Marriott International stock follows a product-led model. The shares trade on Nasdaq.
Published on 07/04/2026 at 10:16 | Editorial responsibility: Rafael Müller, Editor-in-Chief AD HOC NEWSBy Julia Smith, Sector & Peers desk. Reviewed on July 4, 2026 at 8:16 a.m. ET.
Marriott International (ISIN US5719032022) is a global lodging company whose stock trades on Nasdaq. With no searchable live source set returned in this call, the article stays on the company profile, the US market anchor, and the core business model.
Business mix
Marriott International runs a brand-heavy hotel model that combines franchising, management, and loyalty-driven demand. That structure gives the company exposure to room nights, fee income, and the travel cycle rather than to owned real estate alone.
Market frame
For US investors, the key reference point is the Nasdaq listing and the broader travel sector. The stock's next move will usually depend on earnings, guidance, occupancy trends, and room-rate discipline more than on a single product cycle.
Representative product
Marriott Bonvoy is the company's loyalty platform and a central part of how Marriott International connects hotels, repeat guests, and booking activity. It supports customer retention across the brand portfolio and helps tie direct demand to the wider hotel network.
Stock context
Marriott International shares are quoted on Nasdaq. As of July 4, 2026, no live price was available in the source set for this call.
Company snapshot
- Company: Marriott International, Inc.
- ISIN: US5719032022
- Ticker: MAR
- Exchange: Nasdaq
- Sector / Industry: Consumer Discretionary / Hotels, Resorts & Cruise Lines
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