Marriott prices USD 1.25 billion bond offering
MAR•Marriott prices two-tranche senior notes offering
Marriott priced a USD 1.25 billion two-tranche senior notes offering, issued Aug. 13, 2026.
- USD 250 million 4.875% Series NN Notes due 2029; additional issuance of the existing Series NN.
- USD 1 billion 5.65% Series YY Notes due 2036.
- Net proceeds: about USD 1.23 billion.
- Proceeds earmarked for general corporate purposes, including working capital, capital spending, acquisitions, buybacks, and debt repayment.




