Marriott International, Inc. (MAR) - Risk-Adjusted Returns & Sharpe Ratio | pfolio
Marriott International, Inc. (MAR): 1Y return 43.7%, Sharpe ratio 1.49, volatility 25.6%, max drawdown -12.6%. A Stock in the Equity asset class. Compare MAR with other assets and invest through your own broker with pfolio.
Marriott International, Inc. (MAR) Overview
- Type: Stock
- Asset Class: Equity
- Region: Americas
- Country: US (Developed)
- Currency: USD
MAR Performance
- MTD
- Return: 4.1%, Sharpe: 2.01, Volatility: 25.2%, Max Drawdown: -4.0%
- YTD
- Return: 21.5%, Sharpe: 1.73, Volatility: 29.0%, Max Drawdown: -12.6%
- 1Y
- Return: 43.7%, Sharpe: 1.49, Volatility: 25.6%, Max Drawdown: -12.6%
- 5Y
- Return: 172.3%, Sharpe: 0.83, Volatility: 28.3%, Max Drawdown: -30.5%
- 10Y
- Return: 520.5%, Sharpe: 0.71, Volatility: 32.3%, Max Drawdown: -61.3%
Frequently Asked Questions
- What is Marriott International, Inc. (MAR)?
- Marriott International, Inc. (MAR) is a Stock in the Equity asset class. pfolio shows its cumulative return, volatility, Sharpe ratio, and max drawdown across MTD, YTD, 1Y, 5Y, 10Y, 20Y, and all-time periods.
- How does MAR compare to other assets?
- You can compare MAR with any other asset using pfolio's comparison tool, which ranks assets side-by-side by risk-adjusted returns.
- Can I invest in MAR through pfolio?
- pfolio helps you build diversified portfolios that may include MAR. You invest through your own broker — pfolio provides the analytics.