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Marriott Vacations Worldwide Corporation

ID: VAC SECTOR: Consumer Cyclical INDUSTRY: Gambling, Resorts & Casinos
68.32
+0.36 (0.53%)
Ref: 2026-04-13
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Dividend Discount Models Snapshot

ModelRangeSelected
Stable Growth DDM $0.00 $-328.96
Multi-Stage DDM $-129.87 - $-141.95 $-135.80
Blended Fair Value $-232.38
Stock Price$68.59

Dividend History (Last 10 Years)

Metric 2025202420232022202120202019201820172016
DPS 0.0002.5422.4372.1900.5311.0881.8201.5001.3721.203
YoY % -100.00%4.30%11.26%312.34%-51.19%-40.22%21.35%9.34%14.02%62.66%
Yield 0.00%3.71%3.55%3.19%0.77%1.59%2.65%2.19%2.00%1.75%

CAGRValue
5 Year-100.00%
10 Year-100.00%

Discounted Dividend Model - Stable Growth

MetricRangeSelected
LT Growth 5.50% to 7.50% 6.50%
WACC9.00%9.00%
Fair Value $-212.81 - $-585.04 $-328.96

Calculation Details (Millions)

MetricLOWBASEHIGH
Required Retention Ratio 20.0% 12.5% 7.5%
(*) Adjusted Net Income -308.00 -308.00 -308.00
(=) Cash Required -61.60 -38.50 -23.10
(=) Excess Retained per Share -7.06 -7.72 -8.16
LTM Dividend per Share 0.000 0.000 0.000
(=) Adjusted Dividend -7.060 -7.722 -8.163

Multi-Stage Projections (BASE Case - Millions)

MetricTTMYear 1Year 2Year 3Year 4Year 5
Net Income -308.00 -328.02-349.34-372.05-396.23-421.99
Projected Dividends 0.00 -82.01-143.23-212.07-289.25-379.79

Multi-Stage Valuation (Millions)

Present ValuesLOWBASEHIGH
Year 1 PV -77.81 -78.55 -79.28
Year 2 PV -123.51 -125.86 -128.24
Year 3 PV -166.19 -170.97 -175.83
Year 4 PV -206.01 -213.93 -222.08
Year 5 PV -245.83 -257.70 -270.03
TV PV -3,713.07 -3,892.42 -4,078.62
Equity Value -4,532.43 -4,739.43 -4,954.09
Fair Value $-129.87 $-135.80 $-141.95

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