Nomura Securities Maintains a 'Buy' on Marriott International (MAR); Q1 Review: RevPAR Outlook Better Than Expected
Go back to Nomura Securities Maintains a 'Buy' on Marriott International (MAR); Q1 Review: RevPAR Outlook Better Than Expected| Marriott Int'l. (NASDAQ: MAR) | Delayed: 356.72 +4.19 (1.19%) | |||||
|---|---|---|---|---|---|---|
| Previous Close | $352.53 | 52 Week High | $77.81 | |||
| Open | $350.72 | 52 Week Low | $56.43 | |||
| Day High | $358.10 | P/E | 178.36 | |||
| Day Low | $349.74 | EPS | $2.00 | |||
| Volume | 880,593 | |||||

