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Marriott International Inc
NASDAQ:MAR

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Marriott International Inc
NASDAQ:MAR
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Price: 313.81 USD -0.79% Market Closed
Market Cap: $84.2B

Balance Sheet

Balance Sheet Decomposition
Marriott International Inc

Balance Sheet
Marriott International Inc

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Balance Sheet
Currency: USD
Jan-2003 Jan-2004 Dec-2004 Dec-2005 Dec-2006 Dec-2007 Jan-2009 Jan-2010 Dec-2010 Dec-2011 Dec-2012 Dec-2013 Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024 Dec-2025
Assets
Cash & Cash Equivalents
198
229
770
203
191
332
134
115
505
102
88
126
104
96
858
383
316
225
877
1 393
507
338
396
358
Cash Equivalents
198
229
770
203
191
332
134
115
505
102
88
126
104
96
858
383
316
225
877
1 393
507
338
396
358
Total Receivables
522
728
797
1 001
1 060
1 148
898
838
938
875
1 028
1 081
1 100
1 103
1 695
1 973
2 133
2 395
1 768
1 982
2 571
2 712
2 795
2 909
Accounts Receivables
522
728
797
1 001
1 060
1 148
898
838
938
875
1 028
1 081
1 100
1 103
1 695
1 973
2 133
2 395
1 768
1 982
2 571
2 712
2 795
2 909
Other Receivables
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Inventory
0
0
0
1 164
1 186
1 557
1 981
1 444
1 489
11
10
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Current Assets
1 053
390
379
1 022
882
535
393
454
450
336
349
696
406
185
818
384
257
507
180
251
235
261
294
317
Total Current Assets
1 773
1 347
1 946
3 390
3 319
3 572
3 406
2 851
3 382
1 324
1 475
1 903
1 610
1 384
3 371
2 740
2 706
3 127
2 825
3 626
3 313
3 311
3 485
3 584
PP&E Net
2 560
2 513
2 389
1 134
1 233
1 329
1 443
1 362
1 307
1 168
1 539
1 543
1 460
1 029
2 335
1 793
1 956
2 792
2 266
2 565
2 572
2 510
2 678
2 895
PP&E Gross
2 560
2 513
2 389
1 134
1 233
1 329
1 443
1 362
1 307
1 168
1 539
1 543
1 460
1 029
2 335
1 793
1 956
2 792
2 266
2 565
2 572
2 510
2 678
2 895
Accumulated Depreciation
467
557
681
785
859
1 019
1 076
1 186
1 249
927
991
905
918
897
985
1 097
1 517
1 301
888
850
874
890
881
947
Intangible Assets
495
526
513
466
575
635
710
731
768
846
1 115
1 131
1 351
1 451
9 270
8 544
8 380
8 641
8 989
8 926
8 747
9 190
9 488
10 336
Goodwill
923
923
923
924
921
921
875
875
875
875
874
874
894
943
7 598
9 207
9 039
9 048
9 175
9 073
8 872
8 886
8 731
8 907
Note Receivable
1 514
1 486
1 515
804
738
776
830
452
1 264
298
180
142
215
215
245
142
125
117
159
144
152
138
136
151
Long-Term Investments
475
468
319
582
402
343
346
249
250
265
216
222
224
165
728
734
732
577
422
387
335
308
298
298
Other Long-Term Assets
556
914
1 063
1 230
1 400
1 366
1 293
1 413
1 137
1 134
943
979
1 079
895
593
686
758
749
865
832
824
1 331
1 366
1 369
Other Assets
923
923
923
924
921
921
875
875
875
875
874
874
894
943
7 598
9 207
9 039
9 048
9 175
9 073
8 872
8 886
8 731
8 907
Total Assets
8 296
N/A
8 177
-1%
8 668
+6%
8 530
-2%
8 588
+1%
8 942
+4%
8 903
0%
7 933
-11%
8 983
+13%
5 910
-34%
6 342
+7%
6 794
+7%
6 833
+1%
6 082
-11%
24 140
+297%
23 846
-1%
23 696
-1%
25 051
+6%
24 701
-1%
25 553
+3%
24 815
-3%
25 674
+3%
26 182
+2%
27 540
+5%
Liabilities
Accounts Payable
505
584
570
520
658
1 537
704
562
634
548
569
557
605
593
687
783
767
720
527
726
746
738
763
814
Accrued Liabilities
373
412
508
559
614
642
1 263
1 207
1 243
1 141
1 204
1 446
1 432
1 388
2 285
2 505
2 308
2 722
2 283
2 354
2 595
3 143
3 090
2 878
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
221
64
489
56
15
175
120
64
138
355
407
6
324
300
309
398
833
977
1 173
805
684
553
1 309
1 209
Other Current Liabilities
1 084
710
789
998
1 235
522
446
454
486
514
593
666
677
952
1 866
2 121
2 529
2 258
1 769
2 522
3 314
3 328
3 487
3 497
Total Current Liabilities
2 183
1 770
2 356
2 133
2 522
2 876
2 533
2 287
2 501
2 558
2 773
2 675
3 038
3 233
5 147
5 807
6 437
6 677
5 752
6 407
7 339
7 762
8 649
8 398
Long-Term Debt
1 553
1 391
836
1 681
1 818
2 790
2 975
2 234
2 691
1 816
2 528
3 147
3 447
3 807
8 197
7 840
8 514
9 963
9 203
9 333
9 380
11 320
13 138
14 995
Deferred Income Tax
0
0
0
0
0
0
0
0
0
0
0
0
0
0
1 020
605
485
290
83
169
313
209
81
79
Minority Interest
0
6
12
0
0
33
11
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Liabilities
987
1 172
1 383
1 464
1 630
1 814
2 004
2 270
2 206
2 317
2 326
2 387
2 548
2 632
4 419
6 012
6 035
7 418
9 233
8 230
7 215
7 065
7 306
7 839
Total Liabilities
4 723
N/A
4 339
-8%
4 587
+6%
5 278
+15%
5 970
+13%
7 513
+26%
7 523
+0%
6 791
-10%
7 398
+9%
6 691
-10%
7 627
+14%
8 209
+8%
9 033
+10%
9 672
+7%
18 783
+94%
20 264
+8%
21 471
+6%
24 348
+13%
24 271
0%
24 139
-1%
24 247
+0%
26 356
+9%
29 174
+11%
31 311
+7%
Equity
Common Stock
3
3
3
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
Retained Earnings
1 126
1 505
1 951
2 500
2 860
3 332
3 565
3 103
3 286
3 212
3 509
3 837
4 286
4 878
6 501
7 242
8 982
9 644
9 206
10 305
12 342
14 838
16 531
18 414
Additional Paid In Capital
3 224
3 317
3 423
3 562
3 617
3 531
3 590
3 585
3 644
2 513
2 585
2 716
2 802
2 821
5 808
5 770
5 814
5 800
5 851
5 892
5 965
6 051
6 179
6 352
Unrealized Security Profit/Loss
0
0
0
0
0
0
0
0
0
0
0
0
11
4
6
4
0
0
0
0
0
0
0
0
Treasury Stock
667
865
1 197
2 667
3 908
5 490
5 765
5 564
5 348
6 463
7 340
7 929
9 223
11 098
6 460
9 418
12 185
14 385
14 497
14 446
17 015
20 929
24 644
27 900
Other Equity
113
122
99
148
44
51
15
13
2
48
44
44
81
200
503
21
391
361
135
342
729
647
1 063
642
Total Equity
3 573
N/A
3 838
+7%
4 081
+6%
3 252
-20%
2 618
-19%
1 429
-45%
1 380
-3%
1 142
-17%
1 585
+39%
781
N/A
1 285
-65%
1 415
-10%
2 200
-55%
3 590
-63%
5 357
N/A
3 582
-33%
2 225
-38%
703
-68%
430
-39%
1 414
+229%
568
-60%
682
N/A
2 992
-339%
3 771
-26%
Total Liabilities & Equity
8 296
N/A
8 177
-1%
8 668
+6%
8 530
-2%
8 588
+1%
8 942
+4%
8 903
0%
7 933
-11%
8 983
+13%
5 910
-34%
6 342
+7%
6 794
+7%
6 833
+1%
6 082
-11%
24 140
+297%
23 846
-1%
23 696
-1%
25 051
+6%
24 701
-1%
25 553
+3%
24 815
-3%
25 674
+3%
26 182
+2%
27 540
+5%
Shares Outstanding
Common Shares Outstanding
477
467
457
416
394
361
353
358
367
333
311
298
280
256
386
359
339
324
324
326
311
291
277
266
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