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Marriott International, Inc.

MAR Stock Analysis

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Breakdown
2014
2015
2016
2017
2018
2019
2020
2021
2022
2023
Net Income
753.000M859.000M780.000M1.372B1.907B1.273B-267.000m1.099B2.358B3.083B
Depreciation & Amortization
148.000M139.000M168.000M290.000M284.000M403.000M478.000M295.000M282.000M277.000M
Change in Working Capital
-120.000m-126.000m-177.000m81.000M-76.000m-273.000m-28.000m110.000M-542.000m69.000M
Operating Cash Flow
1.224B1.430B1.582B2.436B2.357B1.685B1.639B1.177B2.363B3.170B
Capital Expenditure
-411.000m-305.000m-199.000m-240.000m-556.000m-653.000m-135.000m-183.000m-332.000m-452.000m
Free Cash Flow
813.000M1.125B1.383B2.196B1.801B1.032B1.504B994.000M2.031B2.718B
Debt Repayment
622.000M325.000M2.529B-250.000m1.120B1.513B-616.000m-231.000m-3.000m1.780B
Dividends Paid
-223.000m-253.000m-374.000m-482.000m-543.000m-612.000m-156.000m0.000-321.000m-587.000m
Common Stock Issued
178.000M40.000M34.000M6.000M4.000M7.000M0.0002.000M0.00029.000M
Common Stock Repurchased
-1.510b-1.917b-568.000m-3.013b-2.850b-2.260b-150.000m0.000-2.566b-3.953b
Net Change in Cash
-22.000m-8.000m762.000M-475.000m-69.000m-107.000m641.000M527.000M-896.000m-159.000m