CVX vs MAR: Which Is the Better Buy?
Side-by-side comparison of Chevron Corporation and Marriott International, Inc. — fair value, conviction, valuation metrics, and QuantHub research signals.
Updated 2026-07-20.
Chevron Corporation · Energy
$175.91
-3.4% upside to fair value
Grade D
VS
Marriott International, Inc. · Consumer Cyclical
$366.24
-3.4% upside to fair value
Med Conviction
Grade C
Valuation & Fundamentals
| Metric |
CVX |
MAR |
| Current Price |
$175.91 |
$366.24 |
| Fair Value Estimate |
$169.96 |
$353.64 |
| Upside to Fair Value |
-3.4%
|
-3.4%
|
| Market Cap |
$350.3B |
$96.6B |
| Forward P/E |
30.4x
|
—
|
| EV / EBITDA |
9.4x
|
23.8x
|
| Price / Sales |
1.9x
|
3.7x
|
| Price / FCF |
26.2x
|
31.6x
|
| Revenue Growth YoY |
+3.2%
|
+6.2%
|
| Gross Margin |
25.4%
|
21.4%
|
| Operating Margin |
8.4%
|
16.0%
|
| Return on Equity |
6.2%
|
-74.1%
|
| Dividend Yield |
0% |
0.75% |
| FCF Yield |
3.82%
|
3.17%
|
| Analyst Consensus |
Buy
|
Hold
|
Investment Thesis
Chevron Corporation operates as a leading integrated oil and gas company within the energy sector, demonstrating medium business quality with a stable competitive position but facing earnings pressure as evidenced by a 36.9% decline in earnings in the most recent quarter. The stock trades at a premium valuation with a P/E trailing and forward of 30.38, EV/EBITDA of 9.41, and a P/FCF of 26.2, refl…
Marriott International is a global asset-light hotel franchisor, manager and licensor whose high-quality brands, nearly 283 million Bonvoy members, more than 9,900 properties across 146 countries and record 4,107-property development pipeline create meaningful network, distribution and brand advantages. Q1 2026 demonstrated resilient underlying fee economics: adjusted revenue excluding cost-reimb…
Accumulation Zones
| Metric |
CVX |
MAR |
| Zone Low |
$127.47 |
$265.23 |
| Zone High |
$144.47 |
$300.59 |
| In Buy Zone? |
No
|
No
|