Marriott Stock Falls Off All-Time Highs. Is It A Buy, Sell, or Hold? $MAR
1 extracted signal · 0 resolved · 1 still active
Confident Compounding with Cory CramerIndependent analyst profile- Source published
- 04 Aug 2026, 13:05 UTC
- Recorded by Tahlil Plus
- 04 Aug 2026, 14:13 UTC

AI-generated source summary
The analysis of Marriott International (MAR) on the stock market indicates a bullish outlook based on its historical performance and earnings growth. The stock is trading at $346.83, approaching its all-time high. The analysis highlights a consistent upward trend in earnings, despite the general market downturns in recent years. Although the stock is considered expensive with a PE ratio of 31.6x, its strong fundamentals, including owner earnings growth and potential for future growth, suggest a potentially good long-term investment. The estimated annual growth rate for earnings is projected at 12.62%, with a 10-year CAGR of 7.80%. A reasonable target price for MAR is inferred to be around $400, with a fail bound set at $330, below which the bullish thesis would be invalidated. The analysis suggests that while the stock is trading at a premium, its underlying business strength and growth prospects justify a buy-in at opportune levels.
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Confident Compounding with Cory Cramer
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Tahlil Plus independently records and evaluates public market predictions. Extraction may be AI-assisted and results follow the Tahlil Plus methodology. This information is not financial advice.
