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Logo action Marriott International

Marriott International

MAR·NASDAQ

Dernière mise à jour : 2026-02-13 07:14 EST. Les données sur les prix des actions proviennent de TradingView et reflètent les prix du marché en temps réel.

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Variation du cours des actions MAR

Le dernier jour de trading, l'action MAR a clôturé à 365.67 USD, avec une variation de prix de 1.93% pour la journée.
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MAR – Données clés

Clôture précédente365.67 USD
Capitalisation96.90B USD
Volume313.02K
Ratio P/E38.51
Rendement du dividende (sur 12 mois)0.74%
Montant du dividende0.67 USD
Dernière date de détachementNov 20, 2025
Date du dernier paiementDec 31, 2025
BPA dilué (sur 12 mois)9.50 USD
Résultat net (ex. financier)2.38B USD
Chiffre d'affaires (ex. financier)25.10B USD
Date du prochain rapportMay 6, 2026
Estimation du BPA2.500 USD
Chiffre d'affaires estimé6.57B USD USD
Actions en circulation220.35M
Bêta (1Y)1.07
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Marriott International – Vue d'ensemble

Marriott International, Inc. exerce des activités d’exploitation et de franchise d’hôtels, de résidences et de propriétés en multipropriété. Elle opère à travers les segments géographiques suivants : États-Unis et Canada, Europe, Moyen-Orient et Afrique, Asie-Pacifique et Grande Chine. Parmi ses marques figurent Marriott Bonvoy, The Ritz-Carlton, Edition, W Hotels Worldwide, The Luxury Collection et St. Regis Hotels and Resorts, entre autres. L’entreprise a été fondée par John Willard Marriott et Alice Sheets Marriott en 1927 et son siège social est situé à Bethesda, Maryland.
Secteur
Services aux consommateurs
Secteur d'activité
Hôtels, resorts, compagnies de croisière
CEO
Anthony G. Capuano
Siège social
Bethesda
Site web
marriott.com
Création
1927
Employés (ex. financier)
418K
Variation (1 an)
+7K +1.70%
Chiffre d'affaires / Employé (1Y)
60.05K USD
Résultat net / Employé (1Y)
5.68K USD

Baromètre MAR en temps réel

Daily updates on MAR stock prices, fund flows, and market news, generated by AI and reviewed by our team of analysts. Always DYOR.

• Variation du cours de l'action MAR sur 24h : -0,17 %. De 359,35 USD à 358,75 USD. Le titre a atteint un record historique de 367,73 USD en début de séance après des relèvements d'objectifs optimistes de la part des analystes de JPMorgan et Barclays, avant de clôturer légèrement en baisse sous l'effet de prises de bénéfices après le rallye des résultats du T4.
• D'un point de vue technique, MAR évolue dans une forte tendance haussière, se négociant bien au-dessus de ses moyennes mobiles à 50 jours (314,82 USD) et 200 jours (286,70 USD). Avec un RSI ayant récemment atteint des niveaux de surachat et le titre enregistrant de nouveaux sommets sur 52 semaines, il est actuellement en phase de « price discovery », même si une consolidation ou un repli à court terme est attendu après les récents gains à deux chiffres.
• Marriott a publié un chiffre d'affaires du T4 2025 de 6,69 milliards de dollars, dépassant les attentes, et prévoit une forte croissance nette des chambres en 2026 de 4,5 % à 5 %, portée par un pipeline record de 610 000 chambres.
• D'importantes institutions financières, dont Goldman Sachs et Jefferies, ont relevé leurs objectifs de cours sur MAR à 398 et 415 dollars respectivement, citant le programme agressif de retour de capital de 4 milliards de dollars de la société et la résilience de la demande dans le segment du luxe.
• Marriott a annoncé une expansion record en Grande Chine pour 2025, avec plus de 200 contrats signés et 36 000 chambres ajoutées, signalant une orientation stratégique à long terme vers la croissance internationale.
• Les perspectives mondiales d'investissement hôtelier 2026 de JLL prévoient une nette augmentation des transactions et des investissements hôteliers, portée par une demande de voyages soutenue et l'amélioration des conditions sur les marchés de capitaux.
• L'industrie hôtelière américaine surveille une possible hausse de la demande en 2026 liée à la Coupe du Monde de la FIFA, bien que les analystes mettent en garde contre la hausse des coûts salariaux et le ralentissement du marché domestique de milieu de gamme.
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il y a 20h
• Variation du cours de l'action MAR sur 24h : +8,50 %. De 331,21 USD à 359,35 USD.
• Cette hausse a été portée par un chiffre d'affaires du T4 2025 supérieur aux attentes (6,69 milliards de dollars) et des perspectives solides pour 2026, compensant un léger écart négatif sur le bénéfice par action ($2,58 contre $2,64 attendu) ainsi que les inquiétudes liées à une possible fermeture du gouvernement américain impactant les voyages d'affaires domestiques.
• Les indicateurs techniques affichent une tendance « fortement haussière » ; le titre évolue largement au-dessus de ses moyennes mobiles à 50 jours ($312,97) et 200 jours ($278,92). Toutefois, le RSI a atteint 82,9, signalant une situation de forte « surachat » et un risque de consolidation à court terme.
• Marriott a annoncé une hausse de 1,9 % du RevPAR mondial, avec une progression de 6,1 % sur les marchés internationaux, tandis que les États-Unis/Canada sont restés stables en raison d'une demande moindre pour les voyages gouvernementaux et d'affaires.
• Les principales banques d'investissement ont relevé leurs objectifs de cours après la publication des résultats, Goldman Sachs portant son objectif à 398 $ et Wells Fargo à 403 $, citant une forte demande internationale sur le segment du luxe.
• Le PDG de Marriott, Anthony Capuano, a souligné une économie du voyage en « K », où le segment du luxe continue de prospérer tandis que les segments moyen et bas de gamme subissent des pressions sur les dépenses.
• Le secteur hôtelier américain devrait enregistrer une croissance du RevPAR de 0,6 % en 2026, marquant une reprise lente après la première baisse du RevPAR hors récession de l'histoire en 2025.
• Les tendances mondiales du voyage pour 2026 montrent un écart croissant entre l'hôtellerie de luxe et le reste du marché, avec une reprise attendue de 3,7 % des arrivées internationales aux États-Unis, soutenue par les préparatifs de la Coupe du Monde.
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il y a 1j

MAR stock price forecast

According to technical indicators for MAR stock, the price is likely to fluctuate within the range of 391.20–511.44 USD over the next week. Market analysts predict that the price of MAR stock will likely fluctuate within the range of 320.54–511.89 USD over the next months.

Based on 1-year price forecasts from 88 analysts, the highest estimate is 919.96 USD, while the lowest estimate is 219.89 USD.

For more information, please see the MAR stock price forecast Stock Price Forecast page.

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FAQ

Quel est le cours de l'action Marriott International ?

MAR a actuellement un prix de 365.67 USD. Son cours a varié de 1.93% au cours des dernières 24h. Vous pouvez suivre de plus près l'évolution du cours de l'action Marriott International sur le graphique de prix en haut de cette page.

Quel est le symbole boursier de Marriott International ?

Selon la plateforme, le symbole boursier peut varier. Par exemple, sur NASDAQ, Marriott International est tradé sous le symbole MAR.

Quelles sont les prévisions pour les actions MAR ?

Nous avons recueilli des avis d'analystes sur le cours futur de Marriott International. Selon leurs prévisions, MAR a une estimation maximale de 3656.65 USD et une estimation minimale de 731.33 USD.

Quelle est la capitalisation boursière de Marriott International ?

Marriott International a une capitalisation boursière de 96.90B USD.

What is P/E ratio (TTM)?

The P/E ratio (TTM) stands for price-to-earnings ratio (trailing twelve months). It is a historical valuation metric calculated using a company's earnings per share (EPS) over the most recent twelve consecutive months, reflecting the company's past profitability.

The P/E ratio measures the relationship between a stock's price and a company's profitability, and is often used as a basis for judging whether a stock is "cheap" or "expensive."

P/E ratio = market price (P) ÷ earnings per share (EPS), or P/E ratio = total market capitalization ÷ net profit attributable to shareholders

The interpretation of the P/E ratio (TTM) should always be considered alongside other factors and is mainly used for valuation comparisons rather than as a standalone indicator.

  • A lower P/E ratio (TTM) means investors are paying less for each unit of earnings. This may indicate that the stock is undervalued, or that the market has limited expectations for the company's future growth, such as in mature or slow-growing industries.
  • A higher P/E ratio (TTM) means investors are paying more for each unit of earnings. This often reflects expectations of strong future earnings growth, which is common among growth or technology stocks, though it may also suggest the stock is overvalued.
  • Comparison with peers: Compare the company's P/E (TTM) with the average or median P/E of other companies in the same industry. A significantly higher P/E may require further analysis to determine whether the company's high valuation is justified by stronger growth prospects or competitive advantages.
  • Comparison with historical levels: Compare the company's current P/E (TTM) with its own historical average (such as over the past 5 or 10 years) to assess whether the current valuation is at a historical high or low.
  • Comparison with the broader market: Compare the company's P/E (TTM) with major market indices (such as the S&P 500) to see how the market is valuing the company overall.

P/E ratios can vary widely across industries, and there is no single "ideal" P/E level. A reasonable P/E range depends on the industry, the company's growth potential, and the broader macroeconomic environment. Investment decisions should not rely solely on the P/E ratio (TTM) but should be based on a comprehensive analysis that includes company quality, growth prospects, and financial health.

Can I trade stocks on Bitget?

You can trade stocks on Bitget, but mainly through stock tokens and stock perps, rather than by directly buying or selling traditional stocks.

This approach reflects Bitget's vision as a Universal Exchange (UEX), designed to connect traditional financial markets with cryptocurrency markets.

Bitget currently offers the following stock-related trading formats:

1. Stock tokens (spot)

Nature: Stock tokens are digital tokens pegged to the price of specific traditional stocks (such as TSLAUSDT and NVDAUSDT) and are traded on Bitget's spot market.

Features: When you trade stock tokens, you are buying and holding tokens rather than owning the underlying traditional stocks.

  • The price of these tokens generally follows the price movements of the stocks they are pegged to, such as Tesla or Nvidia.
  • The advantage is that you can participate in the price movements of traditional financial assets, such as U.S. stocks, using cryptocurrencies (for example, USDT), without the need for a traditional brokerage account.

2. Stock perps

Nature: Bitget also offers USDT-margined perpetual futures, commonly referred to as stock perps, based on major U.S. blue-chip stocks such as Tesla and Meta.

Characteristics: Stock perps are derivative products that allow you to take a bullish or bearish view on the future price of an underlying stock through margin trading. These products typically support leverage, such as up to 25x.

It does not involve owning the underlying stock. Instead, profits and losses are settled based on price movements of the futures.

Important note: When trading stock perps on Bitget, you are participating in derivative markets within the cryptocurrency ecosystem. This is fundamentally different from purchasing publicly traded shares through a traditional brokerage, as you do not own equity in the underlying company.

Futures trading and the use of leverage involve high risk. Please ensure you fully understand the risks before trading.

If you wish to directly hold equity in traditional stocks and enjoy shareholder rights (such as receiving dividends), you must trade through a regulated traditional securities brokerage or brokerage platform.

What are the advantages of Bitget's stock perps?

Bitget's stock perps—typically perpetual futures based on stock tokens prices—are an innovative offering that allows cryptocurrency platforms to provide exposure to traditional financial markets.

Compared to traditional stock or futures trading, they offer several unique advantages, primarily due to the platform's trading infrastructure.

Bitget's stock perps, typically USDT-denominated derivatives, offer the following key advantages:

1. Trading convenience and global accessibility

  • 24/7 trading: Traditional stock markets, such as U.S. equity markets, operate during fixed trading hours. In contrast, cryptocurrency derivatives markets are typically open 24/7. This means investors can trade anytime, capitalizing on breaking news or market fluctuations.
  • Lower entry barriers and faster onboarding: Compared with traditional brokerages, which often require extensive identity verification and lengthy account setup processes, Bitget generally offers faster account onboarding. Users can trade using cryptocurrencies such as USDT, without the need for complex fiat deposit and withdrawal procedures.
  • Global accessibility: Users can access derivatives trading linked to globally recognized stocks via the Bitget platform, subject to applicable regulations.

2. Capital efficiency and high leverage

  • High leverage options: Stock perps typically offer higher leverage than traditional stock trading (for example, up to 25x). This allows traders to control larger positions with smaller margin requirements, improving capital efficiency.
    Note: While high leverage can amplify gains, it also amplifies losses proportionally.
  • Two-way trading: Traders can easily take both long and short positions. This means traders can potentially profit from market volatility whether stock prices rise or fall, provided the market direction is correctly anticipated.

3. Trading and settlement using cryptocurrency

  • USDT margin: Stock perps on Bitget typically use USDT (or other stablecoins) as the margin and settlement currency. For users who already hold cryptocurrency, there is no need to convert assets into fiat currency, allowing them to trade directly with stablecoins.
  • Efficient fund transfers: Crypto-based transfers and settlements are typically faster than traditional fiat systems, enabling more efficient global fund allocation.

4. Integration

One-stop platform: Bitget allows users to trade spot cryptocurrencies, crypto derivatives, and stock perps on a single platform, making it easier to manage different asset types in one place.

Avertissement sur les risques:

While Bitget's stock perps offer several advantages, it is important to understand the associated risks.

  • High leverage risk: Leveraged trading can result in rapid loss of your entire margin.
  • No equity ownership: When trading stock perps, you do not own the underlying shares. As a result, you are not entitled to dividends or voting rights.
  • Market liquidity risk: Tokenized stock perps may have lower liquidity than their counterparts in traditional stock markets, especially outside regular trading hours.

In summary, Bitget's stock perps offer advantages such as greater trading flexibility, lower entry barriers, and higher capital efficiency.

What are the trading fees for Bitget stock perps?

Trading fees for Bitget stock perps (USDT-margined perpetual futures) mainly include transaction fees and funding rates.

Transaction fees:

Bitget offers limited-time fee promotions for stock perps (especially tokenized stock perps) from time to time to attract traders.

Standard reference rates: Under Bitget's standard futures fee structure, the taker fee is typically around 0.06%, while the maker fee is around 0.02%.

Current promotions for stock perps (important): To promote its stock perps products, Bitget is offering discounted transaction fees during Q4 2025, with taker fees as low as 0.006% and maker fees as low as 0.002%. There is also a limited-time promotion offering zero-fee trading for spot stock tokens.

Recommandation : les activités promotionnelles pouvant être modifiées ou interrompues à tout moment, veuillez consulter les pages officielles " Fee overview " ou " Announcement Center " de Bitget pour connaître les taux les plus récents et les plus précis au moment du trading.

Funding rate:

The funding rate is a key mechanism in perpetual futures (including stock perps) that helps keep the futures price closely aligned with the spot price of the underlying asset. It is not a fee charged by the platform, but a periodic payment exchanged between long and short traders.

Funding rates fluctuate dynamically and are mainly driven by market sentiment and imbalances between long and short positions. Stock perps generally experience lower volatility than cryptocurrencies, so funding rates are often relatively low during stable market conditions. However, during earnings seasons or major positive or negative news events, heavy concentration of long or short positions—such as in high-growth technology stocks like Tesla or Nvidia—can create significant imbalances, causing funding rates to spike in the short term.

Funding payments are typically settled every 8 hours. If you close your position before the funding settlement time, no funding payment will be charged or received.

Funding rates are not fixed. If you hold a position for an extended period, high positive funding rates (for long positions) or high negative funding rates (for short positions) will affect your overall holding costs or potential returns. For this reason, it is important to monitor the funding rate in real time on the trading interface.

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