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MAR vs SPY

Comparison between Marriott International Inc - Class A (MAR, Company) and SPDR S&P 500 ETF Trust (SPY, ETF).

5-Year PerformanceMAR has outperformed SPY, delivering a return of +20.1% compared to +13.3%

MAR vs SPY - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap / Net Assets
MAR
$96B
Winner
SPY
$652B
Expense Ratio
MAR
N/A
SPY
0.09%
Max Drawdown
MAR
75.92%
Winner
SPY
56.47%
Sharpe Ratio
MAR
1.25
Winner
SPY
2.07
5Y Beta
MAR
1.05
Winner
SPY
1.00
Industry
MAR
Lodging
SPY
N/A
P/E Ratio
MAR
34.87
Winner
SPY
28.24
Forward P/E
MAR
31.06
Winner
SPY
21.85
PEG Ratio
MAR
3.03
SPY
N/A
Dividend Yield
MAR
0.76%
SPY
N/A
5Y Dividends CAGR
Winner
MAR
47.14%
SPY
5.43%
5Y EPS CAGR
MAR
18.24%
Winner
SPY
25.79%
Debt to Equity
Winner
MAR
-0.56%
SPY
22.35%
Free Cash Flow Yield
MAR
2.68%
SPY
N/A
P/S Ratio
MAR
13.63
Winner
SPY
3.55
P/B Ratio
MAR
443.63
Winner
SPY
5.29

MAR vs SPY - Historical Returns

Returns include dividend reinvestment.

1M
MAR
+1.32%
Winner
SPY
+9.11%
3M
Winner
MAR
+6.84%
SPY
+6.59%
6M
Winner
MAR
+21.82%
SPY
+10.56%
1Y
Winner
MAR
+37.50%
SPY
+32.04%
5Y(CAGR)
Winner
MAR
+20.11%
SPY
+13.35%
10Y(CAGR)
Winner
MAR
+18.83%
SPY
+15.49%
Max(CAGR)
Winner
MAR
+13.52%
SPY
+8.50%

MAR vs SPY - Annual Returns (1999 - 2026)

Returns include dividend reinvestment.

YearMARSPY
2026+12.90%+8.27%
2025+14.15%+18.00%
2024+26.99%+25.59%
2023+54.22%+26.72%
2022-8.61%-18.64%
2021+32.44%+30.52%
2020-12.57%+17.28%
2019+42.97%+31.09%
2018-17.84%-5.24%
2017+66.58%+20.78%
2016+28.56%+13.59%
2015-12.70%+1.31%
2014+61.32%+14.56%
2013+29.17%+29.00%
2012+25.92%+14.17%
2011-25.46%+0.85%
2010+51.27%+13.14%
2009+38.07%+22.67%
2008-40.31%-36.25%
2007-27.32%+5.32%
2006+42.26%+13.85%
2005+7.74%+5.32%
2004+37.37%+10.75%
2003+36.79%+24.18%
2002-17.17%-22.42%
2001-0.38%-10.13%
2000+39.42%-8.84%
1999-5.62%+8.61%

MAR vs SPY Drawdown Comparison

The maximum drawdown for MAR was -75.59%, occurring on Nov 20, 2008. Recovery took 1649 trading sessions.

The maximum drawdown for SPY was -55.20%, occurring on Mar 9, 2009. Recovery took 1224 trading sessions.

The current MAR drawdown is -6.74%.

RankMARSPY
#1-75.59%
Apr 18, 2007 - Nov 1, 2013
-55.20%
Oct 9, 2007 - Aug 16, 2012
#2-61.26%
Dec 26, 2019 - Feb 24, 2021
-47.50%
Mar 24, 2000 - Oct 26, 2006
#3-46.10%
May 22, 2001 - May 21, 2004
-33.70%
Feb 19, 2020 - Aug 10, 2020
#4-30.92%
Jan 29, 2018 - Dec 12, 2019
-24.50%
Jan 3, 2022 - Dec 13, 2023
#5-30.50%
Feb 10, 2025 - Nov 25, 2025
-19.34%
Sep 20, 2018 - Apr 12, 2019
#6-30.49%
Mar 2, 2015 - Dec 7, 2016
-18.76%
Feb 19, 2025 - Jun 26, 2025
#7-29.95%
Apr 20, 2022 - Jul 10, 2023
-13.02%
Jul 20, 2015 - Apr 18, 2016
#8-25.38%
Nov 15, 1999 - May 15, 2000
-10.10%
Jan 26, 2018 - Aug 6, 2018
#9-19.21%
Feb 16, 2022 - Apr 19, 2022
-9.44%
Sep 2, 2020 - Nov 11, 2020
#10-19.15%
Jan 23, 2001 - May 2, 2001
-9.30%
Jan 19, 2000 - Mar 17, 2000
#11-18.03%
Apr 11, 2024 - Oct 9, 2024
-9.05%
Jul 19, 2007 - Oct 5, 2007
#12-17.47%
Jul 11, 2005 - Apr 4, 2006
-8.88%
Jan 27, 2026 - Apr 14, 2026
#13-17.46%
Feb 24, 2021 - Oct 7, 2021
-8.41%
Jul 16, 2024 - Sep 19, 2024
#14-17.13%
Jul 27, 2000 - Nov 14, 2000
-7.35%
Sep 14, 2012 - Jan 2, 2013
#15-15.38%
Nov 8, 2021 - Feb 8, 2022
-7.27%
Sep 18, 2014 - Oct 31, 2014

Correlation

Correlation between MAR and SPY is 0.98 which considered as a very strong positive correlation - the stocks move almost identically together.

0.98
-101

Dividend Comparison (1999 - 2026)

MAR vs SPY dividend yield comparison.

YearMARSPY
20260.19%0.24%
20250.85%1.07%
20240.86%1.21%
20230.87%1.40%
20220.67%1.65%
20210.00%1.20%
20200.36%1.52%
20191.22%1.75%
20181.44%2.04%
20170.95%1.80%
20161.39%2.03%
20151.42%2.06%
20140.99%1.87%
20131.30%1.81%
20121.31%2.18%
20117.28%2.05%
20100.50%1.80%
20091.27%1.95%
20081.74%3.02%
20070.84%1.85%
20060.50%1.73%
20050.60%1.73%
20040.52%1.82%
20030.64%1.47%
20020.84%1.70%
20010.78%1.25%
20000.55%1.15%
19990.17%0.24%

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