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MAR

Marriott International, Inc.

S&P 500
MAR|Consumer Cyclical|Lodging|$324.29|P/E 33.0|MCap 85.3B|NASDAQ

Last update: Mar 25, 2026 at 04:53

About Marriott International, Inc.

Marriott International is a leading global hospitality company that operates, franchises, and licenses approximately 1.8 million rooms across roughly 30 brands worldwide. The company serves diverse market segments through its portfolio, which includes luxury brands such as JW Marriott, The Ritz-Carlton, and W Hotels, as well as premium and select-service properties like Marriott Hotels, Sheraton, and Courtyard. The company also operates midscale, extended-stay, and residential offerings. Marriott's asset-light business model emphasizes management and franchise agreements rather than property ownership, allowing for scalable growth and capital efficiency. The company generates revenue primarily through management fees, franchise fees, and incentive fees from its global network of properties. With significant presence in North America, Europe, Asia Pacific, and other regions, Marriott operates through multiple distribution channels including direct bookings, partnerships with travel intermediaries, and its Marriott Bonvoy loyalty program. The company continues to expand its brand portfolio and geographic footprint while focusing on luxury segment growth and emerging market opportunities.

Dividend Overview

Dividend Yield

0.83%

Annual Dividend

$2.68

Frequency

Quarterly

Payout Ratio

27.76%

FCF Payout Ratio

27.53%

Stock Price

$324.29

52-Week Range

$205.40 $370.00

Dividend Health Score

52/ 100Caution

MAR's dividend shows some areas that warrant monitoring. Strengths include a 27.8% earnings payout ratio & 27.5% fcf payout ratio. Areas of concern: 60.7% net debt / total assets & 0.4x current ratio. The dividend has been growing at a 40.63% 5-year CAGR.

Based on 15 of 15 metrics

Payout & Coverage

Very Safe
Earnings Payout Ratio
27.8%Very Safe
FCF Payout Ratio
27.5%Very Safe
CFO Payout Ratio
21.4%Very Safe
Interest Coverage
5.2xSafe

Balance Sheet

Danger
Net Debt / Total Assets
60.7%Warning
Current Ratio
0.4xDanger
Debt-to-Equity
-4.6Danger

Profitability

Caution
Return on Equity
-69.0%Danger
Operating Margin
44.0%Very Safe
Gross Margin
15.1%Warning
Profit Margin Stability
VolatileWarning

Dividend Track Record

Caution
Dividend Streak
4 yrsCaution
Dividend Cut
YesDanger
5-Year Dividend CAGR
40.6%Very Safe
Earnings Stability
Mostly StableCaution

Dividend History (2016–2025)

MAR annual dividend per share and yield history

Earnings & Profitability

MAR earnings per share and net profit margin

Key Dates

Next Ex-Dividend Date

February 26, 2026

Next Payment Date

March 31, 2026

Dividend Growth

3-Year Dividend CAGR

38.21%

5-Year Dividend CAGR

40.63%

10-Year Dividend CAGR

10.76%

3-Year Total Growth

164.00%

5-Year Total Growth

450.00%

10-Year Total Growth

177.89%

Income Calculator

MAR Dividend Calculator

Total Investment

$32,429.00

Annual Income

$268.00

Quarterly Income

$67.00

Monthly Income

$22.33

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Frequently Asked Questions

What is MAR's current dividend yield?
Marriott International, Inc. (MAR) currently has a dividend yield of 0.83%, based on a stock price of $324.29 and an annual dividend of $2.68.
When is MAR's next dividend payment date?
MAR's next ex-dividend date is 2026-02-26 and the next payment date is 2026-03-31. You must own the stock before the ex-dividend date to receive the upcoming payment.
How much does MAR pay in dividends per year?
Marriott International, Inc. paid $2.64 per share in annual dividends in 2025. The dividends are paid quarterly.
Has MAR been increasing its dividend?
Marriott International, Inc. has grown its dividend at a 5-year CAGR of 40.63% and a 10-year CAGR of 10.76%.
Is MAR's dividend safe?
Marriott International, Inc. has a payout ratio of 27.76%. Its free cash flow payout ratio is 27.53%. A payout ratio below 60% is generally considered sustainable.
How is MAR's Dividend Health Score calculated?
The Dividend Health Score evaluates Marriott International, Inc.'s dividend sustainability across four categories: Payout & Coverage (40%), Balance Sheet (20%), Profitability (20%), and Dividend Track Record (20%). Each metric is rated from "Very Safe" to "Danger" based on industry-standard thresholds, with sector-specific adjustments for consumer cyclical companies. The overall score ranges from 0 to 100.

Want to understand how we rate dividend safety? Read our full methodology

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This page is not investment advice. The content is for informational purposes only and should not be construed as a recommendation to buy, sell, or hold any security. Always do your own research and consult a qualified financial advisor before making investment decisions.

Financial data, including dividend history, earnings, balance sheet metrics, and the Dividend Health Score, is provided for informational purposes only. Data may be delayed or differ from official filings. Past performance does not guarantee future results. Always verify with official sources before making investment decisions.

Market data provided by Twelve Data.