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Marriott International, Inc.

ID: MAR SECTOR: Consumer Cyclical INDUSTRY: Travel Lodging
378.72
+0.79 (0.21%)
Ref: 2026-04-20

Dividend Discount Models Snapshot

ModelRangeSelected
Stable Growth DDM $313.15 - $831.04 $473.42
Multi-Stage DDM $142.08 - $155.29 $148.57
Blended Fair Value $310.99
Stock Price$354.58

Dividend History (Last 10 Years)

Metric 2025202420232022202120202019201820172016
DPS 2.6652.3911.9380.9850.0000.4791.8241.5331.2691.286
YoY % 11.45%23.39%96.69%0.00%-100.00%-73.75%18.99%20.83%-1.32%38.63%
Yield 0.75%0.67%0.55%0.28%0.00%0.14%0.51%0.43%0.36%0.36%

CAGRValue
5 Year40.96%
10 Year11.13%

Discounted Dividend Model - Stable Growth

MetricRangeSelected
LT Growth 5.50% to 7.50% 6.50%
WACC9.00%9.00%
Fair Value $313.15 - $831.04 $473.42

Calculation Details (Millions)

MetricLOWBASEHIGH
Required Retention Ratio 20.0% 12.5% 7.5%
(*) Adjusted Net Income 2,601.00 2,601.00 2,601.00
(=) Cash Required 520.20 325.13 195.08
(=) Excess Retained per Share 7.72 8.45 8.93
LTM Dividend per Share 2.665 2.665 2.665
(=) Adjusted Dividend 10.389 11.113 11.596

Multi-Stage Projections (BASE Case - Millions)

MetricTTMYear 1Year 2Year 3Year 4Year 5
Net Income 2,601.00 2,770.072,950.123,141.883,346.103,563.60
Projected Dividends 718.00 692.521,209.551,790.872,442.653,207.24

Multi-Stage Valuation (Millions)

Present ValuesLOWBASEHIGH
Year 1 PV 657.08 663.31 669.54
Year 2 PV 1,043.01 1,062.88 1,082.93
Year 3 PV 1,403.48 1,443.77 1,484.82
Year 4 PV 1,739.72 1,806.63 1,875.44
Year 5 PV 2,075.99 2,176.26 2,280.37
TV PV 31,356.18 32,870.70 34,443.18
Equity Value 38,275.47 40,023.55 41,836.29
Fair Value $142.08 $148.57 $155.29

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SR-PA SR-PA 18.76% $4.54 98.60%
SRV SRV 18.74% $7.53 66.75%
CIK CIK 18.41% $0.52 82.82%
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ISD ISD 17.40% $2.52 96.64%
HIX HIX 17.39% $0.73 96.11%
NXG NXG 17.31% $8.79 83.58%
HPI HPI 17.11% $2.79 76.40%
RCS RCS 17.08% $1.00 75.51%
DUKB DUKB 16.95% $4.19 65.28%
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CHW CHW 16.07% $1.20 66.54%
BGY BGY 15.99% $0.94 99.21%
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DSL DSL 15.85% $1.78 54.50%
PDT PDT 15.76% $2.01 62.66%
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