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Historical mar News Stories

Marriott's Sonder Fallout Shakes Growth Outlook Now

Marriott’s termination of its licensing agreement with Sonder and Sonder’s subsequent Chapter 7 filing have trimmed 2025 room-growth expectations and highlighted execution risk in alternative lodging. Despite the disruption, Marriott’s Q3 results showed resilient demand, a healthy development pipeline, ongoing share buybacks and a $0.67 quarterly dividend. Analyst target revisions are modestly positive but cautious—investors should watch net room additions, franchise/licensing execution and integration of non-traditional partners.

Marriott Q3 Beat Raises MAR Stock, Luxury Leads Now

Marriott’s latest quarter beat expectations, lifted guidance, and showed resilience in luxury demand and branded residences — driving a post-earnings jump in MAR stock and analyst target upgrades.

Marriott Q3 Beat, Raised Guidance Spurs Rally Now!

Marriott reported a quarterly EPS and revenue beat, raised full‑year adjusted EPS guidance, and saw analyst upgrades—driven by strong luxury demand and a growing development pipeline. Near‑term upside is supported by brand strength and Bonvoy loyalty, while select‑service and government travel headwinds remain watchpoints.

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