Marriott International, Inc. · MAR
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Customise the Prism Score weights
Tune the weight Prism puts on each dimension. Sliders show your raw input; the live score below uses the renormalised weights so the total always sums to 100%. Saved locally — server persistence ships with the Pro tier.
Deep value + margin of safety blend.
ROE, gross margin, operating margin.
Debt/Equity, current ratio.
Insider conviction + superinvestor activity.
Dividends + buyback runway.
52-week range position.
Revenue + EPS growth.
Composite 51/100. Strongest contribution from quality; weakest from valuation.
FCF yield 1.9%
268% above fair value
Op margin 59% · Gross 79%
D/E — · CR 0.46
No insider data
No tracked superinvestor holds it
0.83% yield + buyback runway
77% through 52w range
EPS 2% · Rev 13%
Adjusting weights changes how Prism aggregates the same underlying data — it does not change the underlying metrics or rules. Higher composites are not a recommendation to buy. For research and educational purposes only.
For research and educational purposes only. Not financial advice. Past performance does not guarantee future results. Conduct independent due diligence before making any investment decision.