Marriott Vacations Worldwide Corporation (VAC)
$114.35+1.60%Close
BUYRECOVERY · day 11
Key stats
Short interest · FINRA settlement 2026-07-31
- Market cap
- $3.9B
- Avg volume
- 501.2K
- Beta
- 1.24
- Div yield
- 2.79%
- P/E (TTM)
- -11.95
- Short % float
- 7.59%
- Days to cover
- 5.2
- SI change
- -14.6%
- 1W
- -4.29%
- 1M
- +21.15%
- 3M
- +52.08%
- YTD
- +94.31%
- vs SPY 1W
- -3.09%
- vs SPY 1M
- +17.83%
- vs SPY 3M
- +49.69%
- vs SPY YTD
- +82.55%
Sector peers
Same-sector names ranked by LOPJLB quality proximity · Consumer Cyclical
- DCHBUYDauch CorporationRECOVERYQ 12$6.46-6.10%
- FLUTSELLFlutter Entertainment plcRECOVERYQ 24$102.58-0.03%
- NDLSSELLNoodles & CompanyCRISISQ -5$15.69+4.39%
- EVGOSELLEVgo, Inc.CRISISQ -3$1.48-1.99%
- ADNTSELLAdient plcCRISISQ -0$18.98-5.15%
- SBUXBUYStarbucks CorporationBULLQ 20$107.49+0.38%
- PACKSELLRanpak Holdings Corp.CRISISQ 6$5.03-0.98%
- KNDISELLKandi Technologies Group, Inc.RECOVERYQ 8$0.65+1.56%
- DIBSBUY1stdibs.Com, Inc.RECOVERYQ -13$4.68-1.89%
- FUNSELLSix Flags Entertainment CorporationRECOVERYQ 3$16.91+1.08%
- VEEESELLTwin Vee Powercats Co.CRISISQ -20$10.53+1.74%
- SDHCSELLSmith Douglas Homes Corp.CRISISQ -9$12.42+0.08%
Industry peers
FMP comparable companies · ranked by market cap
- CAKEBUYThe Cheesecake Factory Incorporated$5.6BBULLQ 14$113.33+1.13%
- SHOOBUYSteven Madden, Ltd.$3.4BBEARQ 18$46.08-0.37%
- OSWBUYOneSpaWorld Holdings Ltd$2.7BRECOVERYQ 17$26.68-0.64%
- SAHSELLSonic Automotive, Inc.$2.6BCRISISQ 20$77.45-2.75%
- PENNSELLPENN Entertainment, Inc.$2.5BBEARQ 16$18.64-2.09%
- HBIHanesbrands Inc.$2.3B$6.47
- MCRIBUYMonarch Casino & Resort, Inc.$2.3BRECOVERYQ 20$126.09-1.44%
- DRVNSELLDriven Brands Holdings Inc.$2.2BRECOVERYQ -12$13.17-1.06%
- FUNSELLSix Flags Entertainment Corporation$1.7BRECOVERYQ 3$16.73+1.08%
- SBETBUYSharplink, Inc.$1.6BRECOVERYQ 2$7.91+4.55%
Prediction markets
Kalshi · Polymarket · … linked
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FUNDAMENTALS
[SCORES & PROFILE]
- FUND
- 13
- VALUE
- 5
- GROWTH
- 47
- GARP
- 2
- TYPE
- Dividend Compounder (blended)
Composite of Value · Growth · GARP
ROIC-9.4%
REV YoY-
ROE-15.7%
EPS YoY-
ROA-3.5%
GROSS21
OP11
NET-7
[VALUATION]
P/E TTM-11.95
P/E FWD-
SECTOR PE66.49
INDUSTRY PE20.77
P/B1.93
P/FCF-
EV/EBITDA-138.93
EV/EBIT-
PEG-
FCF YIELD-
RISK
INT COV-
D/E265.09
ALTMAN Z-
CURR RATIO3.42
ND/EBITDA-
BETA1.24



















