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Situation · 2026-07-24

MAR — Gap to peers

Premium Price, Fragile Conviction at Marriott

Updated 2026-07-01 · Ref: Consumer Cyclical
Key metrics — 2026-07-01
Peer score
55
Quality pct
64
Valuation pct
52
52w drawdown
-8.5%
21d vs sector
-3.3%
Peer group
Consumer Cyclical
Situation summary

Marriott’s business is strong, but the stock’s premium is fragile. The market pays for growth, not just today’s 59% margin. Every wobble in results hits the price fast. Too expensive for a hotel stock this volatile.

Published by AssetNext · 2026-06-09

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Related pages for MAR
Full peer analysis for Marriott International, Inc. →Similar companies to MARMAR peersAll MAR comparisonsNasdaq-100 context
Signal history — last 30 days
Date Signal Peer score Drawdown 21d vs sector
2026-07-01 Gap to peers 55 -8.5% -3.3%

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