Compare Stocks

Compare up to 5 stocks side by side with metrics, growth rates, and performance charts

Select Stocks
MAR
SPY

Add up to 3 more stocks

Open the full MAR vs SPY breakdown — total return with dividends reinvested, side-by-side tables, and evidence links
Different business models: this comparison spans Consumer Cyclical, Financial Services. Margin, capital intensity, and valuation differences should be interpreted in that sector context.
Metric
ValuationTTM multiples, at last close
P/E Ratio36.69N/A
Forward P/E29.98N/A
P/B RatioN/AN/A
P/S Ratio3.52N/A
P/FCF Ratio30.20N/A
EV/EBITDA23.02N/A
Profitabilitytrailing twelve months
Gross Margin20.2%N/A
Operating Margin15.8%N/A
Net Margin9.6%N/A
ROE-69.0%N/A
ROA9.2%N/A
ROIC18.6%N/A
Financial Healthlatest reported quarter
Current Ratio0.53N/A
Quick RatioN/AN/A
Debt/Equity-3.93N/A
Interest Coverage5.12N/A
Dividendstrailing dividends vs latest price
Dividend Yield0.8%1.0%
Payout Ratio28.8%N/A
Yrs of Dividend Growth35

N/A includes metrics that are structurally not meaningful for a company's sector (e.g. EV multiples, free-cash-flow ratios, and working-capital ratios for banks and insurers). Bars show each value's size relative to the row's largest — a factual magnitude cue, not a rating. Tap a metric name for its full history.