1Stock1.com
Google
 
1Stock1 Home
Financial Ratios
Mutual Fund Investing Terms
Option Trading Terms 
Stock Investing Terms
Marriott International, Inc. (MAR) Yearly Returns
     Year
  Beginning Price
  Ending Price
  Gain or Loss
  Percent Gain or Loss
1999
29.00
31.5625
2.5625
8.84%
2000
31.5625
42.24
10.6775
33.83%
2001
42.24
40.65
-1.59
-3.76%
2002
40.65
32.87
-7.78
-19.14%
2003
32.87
46.20
13.33
40.55%
2004
46.20
62.98
16.78
36.32%
2005
62.98
66.97
3.99
6.34%
2006
66.97
95.44*
28.47
42.51%
2007
47.72
34.18
-13.54
-28.37%
2008
34.18
19.45
-14.73
-43.10%
2009
19.45
27.25
7.80
40.10%
2010
27.25
41.54
14.29
52.44%
2011
41.54
29.17
-12.37
-29.78%
2012
29.17
37.27
8.10
27.77%
2013
37.27
49.351
12.081
32.41%
2014
49.351
78.03
28.679
58.11%
2015
78.03
67.04
-10.99
-14.08%
2016
67.04
82.68
15.64
23.33%
2017
82.68
135.73
53.05
64.16%
2018
135.73
108.56
-27.17
-20.02%
2019
108.56
151.43
42.87
39.49%
2020
151.43
131.92
-19.51
-12.88%
2021
131.92
165.24
33.32
25.26%
2022
165.24
148.89
-16.35
-9.89%
2023
148.89
225.51
76.62
51.46%
*The 2006 ending price for Marriott has been adjusted for a 2 for 1 stock split.
Calculations do not reflect any dividends paid or any stock spinoffs from original stock. Taxes and commissions are not factored into calculations. Data is property of 1stock1 and written permission must be granted before redistributing any data (in part or in whole).
Disclaimer/Contact Us
Stock Performance Guide         
Yearly Stock Returns Index     
Back to Yearly Stock Returns Index
Articles
From
1stock1.com