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Compare iShares Core S&P 500 ETF (IVV) vs Marriott International Inc (MAR) Price & Performance

iShares Core S&P 500 ETFTrade
Marriott International Inc Trade

Price performance (Past 24H)

Key statistics

iShares Core S&P 500 ETF vs Marriott International Inc — how do they compare? iShares Core S&P 500 ETF trades at $780.39 (market cap $899.63B), while Marriott International Inc trades at $360.95 (market cap $92.96B). The key difference: iShares Core S&P 500 ETF is far larger — about 9.7× Marriott International Inc 's market cap, and Marriott International Inc pays a 0.82% dividend while iShares Core S&P 500 ETF pays none. Which is the better fit depends on your goals — on Pluang, investors hold iShares Core S&P 500 ETF for 46 Days and Marriott International Inc for 164 Days on average.

IVVMAR
Market Cap
$899.63B$92.96B
Volume
3,643,9261,173,633
Sector
Broad Market / FactorConsumer Cyclical
52-Week High
$782.58$402.54
52-Week Low
$634.93$259.04
Typical Hold Time
46 Days164 Days
Enterprise Value
—$110.28B
Dividend Yield
—0.82%

Aura AI Summary

Signals from Pluang's Aura AI — not financial advice

iShares Core S&P 500 ETF

IVV, tracking the S&P 500, trades at $780.60, down 0.25% on the day. Technical indicators show a bullish trend with moving averages strongly positive, though RSI suggests potential overbought conditions near-term. The ETF remains a core holding for broad US equity exposure, with recent news highlighting strong corporate earnings growth expectations of 35% for 2026. Market sentiment is mixed as valuations attract scrutiny despite index strength.

Outlook remains constructive given the S&P 500's earnings momentum and historical seasonal trends favoring year-end rallies. Key risks include potential profit growth deceleration to 15% in 2027 and concentration in top holdings. The ETF offers diversified exposure to large-cap US equities, with the current level near pivot point support providing a strategic entry zone for long-term investors.

Marriott International Inc

Marriott International (MAR) trades at $361.08, showing minimal daily movement with a slight decline of 0.06%. The stock maintains a bullish technical signal with strong moving average support and trades near key resistance at $360. Fundamentally, the company reported solid Q2 2026 earnings beat with $3.19 EPS versus $3.08 expected, continuing revenue growth to $26.19B in 2025, though valuation ratios remain elevated with P/E at 36.9. Recent developments include new technology partnerships and upcoming dividend payment.

Marriott presents a mixed investment case with strong operational performance offset by high valuation multiples. The consensus price target of $386.71 suggests 7% upside potential, supported by 44% analyst buy ratings. Key risks include rising debt levels with debt-to-asset ratio reaching 58.83% and potential travel sector volatility. The company's dominant market position and continued travel demand provide growth catalysts, but investors should weigh valuation concerns against fundamental strength.

Returns comparison

Trailing returns across standard periods

Investor sentiment on Pluang

What Pluang investors did over the last 30 days

IVV
90% Buy10% Sell
Avg holding period · 46 Days
MAR
86% Buy14% Sell
Avg holding period · 164 Days

Top news

Latest headlines on both assets

About iShares Core S&P 500 ETF

IVV tracks the performance of the S&P 500 Index, offering low-cost exposure to 500 of the largest US companies. It is a cornerstone for long-term investors seeking broad growth in the US stock market.

Read more on IVV →

About Marriott International Inc

Marriott International Inc. of Maryland is a worldwide operator and franchisor of hotels. The Company franchises lodging facilities and vacation timesharing resorts under various brand names. Marriott also provides services to home and condominium owner associations for projects associated with several of its brands.

Read more on MAR →