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Stock Charts, Performance & Trend Analysis for MAR
Marriott International, Inc.

Year-to-Date: 9.8%
This Week: 6.8%
MAR Stock Charts
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barchart of year-to-date performances

Year-to-Date (YTD) Return: 9.76%
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Long Term Trend: Good
Medium Term Trend: Very Good
Short Term Trend: Very Good
Overall Trend Score:
90 Out Of 100
Bottomline: Bullish Trend

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September 17, 2021 - The year-to-date (YTD) return or performance of Marriott (MAR) is up 9.76% but is underperforming the overall stock market by -8.86%.

Recently, the weekly return of Marriott (MAR) is up 6.75% and is outperforming the overall market by 6.4%.

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All trends (long term, mid-term and short term) for Marriott International, Inc. looks good.

The overall 12Stocks.com Smart Investing & Trading Score is 90 (measures stock trend from 0-bearish to 100-bullish) which puts MAR in short term bullish trend.

The Smart Investing & Trading Score from previous trading session is 77 and an improvement of trend continues. Scroll down for key technical charts, support & resistance levels and analysis for Marriott.

Stock Analysis for MAR
Name: Marriott International, Inc.
Sector: Services & Goods
SubSector: Lodging
In A Glance
Marriott (MAR) Stock Performance and Technical Trend Chart View
MAR Recent Price: 144.80    
MarketCap: 50153.01 Millions
Day Percent Change: 0.08%
Day Change: 0.12
Week Change: 6.75%
Year-to-date Change: 9.76%
Weekly MAR Technical Chart

Daily MAR Technical Chart
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Short Term Trend Analysis for MAR
90 / 100
The current technical trend score is 90 in a scale where 0 is bearish and 100 is bullish.
The technical trend score from previous session is 90.
Trend score updated daily. Not to be used for investing.

Stocks Similar To Marriott

MAR Related Pages
Top Services & Goods Stocks ➞
Retail Stocks Profit$how ➞
Top Services & Goods ETFs ➞

Compare MAR's Trend (90) with trends of related stocks
Las Vegas 0
Hilton Worldwide 90
Trip.com 32
Carnival 35
Carnival 27
Amazon.com 73
Alibaba 10
Walmart 43
Home Depot 88
Walt Disney 66
Comcast 13
Costco Wholesale 76
McDonald s 90
Vision Marine 40
Dada Nexus 15

The table below shows stocks similar to Marriott International, Inc., i.e, from same subsector or sector along with year-to-date (9.8% YTD), weekly (6.8%) & daily performaces for comparison. Usually, stocks from similar sector tend to move together but companies that have innovative products, services or good management tend to outperform. Compare 12Stocks.com Smart Investing & Trading Scores to see which stocks in this sector are trending better currently. Click on ticker or stock name for detailed view (place cursor on ticker or stock name to view charts quickly). Click on to add stock symbol to your watchlist and to view watchlist.
Don't forget to get complete 360o overview of best moving sectors
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TickerStock NameWatchlistCategoryRecent PriceSmart Investing & Trading Score
[0 to 100]
Change %Weekly Change%YTD Change%
LVSLas Vegas Leisure37.520-1.39-10.3-37.05%
MARMarriott  Leisure144.80900.086.89.76%
HLTHilton Worldwide Leisure132.02900.473.618.66%
TCOMTrip.com  Leisure28.61320.07-7.4-15.18%
CCLCarnival  Leisure23.0935-0.351.56.60%
CUKCarnival  Leisure21.13270.142.012.75%
HTHTHuazhu  Leisure46.9825-2.71-6.24.33%
EXPEExpedia  Leisure150.1759-0.763.313.42%
POOLPool  Leisure470.6926-1.35-4.626.36%
RCLRoyal Caribbean Leisure82.5424-0.861.210.51%
PTONPeloton Interactive Leisure104.9215-0.61-8.3-30.85%
MLCOMelco Resorts Leisure10.200-0.97-22.0-45.01%
WYNNWynn Resorts Leisure84.370-2.39-16.9-25.22%
IHGInterContinental Hotels Leisure63.41420.170.9-2.63%
MTNVail Resorts Leisure301.00173.390.37.90%
HHyatt Hotels Leisure75.60640.174.71.82%
MGMMGM Resorts Leisure41.30272.28-2.331.07%
CZRCaesars Entertainment Leisure108.57831.164.246.18%
CHDNChurchill Downs Leisure226.131002.843.816.09%
CHHChoice Hotels Leisure122.93901.093.115.18%
NCLHNorwegian Cru Leisure25.0635-0.041.9-1.45%
WHWyndham Hotels Leisure73.83830.983.324.21%
BCBrunswick  Leisure97.3942-0.440.327.74%
PKPark Hotels Leisure19.43570.265.813.29%
VACMarriott Vacations Leisure154.2339-0.723.612.40%
AMZNAmazon.com  Media3488.24730.360.67.10%
BABAAlibaba  Retail156.2610-1.01-7.0-32.86%
WMTWalmart  Retail145.03430.33-0.60.61%
HDHome Depot Retail336.39880.911.326.64%
DISWalt Disney Media183.3466-0.58-0.41.19%
CMCSAComcast  Media57.28130.49-3.49.31%
COSTCostco Wholesale Retail463.31760.56-0.422.97%

Technical Levels: For the trading inclined, the following are the key levels of resistance (ceiling) and support (floor) for MAR. Ceiling and floor levels are stock prices at which the stock trend gets resistance or support respectively. Stocks & their trends tend to pause at these levels and hence traders have an eye on them.

Long term levels are more important. Stocks that have broken thru their resistance or support levels convincingly tend to have stronger trends (confirm with charts above visually).
Key Technical Levels for MAR
 Short TermWeeklyLong Term
Resistance (Ceiling)145.09137.73145.72
Support (Floor)140.05131.71127.58

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Marriott International, Inc.
Relative performance of Marriott International, Inc. Compared to Overall Market
How is MAR faring versus the market [S&P 500] ? Is it lagging or leading ? How is its relative performance ?
Symbol Day Change Week Change Year-to-Date Change
SPY -0.09% 0.35% 18.62%
MAR 0.08% 6.75% 9.76%

MAR Chart

S&P 500 (Market) Chart
Year to date returns, MAR is underperforming the market by -8.86%
This week, MAR is outperforming the market by 6.4%

Performance of Marriott International, Inc. vs Services & Goods ETF RELATIVE PERFORMANCE OF
Marriott International, Inc.
Services & Goods Sector
Let us compare apples to apples and compare performance of MAR with its sector ETF (contains basket of stocks of same sector) XRT [Retail SPDR] ?
Symbol Day Change Week Change Year-to-Date Change
XRT 1.41 % 1.51 % 46.53 %
MAR 0.08% 6.75% 9.76%

MAR Chart

Services & Goods Chart
Year to date, MAR is underperforming Services & Goods sector by -36.77%
This week, MAR is outperforming Services & Goods sector by 5.24%

List Of ETF Funds Related To Marriott International, Inc.

The table below shows ETFs (Exchange Traded Funds) similar to Marriott International, Inc., i.e, from same sector along with year-to-date (YTD), weekly & daily performaces for comparison. Usually, ETFs and associated stocks from similar sector tend to move together but companies that have innovative products, services or good management tend to outperform. Move mouse or cursor over ETF symbol to view short-term technical chart and over ETF name to view long term chart. Click on to add ETF symbol to your watchlist and to view watchlist.
TickerStock NameWatchlistCategoryRecent PriceChange %Weekly Change%YTD Change%
UCCProShares Ultra Consumer Svcs  Services & Goods105.941.070.5221.95%
UGEProShares Ultra Consumer Goods  Services & Goods93.97-0.470.4813.49%
XLYConsumer Discretionary SPDR Services & Goods184.760.461.0214.91%
XHBSPDR Homebuilders Services & Goods76.270.34-0.4232.32%
RTHRetail HOLDRs Services & Goods181.230.780.6315.37%
SCCProShares UltraShort Consumer Svcs  Services & Goods9.03-1.09-0.61-23.75%
SZKProShares UltraShort Consumer Goods  Services & Goods14.680.45-0.5162.83%
XRTRetail SPDR Services & Goods94.251.411.5146.53%
ITBiShares U.S. Home Construction Services & Goods70.401.06026.16%
RCDRydex EW Consumer Discretionary Services & Goods148.320.490.7321.27%
VCRVanguard Consumer Discretionary VIPERs Services & Goods321.720.521.0716.91%
PKBPowerShares Construction Services & Goods49.59-0.48-1.1220.48%
PEJPowerShares Leisure  Services & Goods49.710.492.3524.18%
PBSPowerShares Media Services & Goods54.510.581.7518.24%
IYCiShares US Consumer Services Services & Goods79.610.640.3512.92%
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