Marriott International, Inc. MAR

352.03 0.52 0.15% as of 25 Sep
Market cap
$91.3B
P/E
36.4×
Indexes indicate stock being part of an index,
Growth Flags show if company had growth for consecutive years

Marriott International, Inc. (MAR) Price to free cash flow

As of 25 September 2026, Marriott International, Inc. (MAR) trades at a price to free cash flow of 33.2×. Over the past ten years it has ranged from 8.9× (January 2016) to 935× (September 2021); the current reading is higher than 73% of that period. That is above the Lodging industry median of 14.6× and above the Consumer Cyclical sector median of 12.8×.

Price to free cash flow, daily

Annual

Period Price to free cash flow Change
FY2025 38.8× (6.82%)
FY2024 41.7× 62.08%
FY2023 25.7× 4.35%
FY2022 24.6× (58.11%)
FY2021 58.8× 129.55%
FY2020 25.6× (31.83%)
FY2019 37.6× 116.94%
FY2018 17.3× 14.59%
FY2017 15.1× (2.70%)
FY2016 15.5× 52.84%

Quarterly

Period Price to free cash flow Change
Jun 2026 35.0× (3.66%)
Mar 2026 36.3× (6.55%)
Dec 2025 38.8× (18.47%)
Sep 2025 47.6× 0.72%
42 more quarters

Against its own ten years

Low 8.9× High 935×
Ten-year median 25.4×
Current reading's percentile 73

Price to free cash flow against peers

What Price to free cash flow is

Price to Free Cash Flow Ratio shows how much investors pay for each dollar of cash a company generates after its capital spending.

Stock Price ÷ ((Operating Cash Flow (TTM) + Property, Plant, Equipment Change (Net) (TTM) + Intangible Assets Change (Net) (TTM)) ÷ (Shares (Basic, Weighted) (latest quarter)))

The full definition of Price to free cash flow →

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