VAC stock dividend – MARROTT VACATIONS WORLDWIDE Corporation Announces Quarterly Cash Dividend

December 2, 2022

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VAC Intrinsic Value – Marriott Vacations Worldwide ($NYSE:VAC) Corporation (NYSE: VAC) is a leading vacation ownership company that offers a global portfolio of quality vacation experiences. The company’s board of directors has declared a quarterly cash dividend of $0.72 per share of common stock, payable on January 5, 2021, to shareholders of record at the close of business on December 22, 2020.

The ex-dividend date is December 21, 2020. The company’s mission is to provide vacation experiences that are memorable, enriching, and valuable for everyone.

Dividends – VAC stock dividend

MARROTT VACATIONS WORLDWIDE Corporation (NYSE: VAC) announced today that it has issued a quarterly cash dividend of 2.4 USD per share for the third quarter of its 2022 fiscal year. This compares to dividends of 1.08 USD per share and 0.54 USD per share that were issued in the last two years. The company’s dividend yields from 2020 to 2022 are 0.43%, 0.68%, and 1.56%. Thus, the three-year average dividend yield is 0.89%.

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    On Thursday, MARRIOTT VACATIONS WORLDWIDE Corporation (NYSE: VAC) announced that it would be paying a quarterly cash dividend of $0.68 per share on its common stock. MARRIOTT VACATIONS WORLDWIDE is a timeshare company that develops, markets, and operates vacation ownership programs under the Marriott Vacation Club and Grand Residences by Marriott brands. Live Quote…



    VI Analysis – VAC Intrinsic Value

    VI app makes analyzing a company’s fundamentals easy and simple. The fair value of MARRIOTT VACATIONS WORLDWIDE share is around $181.7, calculated by VI Line. Now MARRIOTT VACATIONS WORLDWIDE stock is traded at $149.0, a fair price undervalued by 18%. More…

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    In the vacation ownership and timeshare industry, Marriott Vacations Worldwide Corp is one of the largest and most well-known companies.

    However, it faces stiff competition from a number of other large companies, including iGrandiViaggi SpA, Archon Corp, and Resorttrust Inc. While each of these companies has its own strengths and weaknesses, Marriott has been able to stay ahead of the competition by offering a wide variety of vacation ownership products and experiences that appeal to a broad range of customers.

    – iGrandiViaggi SpA ($LTS:0R8E)

    Hai Grandi Viaggi SpA is a company that provides travel services. It has a market capitalization of 36.65 million as of 2022 and a return on equity of 0.08%. The company offers a variety of travel-related services, including air travel, hotel accommodations, car rentals, and cruises.

    – Archon Corp ($OTCPK:ARHN)

    Archon Corporation is a holding company that operates through its subsidiaries. The Company, through its subsidiaries, is engaged in the business of real estate investment, development, management, construction, and brokerage.

    – Resorttrust Inc ($TSE:4681)

    Resorttrust Inc is a Japanese company that operates resorts and hotels. As of 2022, the company had a market capitalization of 248.83 billion yen and a return on equity of 11.02%. The company operates a total of 74 hotels and resorts, including 57 in Japan and 17 overseas. In addition to hotel and resort operations, the company also provides a range of services such as golf course management, real estate development, and food and beverage operations.

    Summary

    MARROTT VACATIONS WORLDWIDE is a leading global vacation company that offers vacation ownership, exchange, rental and resort and property management, along with related business services, products and services.

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