SEC 13F Intelligence

Grassi Investment Management / MAR

Grassi Investment Management’s Marriott Intl Inc New Position

Does Grassi Investment Management own Marriott Intl Inc New (MAR)? Yes50.0K shares worth $14M (+1.09% of its 13F portfolio) as of Q2 2025.

Position Value
$14M
Q2 2025
Shares
50.0K
% of Portfolio
+1.09%
Quarters Held
27
currently held

Position History MAR

Reported value by quarter
Q4 ’18: $6MQ4 ’18Q1 ’19: $6MQ2 ’19: $7MQ3 ’19: $6MQ4 ’19: $8MQ4 ’19Q1 ’20: $4MQ2 ’20: $4MQ3 ’20: $5MQ4 ’20: $7MQ4 ’20Q1 ’21: $7MQ2 ’21: $7MQ3 ’21: $7MQ4 ’21: $8MQ4 ’21Q1 ’22: $9MQ2 ’22: $7MQ3 ’22: $7MQ4 ’22: $7MQ4 ’22Q1 ’23: $8MQ2 ’23: $9MQ3 ’23: $10MQ4 ’23: $11MQ4 ’23Q1 ’24: $13MQ2 ’24: $12MQ3 ’24: $12MQ4 ’24: $14MQ4 ’24Q1 ’25: $12MQ2 ’25: $14Mfilingsflow.com
QuarterSharesValue% of Portfolio
Q2 202550.0K$14M+1.09%
Q1 202550.0K$12M+1.10%
Q4 202450.0K$14M+1.19%
Q3 202450.0K$12M+1.07%
Q2 202450.0K$12M+1.07%
Q1 202450.0K$13M+1.14%
Q4 202350.0K$11M+1.18%
Q3 202350.0K$10M+1.13%
Q2 202350.0K$9M+1.01%
Q1 202350.0K$8M+1.03%
Q4 202250.0K$7M+1.00%
Q3 202250.0K$7M+1.02%
Q2 202250.0K$7M+0.90%
Q1 202250.0K$9M+0.92%
Q4 202150.0K$8M+0.83%
Q3 202150.0K$7M+0.83%
Q2 202150.0K$7M+0.74%
Q1 202150.0K$7M+0.84%
Q4 202050.0K$7M+0.84%
Q3 202050.0K$5M+0.66%
Q2 202050.0K$4M+0.62%
Q1 202050.0K$4M+0.65%
Q4 201950.0K$8M+1.02%
Q3 201950.0K$6M+0.93%
Q2 201950.6K$7M+1.05%
Q1 201950.6K$6M+0.94%
Q4 201851.0K$6M+0.95%

Common-stock position only; options are excluded. Quarters where the fund filed no 13F or reported no position are absent. See Grassi Investment Management’s full portfolio or all institutional holders of MAR.