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Marriott International, Inc. (MAR) - Risk-Adjusted Returns & Sharpe Ratio | pfolio

Overview

TypeStock
Asset ClassEquity
RegionAmericas
CountryUS
CurrencyUSD

Performance

TimeframeReturnSharpeVolatilityMax Drawdown
MTD4.1%2.0125.2%-4.0%
YTD21.5%1.7329.0%-12.6%
1Y43.7%1.4925.6%-12.6%
5Y172.3%0.8328.3%-30.5%
10Y520.5%0.7132.3%-61.3%