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MARRIOTT VACATIONS WORLDWIDE Corp VAC

NYSE · stock · Real Estate Agents & Managers (For Others) · website · IPO 2011-11-08 · LEI

MARRIOTT VACATIONS WORLDWIDE Corp statistics & valuation

P / S0.6×
P / B1.6×
Net margin-6.1%
FCF margin-0.6%

Market cap as of 2026-06-29. Multiples are price-derived and refreshed daily; everything else from the latest financial reports.

Profitability & efficiency

Net margin (%)
6.10% 10.80% 1.90% 3.20% -9.50% 1.30% 8.40% 5.40% 4.40% -6.10% 2016201720182019202020212022202320242025
Gross margin (%)
2016201720182019202020212022202320242025
Operating margin (%)
2016201720182019202020212022202320242025
Return on equity (%)
13.40% 22.60% 1.60% 4.60% -10.30% 1.60% 15.70% 10.70% 8.90% -15.50% 2016201720182019202020212022202320242025
Shares outstanding
28.4M 27.7M 46.0M 44.5M 41.3M 43.3M 45.2M 43.5M 42.1M 34.9M 2016201720182019202020212022202320242025
Net debt ($)
2016201720182019202020212022202320242025
Share buybacks ($)
2016201720182019202020212022202320242025
Return on assets (%)
5.10% 8.30% 0.60% 1.50% -3.10% 0.50% 4.10% 2.60% 2.20% -3.20% 2016201720182019202020212022202320242025
Free cash flow margin (%)
5.30% 5.30% 1.90% 7.90% 8.90% 7.60% 9.80% 2.40% 3.00% -0.60% 2016201720182019202020212022202320242025
Debt / equity (×)
2016201720182019202020212022202320242025
EPS ($)
$4.29 $8.49 $1.61 $3.09 -$6.65 $1.13 $8.77 $6.28 $5.61 -$8.84 2016201720182019202020212022202320242025

Margins and returns computed from annual filings. Falling shares outstanding = buybacks; rising = dilution. Net debt = debt − cash (negative = net cash).

P / E vs its own history

MARRIOTT VACATIONS WORLDWIDE Corp trades at about 21.3× earnings — near its 10-year norm (10-year range 12.9×–143.7×, median 20.2×).

12.9× 143.7×

Shaded band = 10-year range (12.9×–143.7×); dot = today's 21.3×.

Historical P/E = month-end price near each fiscal year-end ÷ that year's EPS. A read on whether the stock is cheap or dear relative to how it has typically been valued — not a forecast.

Key ratios (by fiscal year)

RatioFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016
Net margin-6.1%4.4%5.4%8.4%1.3%-9.5%3.2%1.9%10.8%6.1%
FCF margin-0.6%3.0%2.4%9.8%7.6%8.9%7.9%1.9%5.3%5.3%
Return on assets-3.2%2.2%2.6%4.1%0.5%-3.1%1.5%0.6%8.3%5.1%
Return on equity-15.5%8.9%10.7%15.7%1.6%-10.3%4.6%1.6%22.6%13.4%

Computed from company filings · US · as of 2025-12-31. Facts plus Stocktoria's own computed scores — not investment advice.