WallStSmart
MAR

Marriott International Inc

NASDAQ: MAR · CONSUMER CYCLICAL · LODGING

$353.95
-1.22% today

Updated 2026-04-29

Market cap
$95.84B
P/E ratio
38.03
P/S ratio
13.73x
EPS (TTM)
$9.51
Dividend yield
0.75%
52W range
$244 – $380
Volume
1.6M

Marriott International Inc (MAR) Stock Valuation Analysis

Fair value estimate, historical valuation range, and quality signals for MAR.

WallStSmart Verdict
Fairly
Valued

Valuation reasonably reflects current fundamentals. Limited margin of safety at these levels.

Smart Value Score: 53 / 100
P/E (TTM)
38.0x
vs 5Y median of 31.7x
PEG
2.14
Elevated vs growth
Margin of Safety
DCF limited for this profile
EV / EBITDA
23.7x

MAR historical valuation range

Where current P/E sits in MAR's own 5Y range.

NOW
19.4x
5Y Low
24.6x
25th
31.7x
Median
38.6x
75th
128.8x
5Y High
MAR is trading more expensive than 69% of the last 5Y.
69th percentile · Above median

MAR intrinsic value (DCF)

DCF-based fair value estimate vs current market price.

DCF has limited applicability for MAR

Standard discounted cash flow models produce unreliable output for unprofitable or near-breakeven companies. Revenue-based multiples such as P/S and EV/Sales, combined with the historical valuation position above, give a more reliable read for this stock.

Intrinsic value calculated using discounted cash flow (DCF) model based on projected free cash flows, discount rate, and terminal growth assumptions. A positive margin of safety indicates the current price is below estimated fair value, providing a cushion against estimation error.

MAR valuation signals

Quick-read green flags, caution flags, and risks based on current metrics.

PEG above 2.0
PEG of 2.14 suggests price is running ahead of growth rate. Caution warranted.
!
P/E in mid-range
P/E sits at the 69th percentile of the 5Y range. Neither cheap nor rich historically.
!
DCF limited applicability
Company profile produces unstable DCF output. Lean on P/S, EV/Sales, and historical valuation position instead of intrinsic value for this stock.

P/E Ratio — History

Current: 38.03x

P/S Ratio — History

Current: 13.73x

Is MAR overvalued in 2026?

Marriott International Inc (MAR) currently trades at $353.95 per share with a market capitalization of $95,842,263,000.00. Based on our multi-factor framework, the stock trades at a fair valuation with a Smart Value Score of 53/100. This score blends growth quality, financial health, and price attractiveness into a single institutional-grade read.

The stock trades at a P/E ratio of 38.0x, above its 5-year median of 31.7x. The PEG ratio of 2.14 indicates the price has run ahead of the underlying growth rate.

Looking at its own history, MAR is currently trading more expensive than 69% of the last 5Y on P/E. This places it in the 69th percentile of its historical range, a reasonable but unremarkable position.

A standard DCF model does not produce reliable output for MAR under current conditions. For unprofitable or near-breakeven companies, revenue-based multiples such as EV/Sales and historical P/S percentile are more informative than intrinsic value calculations.

The Piotroski F-Score of 5/9 puts financial quality in a middling range, neither a standout strength nor an obvious red flag.

Bottom line: MAR trades at a fair valuation on our framework, with a Smart Value Score of 53/100. The valuation is defensible but offers no obvious bargain. Patience or a better entry price may reward disciplined buyers.

Frequently asked questions

Is MAR overvalued in 2026?

Based on a Smart Value Score of 53/100, MAR is fairly valued. Price reasonably reflects current fundamentals with limited cushion in either direction.

What is MAR's fair value?

Standard DCF is unreliable for MAR due to its current profitability profile. Revenue-based approaches such as EV/Sales or historical P/S percentile are more informative for this stock.

What P/E ratio does MAR trade at?

MAR trades at a P/E of 38.0x on trailing twelve-month earnings, compared to its 5-year median of 31.7x.

Is MAR a buy based on valuation?

WallStSmart does not issue buy or sell recommendations. Our Smart Value Score of 53/100 reflects the combined read on growth, quality, and price. The profile is balanced. Best suited for investors with an existing thesis.

How does MAR's valuation compare to its history?

On P/E, MAR currently sits in the 69th percentile of its own 5Y range. That is above its long-run median relative to where it has traded over the period.

What is MAR's Smart Value Score?

MAR's Smart Value Score is 53/100. The Smart Value Score is a proprietary WallStSmart metric blending growth quality, financial health, and valuation attractiveness into a single 0-100 read. Scores above 75 are rare and indicate strong multi-factor alignment.