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Marriott (MAR -1.7%) moves lower after suffering three separate downgrades to Neutral/Hold from...

Marriott (MAR -1.7%) moves lower after suffering three separate downgrades to Neutral/Hold from Buy at UBS, Lazard and ISI Group (I, II, III). The negative views are based on expected incrementally softer growth for FY13, Q3 below midpoint of guidance, limited upside to Q4 RevPAR +6% estimate, and the stock's 33% gain YTD vs. S&P +16%.
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