Marriott International (MAR) will report its next earnings on Nov 05 AMC. The company reported the earnings of $1.73/Share in the last quarter where the estimated EPS by analysts was $1.38/share. The difference between the expected and actual EPS was $0.35/share, which represents an Earnings surprise of 25.4%.
Many analysts are providing their Estimated Earnings analysis for Marriott International and for the current quarter 19 analysts have projected that the stock could give an Average Earnings estimate of $1.31/share. These analysts have also projected a Low Estimate of $1.29/share and a High Estimate of $1.37/share.
In case of Revenue Estimates, 9 analysts have provided their consensus Average Revenue Estimates for Marriott International as 5.39 Billion. According to these analysts, the Low Revenue Estimate for Marriott International is 4.91 Billion and the High Revenue Estimate is 5.81 Billion. The company had Year Ago Sales of 5.66 Billion.
Some buy side analysts are also providing their Analysis on Marriott International, where 4 analysts have rated the stock as Strong buy, 0 analysts have given a Buy signal, 4 said it’s a HOLD, and 0 analysts rated the stock as Sell. (These Recommendations are for the Current Month Only reported by Yahoo Finance.)
When it comes to the Analysis of a Stock, Price Target plays a vital role. Analysts reported that the Price Target for Marriott International might touch $174 high while the Average Price Target and Low price Target is $144.96 and $122 respectively.
The Relative Volume of the company is 1.02 and Average Volume (3 months) is 2.16 million. The company’s P/E (price to earnings) ratio is 19.31 and Forward P/E ratio of 18.11.
The company shows its Return on Assets (ROA) value of 6.6%. The Return on Equity (ROE) value stands at 44.2%. While it’s Return on Investment (ROI) value is 12.5%.
While looking at the Stock’s Performance, Marriott International currently shows a Weekly Performance of -6.51%, where Monthly Performance is -8.54%, Quarterly performance is -10.93%, 6 Months performance is -12.43% and yearly performance percentage is 2.1%. Year to Date performance value (YTD perf) value is -14.18%. The Stock currently has a Weekly Volatility of 2.30% and Monthly Volatility of 1.81%.