Marriott International has the following public debt issues outstanding:

Senior Notes Coupon Rate Issuance Date Maturity Date Face Value
Series C Notes 7.875% 9/15/1999 9/15/2009 (76,050,000)
Series F Notes 4.625% 6/9/2005 6/15/2012 (348,000,000)
Series G Notes 5.810% 5/11/2005 11/10/2015 (316,066,000)
Series H Notes 6.200% 6/9/2006 6/15/2016 (289,365,000)
Series I Notes 6.375% 6/25/2007 6/15/2017 (293,430,000)
Series J Notes 5.625% 10/19/2007 2/15/2013 (400,000,000)