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Marriott International ($MAR) Stock Forecast: Down 5.0% Today

Morpher AI identified a bearish signal. The stock price may continue to fall based on the momentum of the negative news.

What is Marriott International?

Marriott International (MAR) is a leading hospitality company that operates and franchises a broad portfolio of hotels and related lodging facilities worldwide. The stock MAR had a bearish movement in the market today.

Why is Marriott International going down?

MAR stock is down 5.0% on Aug 1, 2025 13:53

  • Analyst estimates for Marriott's Q2 earnings were explored, indicating a potential miss on revenue and EPS projections.
  • Expectations for Marriott's earnings growth were not optimistic, with concerns about a possible earnings beat in the upcoming report.
  • The lack of positive sentiment and anticipation of underperformance in key metrics may have contributed to the bearish movement in Marriott's stock today.

MAR Price Chart

MAR Technical Analysis

MAR News

Exploring Analyst Estimates for Marriott ( MAR ) Q2 Earnings, Beyond Revenue and EPS

Beyond analysts' top-and-bottom-line estimates for Marriott (MAR), evaluate projections for some of its key metrics to gain a better insight into how the business might have performed for the quarter ended June 2025.

https://www.zacks.com/stock/news/2643501/exploring-analyst-estimates-for-marriott-mar-q2-earnings-beyond-revenue-and-eps

0 Missing News Article Image Exploring Analyst Estimates for Marriott  ( MAR )  Q2 Earnings, Beyond Revenue and EPS

Marriott International ( MAR ) Earnings Expected to Grow: What to Know Ahead of Next Week's Release

Marriott (MAR) doesn't possess the right combination of the two key ingredients for a likely earnings beat in its upcoming report. Get prepared with the key expectations.

https://www.zacks.com/stock/news/2633864/marriott-international-mar-earnings-expected-to-grow-what-to-know-ahead-of-next-weeks-release

1 Missing News Article Image Marriott International  ( MAR )  Earnings Expected to Grow: What to Know Ahead of Next Week's Release

Marriott International Price History

01.07.2025 - MAR Stock was down 5.0%

  • Analyst estimates for Marriott's Q2 earnings were explored, indicating a potential miss on revenue and EPS projections.
  • Expectations for Marriott's earnings growth were not optimistic, with concerns about a possible earnings beat in the upcoming report.
  • The lack of positive sentiment and anticipation of underperformance in key metrics may have contributed to the bearish movement in Marriott's stock today.

21.02.2025 - MAR Stock was down 5.8%

  • Over the past 5 years, Marriott International has outperformed the market with an average annual return of 25.62%. However, the stock price experienced a significant decline today.
  • The bearish movement may be due to profit-taking by investors following a period of strong performance.
  • Market conditions or internal developments could have triggered the sell-off, resulting in the downward trend of Marriott International's stock price.
  • Investors should stay alert for any updates that could influence the stock's performance in the near term.

06.10.2024 - MAR Stock was up 7.7%

  • Despite reporting worse-than-expected Q3 earnings and lowering its full-year guidance, MAR experienced a strong bullish movement.
  • The market might have reacted positively due to analysts boosting their forecasts for the company, indicating potential future growth prospects.
  • Investors could be focusing on the strong contributions from Base management and Franchise fees in Q3, showing resilience in certain segments of the business.
  • The bearish performance in the China market and missing earnings and revenue estimates could have been overshadowed by other positive factors, leading to the bullish movement in MAR's stock.

23.03.2025 - MAR Stock was up 6.6%

  • Marriott International has shown exceptional performance over the past 20 years, outperforming the market by 2.24% annually with an average return of 10.05%.
  • The stock's bullish movement today could be attributed to its consistent growth and strong market position in the hospitality industry.
  • Investors may be optimistic about Marriott International's future prospects, leading to increased buying interest and driving the stock price higher.

18.11.2024 - MAR Stock was down 3.7%

  • MAR's bearish movement could be due to investors possibly perceiving the outdoor lodging expansion as a risky venture in the current economic climate.
  • The market might be concerned about the potential costs and uncertainties associated with this new direction, leading to a sell-off of MAR shares.
  • Investors may be uncertain about how this expansion fits into MAR's overall business strategy, causing a lack of confidence in the stock's future performance.

06.01.2025 - MAR Stock was up 4.5%

  • MAR stock experienced a bullish movement as analysts are expecting the company to beat earnings estimates in its upcoming Q4 release.
  • The bullish sentiment was further fueled by a recent analyst upgrade, indicating a positive outlook on the company's performance.
  • The market responded positively to the news of potential earnings beat and analyst upgrades, driving the stock price higher as investors showed confidence in Marriott International's future prospects.

01.06.2024 - MAR Stock was down 1.9%

  • The bearish movement in MAR stock today could be attributed to the uncertainty surrounding the luxury travel sector in the Asia Pacific region, as highlighted in recent insights into changing trends in affluent travelers' behavior.
  • The market sentiment towards luxury stocks might have been impacted by the overall uncertainty in the market, as investors seek out smart stocks to buy amidst changing economic indicators and market conditions.
  • Additionally, the focus on sustainable practices by Marriott, such as the tree planting initiative in Gurugram, could have influenced investor perception, with a potential shift towards companies emphasizing eco-friendly practices.
  • The transaction growth and success of Fliggy in connecting international brands to Chinese consumers might have also played a role, showcasing potential competition or challenges for Marriott in the Asian market, leading to the bearish movement in the stock.

09.03.2025 - MAR Stock was up 8.2%

  • Reduced short interest suggests a rising investor trust in Marriott International's stock.
  • The drop in short selling could have boosted buying activity, influencing the upward trend in the stock.
  • Optimism towards Marriott International may result from anticipated sector recovery with higher vaccination rates and eased travel limitations.

22.04.2025 - MAR Stock was down 35.9%

  • The bearish movement in Marriott International's stock (MAR) today can be attributed to a few factors:
  • The announcement of a new regional collection brand, Series by Marriott™, though a positive development, may have raised concerns among investors about potential dilution of the brand's focus or increased competition within the company's portfolio.
  • The slight decrease in the stock price today, despite recent spikes over the past month and year, could indicate profit-taking by some investors or a general market correction affecting the hospitality sector.
  • The broader market trend towards dividend hikes in other companies like HNI, SLF, ESAB, and VCTR may have shifted investor focus away from Marriott International, leading to a temporary dip in the stock price as traders reallocate their portfolios based on dividend yield prospects.

11.01.2025 - MAR Stock was down 5.3%

  • Despite surpassing Q4 earnings and revenue expectations, Marriott's stock experienced a downward trend.
  • The company's FY25 adjusted EPS forecast of $9.82 $10.19, falling short of the anticipated $10.65, contributed to the stock's decline.
  • Concerns regarding Marriott's future growth potential may have impacted investor sentiment, overshadowing the positive Q4 performance.
  • Market fluctuations could be linked to general market conditions and investor attitudes towards the travel and hospitality industry.

11.01.2025 - MAR Stock was down 5.0%

  • Today, Marriott International Inc. (MAR) experienced a strong bearish movement in the market, influenced by the following factors:
  • Despite surpassing Q4 earnings and revenue estimates, Marriott's stock faced pressure due to its 2025 outlook predicting adjusted EPS lower than what analysts had anticipated.
  • The discord between the actual Q4 performance and the future outlook stirred uncertainty among investors, resulting in a sell-off of MAR shares.
  • Market sentiment towards travel and hospitality stocks, alongside worries about global travel demand amidst economic uncertainties, likely contributed to the bearish movement.
  • Investors who have held Marriott stock for the past 15 years have enjoyed robust returns, but the current market conditions and future outlook are significant determinants of the observed bearish trend today.

11.02.2025 - MAR Stock was down 5.1%

  • Despite the company's strong historical performance, today's bearish movement could be attributed to profit-taking by investors after a prolonged period of growth.
  • The market may be reacting to broader economic concerns or specific challenges facing the hospitality industry, such as reduced travel demand or increased competition.
  • Investors might be adjusting their portfolios based on short-term market conditions, leading to a temporary downturn in Marriott International's stock price.
  • It's essential for investors to consider both the long-term growth potential of Marriott International and the current market sentiment when making investment decisions.
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Disclaimer
Morpher is not liable for the content of the AI investment insights. Like most GPT-powered tools, these summaries may contain AI hallucinations and inaccurate information. Morpher is not presenting you with any investment advice. All investments involve risk, and the past performance of a security, industry, sector, market, or financial product does not guarantee future results or returns. Investors are fully responsible for any investment decisions they make. Such decisions should be based solely on an evaluation of their financial circumstances, investment objectives, risk tolerance, and liquidity needs. These summaries do not constitute investment advice.