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# 1st Gen Model Marriott International Hotels & motels

67.80% successful of 59 deals
$107.88 Last close price
at 22-sep-2017


Model's trade recommendations 2.67% Return for period

2.34% Annual return

$40.11B Market Cap

β 1.36  


Model (following trade recommendations)


Underlying stock

S&P 500

Return for period 2.67%
52wk return 0.54%
52wk Range
Sortino ratio 0.34
Sharpe ratio 0.26
Norm. RMSE 0.29%
Downside risk 7.19%
Volatility 9.47%
  • 1.32 (1.23%) Div (Yield)
  • BUY Analysts consensus recommendation

Marriott International, Inc. operates and franchises hotels under the Marriott, JW Marriott, The Ritz-Carlton, Renaissance, Residence Inn, Courtyard, TownePlace Suites, Fairfield Inn, SpringHill Suites and Ramada International brand names; develops and operates vacation ownership resorts under the Marriott Vacation Club International, Horizons, The Ritz-Carlton Club and Marriott Grand Residence Club brands; operates Marriott Executive Apartments; provides furnished corporate housing through its Marriott ExecuStay division; and operates conference centers.

Industry sector: Consumer Discretionary

Sector classification: Hotels & motels

Deep Learning based analysis and prediction model for Marriott International (MAR) stock is a 1st Generation Non-linear Autoregresive with exogenous variable(s) (NARX) model based on the Recurrent Neural Network architecture.

Model is in the production pipeline since Sept. 30, 2015.

Market data for MAR model training are being downloaded from the Quandl premium datasets on a daily basis.

Model is being retrained on a daily basis.

Float 330M
P/E 27.61
Shares Outstanding 372M
% Held by Insiders 11.32%
% Held by Institutions 65.88%
EPS (last reported FY) $3.82
EPS (last reported Q) $1.13
EPS, estimated (last reported Q) $1.02
Total revenues $17 B
Net income $1 B