NYSE$VAC

Marriott Vacations Worldwide Corp · Q1 2024 earnings

Q1 2024 earnings · · Investor relations

Briefing

Marriott Vacations Worldwide's financial performance decreased due to factors like the Maui wildfires and reduced exchange volumes.

Marriott Vacations Worldwide reported a decrease in net income and adjusted EBITDA for Q1 2024. While contract sales saw a slight decrease, excluding the impact of the Maui wildfires, they increased by 3%. The company reaffirms its full-year contract sales and Adjusted EBITDA guidance.

  • Consolidated Vacation Ownership contract sales decreased by 1% to $428 million, but increased 3% excluding Maui.
  • Net income attributable to common stockholders was $47 million, a decrease from $87 million in the prior year, with EPS at $1.22.
  • Adjusted EBITDA decreased by 8% to $187 million compared to the prior year.
  • The company repurchased 280 thousand shares for $24 million and paid dividends totaling $54 million.

Headline financials

Total Revenue

$1.2B

Previous: $1.17B+2.2%
EPS (adj)

$1.80

Previous: $2.54-29.1%
Capital Expenditures

-$16M

Previous: -$37M+56.8%
Free Cash Flow

$31M

Previous: $50M-38.0%
Net Income

$47M

Previous: $87M-46.0%
Operating Income

$783M

Previous: $778M+0.6%
Gross Profit

$1.15B

Previous: $1.13B+1.6%
Stock-Based Comp

$7M

Previous: $7M+0.0%

Revenue & EPS history

Marriott Vacations · Revenue · Quarterly

$1.2B

Q1 2024+2.2%vs Q1 2023
Beat estimate in 9 of 14 quarters(64%)
ActualEstimate

Revenue by segment

Marriott Vacations · $1.32B total across 5 segments · Q4 2025

  • Cost Reimbursements
    $467M
  • Sale of VO Products
    $381M
  • Management and Exchange
    $212M
  • Rental
    $171M
  • Financing
    $92M

Forward guidance

The Company provides full year 2024 guidance as reflected in the chart below.

Historical earnings impact

How earnings announcements have historically affected this stock's price.

Avg. return before/after earnings

Based on 20 quarterly earnings reports · overlaid with Q1 2024

Historical avgQ1 2024

-0.1%

Avg return

Earnings day

-1.5%

Avg return

5 days after

-0.8%

Avg return

30 days after

51%

32 / 63 earnings

Positive

+21.0%

Q3 2024

Best reaction

-26.8%

Q3 2025

Worst reaction

Earnings price reactions
QuarterReport dateReaction (Day 0)+5 days+30 days
Q1 2026+5.1%+10.0%+23.7%
Q3 2025-26.8%-30.5%-18.1%
Q2 2025-2.0%-4.7%+6.0%
Q1 2025+10.5%+24.3%+13.5%
Q4 2024-9.3%-16.8%-22.5%
Q4 2025+0.1%-14.0%-22.4%
Q3 2024+21.0%+18.7%+22.0%
Q2 2024-10.7%-17.5%-15.2%
Q1 2024+2.0%+2.4%-9.5%
Q4 2023+11.7%+10.2%+15.1%
Q3 2023-8.2%-12.1%-13.7%
Q2 2023-11.9%-11.1%-12.5%
Q1 2023-4.2%-5.2%-4.8%
Q4 2022-1.7%-1.5%-18.1%
Q3 2022-0.9%-5.7%+1.3%
Q2 2022+3.4%+7.8%+1.8%
Q1 2022-4.1%-5.7%-0.7%
Q4 2021-3.0%-3.4%-6.4%
Q3 2021-0.5%-1.3%-5.0%
Q2 2021-5.8%-9.4%-1.8%
Q1 2021-2.6%-2.6%-3.5%
Q4 2020+0.0%+6.3%+4.1%
Q3 2020+9.2%+23.0%+38.8%
Q2 2020-0.7%-5.9%+11.8%
Q1 2020+3.0%+1.6%+30.5%
Q4 2019-5.6%-2.7%-41.3%
Q3 2019+3.2%+4.8%+9.7%
Q2 2019-5.7%-17.6%-3.9%
Q1 2019-3.6%-7.1%-14.3%
Q4 2018+3.3%+1.2%-4.2%
Q3 2018-9.2%-21.2%-24.5%
Q2 2018+2.4%+3.4%+1.8%
Q1 2018-4.6%-3.0%-1.0%
Q4 2017-1.4%+2.5%-6.5%
Q3 2017+8.1%+7.2%+1.3%
Q2 2017+0.9%-1.4%+3.2%
Q1 2017+1.4%-0.5%+5.0%
Q4 2016+10.1%+4.6%+8.1%
Q3 2016-7.0%-4.2%+6.0%
Q2 2016+11.6%+16.1%+13.0%
Q1 2016-7.6%
Q4 2015+12.5%
Q3 2015-16.8%
Q2 2015-7.8%
Q1 2015+7.5%
Q4 2014-1.3%
Q3 2014+7.1%
Q2 2014+0.5%
Q1 2014+3.4%
Q4 2013+4.1%
Q3 2013+9.2%
Q2 2013-5.6%
Q1 2013+5.6%
Q4 2012-12.7%
Q3 2012+0.1%
Q2 2012+8.3%
Q1 2011+0.5%
Q1 2012+8.6%
Q2 2011+1.1%
Q4 2011+3.4%
Q3 2011-0.7%
Q1 2010-0.7%
Q4 2010-0.7%
Q3 2010
Q2 2010

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