Stoptions.aiStoptions.aiStoptions.aiStoptions.aiStoptions.ai
Powered by Amora Edge
How it worksResultsPricingMeet StoptieCompareBlog
Sign InStart Free Trial
Stoptions.ai
Powered by Amora Edge

Algorithmic scanning across the S&P 500 & Nasdaq 100. Stock & Options trade cards in your inbox by 9:35 AM ET every trading day.

Product
  • How it works
  • The Algorithm
  • Ticker Setups
  • Pricing
  • Morning Brief
  • Results
  • Compare tools
Account
  • Sign In
  • Start Free Trial
  • Give a gift
  • Dashboard
  • Settings
Company
  • About
  • Contact
  • Support
  • Blog
  • Sitemap
Legal
  • Terms of service
  • Privacy policy
  • Risk disclosure
  • Unsubscribe

© 2026 Stoptions.ai · All Rights Reserved

Not financial advice. Algo-generated setups are not personalised investment advice. Options trading involves significant risk of loss — past performance does not guarantee future results.

Chat with Stoptie
Stoptions.ai›Tickers›MAR
Last updated: Fri May 15, 2026 · 9:31 AM ET
↻ Next update: Thu, May 21, 2026 · 9:31 AM ET

MARStock and Options Trade Setup — Marriott International, Inc.MAR logo

Nasdaq 100 · Consumer Cyclical (Premium & Luxury Hotel Franchisor) · Very high-liquidity options · Mega cap · ~$80B

▲ Bullish setupConsumer CyclicalHospitalityPremiumMedium risk↑ Score +4 vs last update
75
Amora Edge Score
75
Top 13% of today's scan
↑ +4 vs last update
Composite of EMA, RSI, RS vs SPY & volume · updated every 72h
70
MAR Win Rate
70%
16 of 23 MAR setups hit target in 2025-2026
Tracks completed Stoptions setups on this ticker since Jan 2026
Why we cover MAR

Marriott operates a near-pure-franchise economic model: it earns royalty and management fees from hotel owners without taking real-estate ownership risk. Compared to peer Hilton, Marriott has the deepest brand portfolio (luxury through select-service) and the largest international footprint, providing diversified end-market exposure. The premium and luxury segments — where Marriott is over-indexed vs the broader industry — have remained extraordinarily resilient as affluent consumer travel demand outpaces overall consumer. International RevPAR (particularly Asia-Pacific) is the standout growth vector as long-haul international travel continues normalising. The pipeline of franchised rooms is at all-time highs, providing multi-year revenue visibility. Capital return is shareholder-friendly with consistent buybacks plus a modest dividend. Risk profile is moderate, primarily tied to corporate travel and premium leisure demand. Options are highly liquid; medium-duration directional setups around RevPAR catalysts have been productive.

Score History & Signal Changelog

Preview data

This page is updated every 72 hours with the latest Scan results. Each data point below represents one complete algorithmic snapshot in time.

Score progression across 4 updates
Solid = composite · dashed = components
Signal Changelog
DateUpdateScoreDeltaKey change
May 1#1 Created64—Page created. Q1 global RevPAR +3.8%; luxury segment leading.
May 5#2 Update68+4International RevPAR re-accelerating. EMA structure constructive.
May 10#3 Update71+3RS rank top quintile in cyclicals. Buyback authorisation expanded.
May 15#4 Current75+4All four signals Active. Premium hospitality thesis intact.

Signal Breakdown

EMA Cross
Active
19/25
21-day EMA cleanly above 50-day; trend slope steepening
RSI Zone
Active
18/25
RSI at 64 — strong momentum, room before overbought
RS vs SPY
Active
19/25
Outperforming SPY +4.4pp; hotel franchisor cohort leader
Volume Surge
Active
19/25
1.5x 20-day average on advance days; institutional accumulation

Today's Trade Card

Setup
MAR $280 CALL
Expires Jun 20, 2026
Premium
$7.20
Target
+65% premium
Stop loss
-40% premium
Breakeven
$287.2
Win prob.
56%
Sizing: Risk <= 1% of account
Greeks
Delta
0.45
Theta
-0.13
IVR
26%
IVR class
Low
Trade card available on Pro & Elite
Or Start Free Trial →

Options Profile

Avg IV (30d)
26%
IVR range (52-wk)
14-52%
Put/call ratio
0.60
Avg daily vol.
15K contracts
Open interest
220K contracts
Next earnings
Aug 5, 2026 (est.)

Risks & Fundamentals

Every setup carries risk. Here's what could move MAR against you, plus the key stats that frame any position.

Beta
1.4
Market cap
~$80B
Risk level
Medium risk
Next earnings
Aug 5, 2026 (est.)
Key risks to monitor
  • 1.Corporate travel softening if recession fears intensify
  • 2.Premium leisure demand normalising faster than expected
  • 3.Construction financing pipeline slowdown delaying franchised hotel openings
These are real risks to the long thesis, not a recommendation to short. Stoptions setups are short-dated and stop-protected; size accordingly.

MAR Options Setup — Frequently Asked Questions

Is MAR a good options trade today?+

Marriott International, Inc. (MAR) currently has an Amora Edge Score of 75/100, ranking it top 13% of today's scan. This composite score is built from four sub-signals — EMA cross, RSI zone, relative strength vs SPY, and volume surge — each scored 0–25. The current read is a bullish setup, so the algorithm is positioned bullish (calls / call debit spreads). A score above 65 typically warrants a trade card with stop and target; below that, the setup is on the watchlist but not actionable.

What is MAR's win rate on Stoptions.ai setups?+

MAR's historical win rate on closed Stoptions setups is 70%. Win rate is calculated as the percentage of past MAR trade cards that hit their target price before stopping out. Win rate is most meaningful once a ticker has 10+ closed trades — individual ticker rates can be noisy at smaller samples. Our portfolio-wide win rate across all closed trades is the more stable benchmark.

What strike and expiry does Stoptions.ai suggest for MAR?+

The strike and expiry are shown on the trade card at the top of this page when the setup is active. Stoptions.ai algorithmically selects strikes targeting delta 0.35–0.45 and expirations 30–45 days out, adjusted for current implied volatility rank (IVR). When IVR is high, the system favors call debit spreads to limit vega risk; when IVR is low, single-leg long calls are preferred. The card includes the contract symbol, mid-price entry, stop, and target.

How often is the MAR setup updated?+

Every 72 hours we refresh MAR's Amora Edge Score and trade card. The underlying scan runs daily at 9:00 AM ET (pre-market) and 9:30 AM ET (post-open), so any new signal change is reflected within one trading session. If MAR drops below the entry threshold or the regime shifts (e.g., SPY enters a confirmed bear), the trade card is replaced with a "no setup" notice automatically.

What does the Amora Edge Score measure for MAR?+

The Amora Edge Score is a 0–100 composite of four technical sub-signals applied to MAR: (1) EMA cross — is the 20-day above the 50-day with both trending up? (2) RSI zone — is momentum in the 50–70 sweet spot, or extended/weak? (3) Relative strength vs SPY — is MAR outperforming the market over 20 sessions? (4) Volume surge — is participation above the 20-day average? Each sub-signal contributes 0–25 points. MAR currently scores 75.

How does MAR compare to other Consumer Cyclical (Premium & Luxury Hotel Franchisor) setups?+

MAR's sector rank and percentile against other Consumer Cyclical (Premium & Luxury Hotel Franchisor) tickers we track is shown on the /tickers index — sortable by Amora Edge Score, win rate, or sector. For direct comparison, see the "Related Consumer Cyclical (Premium & Luxury Hotel Franchisor) Options Setups" panel above. When multiple tickers in the same sector are scoring 80+, the algorithm flags the cluster as a sector rotation signal and may upweight position sizing.

Educational content only — not personalized investment advice. Options carry substantial risk.

The Weekly · Free

Get a Friday Recap Including Setups Like MAR.

Every Friday at 4:30 PM ET — Trade of the Week, Signal Movement, Sector Spotlight, Technical Analysis, and more. A 4-minute read. Free.

No spam. One email Friday afternoon. Unsubscribe in one click.

More from Stoptions.ai
← All tickersHow the algorithm worksMorning BriefResultsPricing