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Marriott International Inc. (NYSE:MAR)

NYSE:MAR

Stock Performance

Overall Statistics
Total Trades:   61
Winning Trades:   27
Losing Trades:   34
Success Rate %:   44.26%
Biggest % Gain:   90.49%
Biggest % Loss   -6.00%
 
Year Days In % Gain Account
$10,000.00
2009 56 days 49.39% $14,939.30
2010 140 days 19.92% $17,915.56
2011 92 days 19.95% $21,489.23
2012 88 days 7.33% $23,064.34
2013 154 days 20.23% $27,730.02
2014 92 days 15.95% $32,153.67
2015 169 days -21.82% $25,137.31
2016 107 days -1.92% $24,653.89
2017 33 days 2.03% $25,155.16
 

 

Trade History

Start* Signal Price Target / Stop End* Signal Price Change Duration % Gain Account Comment
2017-08-30 BUY 103.61 (118.12 / 97.39) (Open Position)
2017-08-09 SHORT 101.32 (87.14 / 107.40) 2017-08-22 COVER 102.19 0.87 (-0.86%) 9 days 151.55% $25,155.16 Indicators Changed
2017-01-19 BUY 84.53 (96.36 / 79.46) 2017-02-23 SELL 87.00 2.47 (2.92%) 24 days 153.74% $25,374.29 Indicators Changed
2016-10-24 BUY 67.38 (76.81 / 63.34) 2016-11-14 SELL 77.25 9.87 (14.65%) 15 days 146.54% $24,653.89 Take Profits
2016-09-23 SHORT 68.44 (58.86 / 72.55) 2016-10-07 COVER 67.14 -1.30 (1.90%) 10 days 115.04% $21,503.66 Indicators Changed
2016-07-01 BUY 67.79 (77.28 / 63.72) 2016-09-07 SELL 70.40 2.61 (3.85%) 46 days 111.03% $21,102.82 Indicators Changed
2016-06-20 BUY 67.84 (77.34 / 63.77) 2016-06-24 SELL 63.91 -3.93 (-5.79%) 4 days 103.20% $20,320.46 Indicators Changed
2016-06-01 BUY 67.15 (76.55 / 63.12) 2016-06-15 SELL 63.12 -4.03 (-6.00%) 10 days 115.70% $21,570.02 Exit on STOP
2016-04-27 BUY 68.68 (78.30 / 64.56) 2016-05-12 SELL 67.97 -0.71 (-1.03%) 11 days 129.47% $22,946.83 Indicators Changed
2016-04-19 BUY 67.81 (77.30 / 63.74) 2016-04-22 SELL 66.54 -1.27 (-1.87%) 3 days 131.87% $23,186.52 Indicators Changed
2015-12-23 BUY 68.87 (78.51 / 64.74) 2016-01-06 SELL 64.74 -4.13 (-6.00%) 8 days 136.29% $23,629.07 Exit on STOP
2015-10-02 BUY 71.46 (81.46 / 67.17) 2015-12-09 SELL 68.02 -3.44 (-4.81%) 47 days 151.37% $25,137.31 Indicators Changed
2015-09-08 BUY 72.42 (82.56 / 68.07) 2015-09-22 SELL 68.07 -4.35 (-6.00%) 10 days 164.09% $26,408.58 Exit on STOP
2015-08-20 SHORT 70.00 (60.20 / 74.20) 2015-08-27 COVER 71.11 1.11 (-1.59%) 5 days 180.94% $28,094.24 Indicators Changed
2015-07-29 BUY 77.00 (87.78 / 72.38) 2015-07-30 SELL 72.38 -4.62 (-6.00%) 1 day 185.47% $28,546.91 Exit on STOP
2015-07-10 BUY 75.97 (86.61 / 71.41) 2015-07-27 SELL 73.81 -2.16 (-2.84%) 11 days 203.69% $30,369.05 Indicators Changed
2015-05-14 BUY 80.58 (91.86 / 75.74) 2015-05-26 SELL 78.71 -1.87 (-2.31%) 7 days 212.58% $31,257.78 Indicators Changed
2015-03-25 SHORT 79.79 (68.62 / 84.58) 2015-05-08 COVER 80.30 0.51 (-0.64%) 31 days 219.98% $31,998.42 Indicators Changed
2015-02-10 BUY 77.23 (88.04 / 72.60) 2015-03-24 SELL 82.25 5.02 (6.50%) 29 days 222.04% $32,204.27 Indicators Changed
2015-01-22 BUY 78.48 (89.47 / 73.77) 2015-01-28 SELL 76.90 -1.58 (-2.01%) 4 days 202.39% $30,238.73 Indicators Changed
2014-11-28 BUY 78.79 (89.82 / 74.06) 2015-01-05 SELL 75.62 -3.17 (-4.02%) 24 days 208.60% $30,860.02 Indicators Changed
2014-10-22 BUY 68.42 (78.00 / 64.31) 2014-11-13 SELL 78.09 9.67 (14.13%) 16 days 221.54% $32,153.67 Take Profits
2014-08-11 BUY 65.72 (74.92 / 61.78) 2014-09-15 SELL 70.71 4.99 (7.59%) 24 days 181.72% $28,172.04 Indicators Changed
2014-07-22 BUY 66.11 (75.37 / 62.14) 2014-08-05 SELL 64.91 -1.20 (-1.82%) 10 days 161.84% $26,183.94 Indicators Changed
2014-05-12 BUY 59.22 (67.51 / 55.67) 2014-05-15 SELL 57.93 -1.29 (-2.18%) 3 days 166.68% $26,668.00 Indicators Changed
2014-04-30 BUY 57.93 (66.04 / 54.45) 2014-05-09 SELL 58.16 0.23 (0.40%) 7 days 172.62% $27,261.85 Indicators Changed
2014-02-03 SHORT 47.47 (40.82 / 50.32) 2014-02-14 COVER 50.32 2.85 (-6.00%) 8 days 171.54% $27,154.04 Exit on STOP
2013-12-16 BUY 47.09 (53.68 / 44.26) 2014-01-27 SELL 49.05 1.96 (4.17%) 24 days 188.87% $28,887.28 Indicators Changed
2013-09-05 BUY 40.77 (46.48 / 38.32) 2013-11-06 SELL 46.34 5.57 (13.66%) 44 days 177.30% $27,730.02 Take Profits
2013-08-26 BUY 41.23 (47.00 / 38.76) 2013-08-27 SELL 40.42 -0.81 (-1.96%) 1 day 143.97% $24,396.92 Indicators Changed
2013-07-31 BUY 41.58 (47.40 / 39.09) 2013-08-12 SELL 40.73 -0.85 (-2.04%) 8 days 148.86% $24,885.82 Indicators Changed
2013-07-05 BUY 41.40 (47.20 / 38.92) 2013-07-23 SELL 40.95 -0.45 (-1.09%) 12 days 154.05% $25,405.16 Indicators Changed
2013-04-23 BUY 41.87 (47.73 / 39.36) 2013-05-31 SELL 42.01 0.14 (0.33%) 27 days 156.84% $25,684.34 Indicators Changed
2013-03-26 BUY 41.29 (47.07 / 38.81) 2013-04-15 SELL 40.71 -0.58 (-1.40%) 13 days 155.99% $25,598.75 Indicators Changed
2013-03-08 BUY 40.29 (45.93 / 37.87) 2013-03-21 SELL 39.62 -0.67 (-1.66%) 9 days 159.63% $25,963.46 Indicators Changed
2012-12-11 BUY 35.79 (40.80 / 33.64) 2013-02-08 SELL 40.97 5.18 (14.47%) 40 days 164.03% $26,402.52 Take Profits
2012-10-16 BUY 38.89 (44.33 / 36.56) 2012-10-17 SELL 38.79 -0.10 (-0.26%) 1 day 130.64% $23,064.34 Indicators Changed
2012-08-16 BUY 37.81 (43.10 / 35.54) 2012-09-25 SELL 39.14 1.33 (3.52%) 27 days 131.24% $23,123.80 Indicators Changed
2012-07-11 SHORT 38.03 (32.71 / 40.31) 2012-08-03 COVER 37.55 -0.48 (1.26%) 17 days 123.38% $22,338.04 Indicators Changed
2012-06-29 BUY 39.20 (44.69 / 36.85) 2012-07-10 SELL 38.17 -1.03 (-2.63%) 6 days 120.60% $22,059.61 Indicators Changed
2012-06-18 BUY 38.38 (43.75 / 36.08) 2012-06-25 SELL 37.78 -0.60 (-1.56%) 5 days 126.55% $22,654.88 Indicators Changed
2012-04-19 BUY 39.45 (44.97 / 37.08) 2012-05-17 SELL 37.08 -2.37 (-6.00%) 20 days 130.15% $23,014.67 Exit on STOP
2011-12-23 BUY 29.71 (33.87 / 27.93) 2012-01-12 SELL 33.85 4.14 (13.93%) 12 days 144.84% $24,483.69 Take Profits
2011-12-02 BUY 30.92 (35.25 / 29.06) 2011-12-07 SELL 30.50 -0.42 (-1.36%) 3 days 114.89% $21,489.23 Indicators Changed
2011-10-05 BUY 28.18 (32.13 / 26.49) 2011-10-27 SELL 33.30 5.12 (18.17%) 16 days 117.85% $21,785.15 Take Profits
2011-07-15 SHORT 34.94 (30.05 / 37.04) 2011-08-03 COVER 31.13 -3.81 (10.90%) 13 days 84.36% $18,435.60 Take Profits
2011-03-28 SHORT 35.30 (30.36 / 37.42) 2011-04-18 COVER 34.88 -0.42 (1.19%) 15 days 66.23% $16,622.97 Indicators Changed
2011-03-21 BUY 38.62 (44.03 / 36.30) 2011-03-22 SELL 36.98 -1.64 (-4.25%) 1 day 64.28% $16,427.51 Indicators Changed
2011-02-11 BUY 41.22 (46.99 / 38.75) 2011-02-22 SELL 39.03 -2.19 (-5.31%) 6 days 71.56% $17,156.04 Indicators Changed
2010-11-24 BUY 39.69 (45.25 / 37.31) 2011-01-20 SELL 40.14 0.45 (1.13%) 38 days 81.19% $18,118.68 Indicators Changed
2010-10-22 BUY 37.29 (42.51 / 35.05) 2010-11-15 SELL 38.30 1.01 (2.71%) 16 days 79.16% $17,915.56 Indicators Changed
2010-07-23 BUY 33.14 (37.78 / 31.15) 2010-10-05 SELL 37.81 4.67 (14.09%) 51 days 74.43% $17,443.11 Take Profits
2010-07-16 SHORT 30.31 (26.07 / 32.13) 2010-07-22 COVER 32.13 1.82 (-6.00%) 4 days 52.89% $15,288.67 Exit on STOP
2010-06-14 BUY 33.97 (38.73 / 31.93) 2010-06-25 SELL 31.93 -2.04 (-6.00%) 9 days 62.65% $16,264.54 Exit on STOP
2010-02-16 BUY 27.12 (30.92 / 25.49) 2010-03-26 SELL 31.09 3.97 (14.64%) 28 days 73.03% $17,302.71 Take Profits
2009-12-04 BUY 27.17 (30.97 / 25.54) 2010-01-22 SELL 27.45 0.28 (1.03%) 32 days 50.93% $15,093.26 Indicators Changed
2009-10-27 SHORT 25.90 (22.27 / 27.45) 2009-11-10 COVER 26.90 1.00 (-3.86%) 10 days 49.39% $14,939.30 Indicators Changed
2009-09-11 BUY 24.60 (28.04 / 23.12) 2009-10-02 SELL 25.61 1.01 (4.11%) 15 days 55.39% $15,539.27 Indicators Changed
2009-07-30 BUY 21.44 (24.44 / 20.15) 2009-08-07 SELL 25.28 3.84 (17.91%) 6 days 49.26% $14,926.44 Take Profits
2009-07-15 BUY 21.80 (24.85 / 20.49) 2009-07-16 SELL 20.49 -1.31 (-6.00%) 1 day 26.59% $12,659.13 Exit on STOP
2009-06-16 SHORT 22.28 (19.16 / 23.62) 2009-07-08 COVER 19.29 -2.99 (13.42%) 15 days 34.67% $13,467.16 Take Profits
2009-03-10 BUY 14.41 (16.43 / 13.55) 2009-03-23 SELL 17.11 2.70 (18.74%) 9 days 18.74% $11,873.70 Take Profits

 

* Start and End dates are the dates on which signals are generated.

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