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VACMarriott Vacations Worldwide Corporation
$97.97$3.4B
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  3. Financial Ratios
  4. Quarterly

Marriott Vacations Worldwide Corporation (VAC) Quarterly Financial Ratios

Last 47 quarters of trend data · Consumer Cyclical · Gambling, Resorts & Casinos

← View 30-Year Annual Ratios

Valuation Multiples

Quarterly valuation ratios — annualised for comparability. YoY Δ shows same-quarter-prior-year change.

Marriott Vacations Worldwide Corporation's quarterly P/E stands at 25.8x, up 133.3% year-over-year — indicating the stock has re-rated higher or earnings have softened. EV/EBITDA has compressed 46.3% YoY to 5.6x, reflecting multiple compression or accelerating EBITDA.

MetricTTMQ1 '26Q4 '25Q3 '25Q2 '25Q1 '25Q4 '24Q3 '24Q2 '24Q1 '24Q4 '23Q3 '23Q2 '23
P/E Ratio →-11.1025.84——10.2111.0817.148.6722.2821.9022.8223.0814.14
—+133.3%——-54.2%-49.4%-24.9%-62.5%+57.6%+33.1%+39.0%+91.7%+44.5%
P/S Ratio0.670.450.380.720.610.560.710.590.810.950.761.471.63
—-19.6%-46.6%+20.7%-25.1%-40.9%-5.7%-59.6%-50.5%-48.9%-56.6%+38.8%+1.5%
P/B Ratio1.721.141.010.941.211.111.551.281.551.911.511.812.17
—+3.0%-34.8%-26.3%-21.9%-42.0%+2.3%-29.3%-28.4%-20.8%-34.6%-10.2%+10.2%
P/FCF———11.39——10.9913.3354.19—15.8211.7126.35
———-14.6%——-30.5%+13.8%+105.7%—+23.6%+32.0%+46.3%
EV / EBITDA11.925.6310.4013.1710.8410.4812.512.1814.5213.3311.9413.4110.49
—-46.3%-16.8%+504.1%-25.3%-21.4%+4.7%-83.7%+38.4%+10.4%+24.9%+53.0%+16.9%
EV / EBIT15.135.63—1896.9915.0613.7322.4712.9523.9319.8314.9721.6814.52
—-59.0%—+14551.9%-37.0%-30.8%+50.1%-40.3%+64.8%+17.5%+17.0%+82.0%+23.9%

Profitability

Quarterly margins and returns. Watch for margin compression across consecutive quarters.

Marriott Vacations Worldwide Corporation's operating margin was 8.9% in Q1 2026, down 1.2 pp QoQ and down 3.4 pp YoY. This marks the 3rd consecutive quarter of margin compression, signaling a persistent pressure on profitability that investors should monitor. The trailing four-quarter average of 11.1% exceeds the current quarter, suggesting the latest result may reflect seasonal weakness or a one-off headwind. Gross margin expanded 149.5% YoY, indicating pricing power or improving input costs.

Margins

MetricTTMQ1 '26Q4 '25Q3 '25Q2 '25Q1 '25Q4 '24Q3 '24Q2 '24Q1 '24Q4 '23Q3 '23Q2 '23
Gross Margin15.1%100.0%14.7%48.4%39.1%40.1%36.3%91.3%37.7%39.0%39.1%53.7%58.4%
—+149.5%-59.6%-47.0%+3.6%+2.8%-7.1%+70.1%-35.5%-33.4%-35.0%+23.4%-5.4%
Operating Margin11.0%8.9%10.1%13.1%12.1%12.3%10.5%69.1%10.1%11.9%11.9%18.8%25.6%
—-27.8%-3.3%-81.1%+20.1%+3.8%-11.9%+266.8%-60.7%-50.5%-57.9%-2.9%-10.6%
Net Margin-6.1%1.8%-32.6%-0.2%5.5%4.7%3.8%6.4%3.2%3.9%2.9%5.7%10.9%
—-62.5%-964.6%-103.8%+70.6%+18.7%+28.5%+13.9%-70.3%-63.7%-72.3%-35.1%-32.5%

Return on Capital

MetricTTMQ1 '26Q4 '25Q3 '25Q2 '25Q1 '25Q4 '24Q3 '24Q2 '24Q1 '24Q4 '23Q3 '23Q2 '23
ROE-13.9%1.1%-19.3%-0.1%2.8%2.3%2.1%3.5%1.6%2.0%1.5%1.7%3.6%
—-51.9%-1039.7%-102.3%+80.1%+16.3%+40.9%+104.1%-57.1%-43.5%-57.5%-57.6%-25.7%
ROA-3.1%0.2%-4.3%-0.0%0.7%0.6%0.5%0.9%0.4%0.5%0.4%0.4%0.9%
—-60.1%-946.4%-102.3%+83.8%+18.3%+39.8%+95.7%-59.7%-46.8%-60.8%-62.2%-34.7%
ROIC5.7%1.9%1.4%1.0%1.5%1.5%1.4%9.1%1.2%1.4%1.5%1.4%2.1%
—+30.0%-2.1%-88.6%+28.1%+2.2%-4.5%+536.0%-45.8%-28.2%-42.0%-44.6%-15.3%

Leverage & Debt

Quarterly solvency trend — watch for debt spikes or covenant pressure.

The current ratio has weakened 39.4% YoY to 1.85x, tightening the short-term liquidity position.

MetricTTMQ1 '26Q4 '25Q3 '25Q2 '25Q1 '25Q4 '24Q3 '24Q2 '24Q1 '24Q4 '23Q3 '23Q2 '23
Debt / Equity2.89—2.892.332.172.182.142.192.212.222.162.152.08
——+34.9%+6.5%-1.7%-2.2%-0.9%+1.5%+6.2%+6.3%+7.4%+20.9%+20.9%
Debt / EBITDA8.18—34.0439.8528.4928.4829.695.6434.8829.3828.9029.9821.00
——+14.7%+607.2%-18.3%-3.1%+2.7%-81.2%+66.1%+27.5%+54.7%+76.9%+21.6%
Current Ratio17.741.8517.743.893.513.063.143.433.293.043.054.454.77
—-39.4%+464.4%+13.4%+6.8%+0.5%+3.2%-22.9%-31.1%-31.7%+0.4%+8.1%+9.9%
Quick Ratio17.740.9314.453.222.872.502.582.772.732.552.563.683.92
—-62.9%+460.2%+16.0%+5.2%-1.9%+0.9%-24.6%-30.5%-30.2%+0.9%+9.9%+11.9%
Interest Coverage-0.772.02-10.270.023.243.552.513.952.123.023.642.974.92
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Includes 30+ ratios · 47 years · Updated daily

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VAC — Frequently Asked Questions

Quick answers to the most common questions about buying VAC stock.

What is Marriott Vacations Worldwide Corporation's quarterly P/E ratio trend?

Marriott Vacations Worldwide Corporation's current P/E is -11.1x. The average P/E over the last 2 quarters is 18.0x. Quarterly P/E ratios can vary due to seasonal revenue patterns and one-time charges.

How do Marriott Vacations Worldwide Corporation's margins change by quarter?

Marriott Vacations Worldwide Corporation's current operating margin is 11.0%. Margins have been compressing over recent quarters. Quarterly margins are particularly useful for identifying trend inflections that annual data smooths over.

Why look at VAC quarterly ratios instead of annual?

Quarterly financial ratios reveal short-term trend shifts — margin compression, debt spikes, or valuation re-ratings — that annual figures smooth over. They're essential for active investors tracking Marriott Vacations Worldwide Corporation's business trajectory between earnings reports.