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Marriott Vacations Worldwide

US · VAC #2379 by market cap Listed 1970
103.08 -1.49 -1.42%
Live - 5344 symbols - heartbeat 468s ago · 2026-10-08 07:40
Pre-market 103.08 0.00%
After-hours 103.08 0.00%
Overnight 103.50 +0.41%
Market cap
3.55B
P/B
1.72
EPS
-8.84
Reader sentiment Are you bullish or bearish on VAC?

Anonymous reader poll. Unscientific, not investment advice.

Marriott Vacations Worldwide shares were changing hands at 103.08, down 1.42% on the day. The company carries a market value of roughly 3.55B, the #2379 most valuable US-listed company we track. Trading at a P/E of -11.30, the stock is 242% below its own five-year norm of 7.98. Income-focused holders are looking at a trailing yield of 3.09% here. The 8 analysts covering the stock are, on balance, at Buy, targeting an average of 117.88 (+14%). Over the past year the stock has ranged from 42.68 to 130.30; it now sits 69% up that band.

✦ StockVane Quant Insights how this is computed

Quant Sentiment Bullish
  • Recent price momentum is +35.4% on average (3-month/1-year).
  • Main-fund capital flow has been a net inflow over the last 45 sessions.
  • Short interest has fallen to 5.6% of float.
  • Analyst tilt is Buy.
Quant Technical Outlook Neutral
  • Price is above its 20-day average and below its 60-day average.
  • The 20-day average is below the 60-day average, a short-term downtrend.

Computed by a StockVane algorithm from historical price, valuation and analyst data - not a person, not a forecast guarantee, and not investment advice.

Factor grades

Ranked against 977 U.S. stocks StockVane covers.

Overall D+
ValuationGrowthProfitMomentumHealthAnalyst
Valuation N/A

How expensive the stock is versus earnings, sales and its own 5-year history.

Not enough data to grade this factor.

Growth C+

How fast revenue, profit and free cash flow are compounding.

Revenue CAGR (3Y) 2.6% Better than 31%
Net income CAGR (3Y) 64.5% Better than 94%
Free cash flow CAGR (3Y) -20.6% Better than 14%
Profitability D+

How much profit the business keeps from each dollar of sales and capital.

Gross margin 37.5% Better than 41%
Operating margin 11.0% Better than 38%
Net margin -6.1% Better than 8%
Return on equity -13.9% Better than 7%
Return on invested capital -2.4% Better than 12%
Momentum A-

Recent price strength, skipping the latest month to avoid short-term noise.

3-month return 3.4% Better than 64%
6-month return 59.8% Better than 92%
12-month return (ex latest month) 61.5% Better than 85%
Distance below 52-week high 21.8% Better than 43%
Financial Health C-

Balance-sheet strength: leverage, liquidity and interest coverage.

Current ratio 3.3x Better than 85%
Debt to assets 58.2% Better than 21%
Interest coverage -0.8x Better than 10%
Free cash flow / net income 67.9% Better than 19%
Analyst View C+

What the Street thinks: share of Buy ratings and upside to the average target.

Analysts rating Buy 75.0% Better than 51%
Upside to average target 15.6% Better than 28%

Grades are relative rankings, not forecasts: A+ is the top 5% of the covered stocks on a factor, F the bottom 3%. Valuation is not adjusted for sector, so capital-light software tends to grade lower there than utilities. Recomputed every 6 hours from our market data. Not investment advice, and not tailored to your financial situation, goals, or risk tolerance.

Price chart

123.7666.48103.082026-04-092026-10-07
MA5MA10MA20MA60
— MA5 — MA10 — MA20 — MA60

Performance

1W +0.78%
1M -2.55%
3M +4.58%
6M +61.57%
YTD +84.10%
1Y +66.15%
3Y +23.81%
5Y -25.60%

Key statistics

Price & volume

Prev close
104.57
Open
103.05
Day range
101.85 - 103.51
Avg price
102.88
Volume
243.11K
Turnover
25.01M
Amplitude
1.58%
52-week range
42.68 - 130.30

Valuation

P/E
-11.66
P/E (TTM)
-11.14
P/B
1.72
EPS
-8.84
Net profit
-304.05M
Net assets
2.06B

Share structure

Market cap
3.55B
Float cap
3.01B
Shares out
34.40M
Float shares
29.18M

Dividend & listing

Dividend (TTM)
3.19
Listing date
1970-01-01
52-week range 69% of range
42.68 130.30

20.9% below the 52-week high

Trading activity

Net capital flow main funds, last 45 sessions

+2.22M net over the window

Short interest

Shares short
1.93M
As of
2026-09-15

Frequently asked questions

What is the current stock price of Marriott Vacations Worldwide (VAC)?

Marriott Vacations Worldwide last traded at 103.08. The quote on this page refreshes every few seconds while US markets are open.

What is Marriott Vacations Worldwide's market cap?

About 3.55B.

What is the P/E ratio of Marriott Vacations Worldwide?

The trailing twelve-month P/E is -11.14, below its own 5-year average of 7.98 — toward the bottom of its historical range (9.26% percentile). See the Valuation tab for the full history.

Does Marriott Vacations Worldwide pay a dividend?

Yes. The trailing dividend yield is 3.09%. The 2025 payout was up 3.3% from 2024. See the Dividends tab for the full payment history.

Is Marriott Vacations Worldwide a buy according to analysts?

The consensus of 8 analysts is a Buy rating, with an average 12-month price target of 117.88, which implies 14.4% upside from the current price. This is not investment advice.

What is Marriott Vacations Worldwide's StockVane Quant Rating?

The StockVane Momentum strategy currently rates Marriott Vacations Worldwide a B (Buy). Twelve-month momentum in the top 15% of the universe, above its 200-day average. Not investment advice.

Quote time 2026-10-08 07:40:24 · For reference only, not investment advice and not tailored to your situation.