disbursed to investors over the years.