Would Marriott International Inc. (NASDAQ:MAR) deliver your target?


Marriott International, Inc. (NASDAQ:MAR) net profit margin was 4.90%. The firm’s Return on Assets were 4.60%. At the end of the day, the stock posted a Market Cap of $39.68B in the Lodging Industry.

The Barchart Technical Opinion rating is a 72% Buy with a Strongest short term outlook on maintaining the current direction. Longer term, the trend strength is Strong. Long term indicators fully support a continuation of the trend.

Recently, Marriott International, Inc. (NASDAQ:MAR) posted a total traded volume of 178,589, and the stock recorded a change of 1.25% in the previous trading session. The firm posted a 52-Week High of $-4.25% and a52-Week Low of $73.83%. The monthly Volatility of Marriott International, Inc. stood at 1.71%.

Marriott International, Inc. announced EPS of $2.77. This exhibits a growth of -16.20% in EPS this year against to what was recorded last financial year and exhibits an overall growth of 37.00% over the past five year. The firm is now predicting an EPS growth of 13.70% in the next five years.

Marriott International, Inc.’s ownership was divided with insider ownership amounting to 0.70% while institutionaloOwnership came at 68.50%. Total insider transactions were -6.34% and total Institutional transactions were 0.33%.

Return on Assets reported was 4.60%. Return on Equity for the fiscal year was 28.70% while Return on Investments was 7.00%. The firm ended the year with a Total Debt/Equity of 1.64 out of which Long Term Debt/Equity was 1.58. Current and quick ratio was 0.60 and 0.60 respectively.

The firm posted a gross margin of 15.50% and an operating margin of 8.20%. The company has 379.76M stock outstanding at a price of $105.81 per share.

Marriott International, Inc. MAR has posted a dividend yield of 1.26%. EPS growth recorded this year was -16.20%. For the past 5 years, the company has recorded EPS growth of 37.00% with EPS growth for the imminent year projected to be 16.53% while EPS growth for the subsequent five years is projected to be 13.70%%.

P/E was 37.73 while Forward P/E was 22.19. P/S was 2.10 and P/Cash was 53.77.