Vail Resorts, Inc.

Symbol: MTN

NYSE

224.94

USD

Market price today

  • 30.8222

    P/E Ratio

  • -1.4934

    PEG Ratio

  • 8.54B

    MRK Cap

  • 0.04%

    DIV Yield

Vail Resorts, Inc. (MTN) Stock Split, History Data

Working capital analysis

In terms of working capital, Vail Resorts, Inc. maintains a healthy position. The total current assets of the company are valued at $1208111000. This represents a growth rate of -32.565% compared to the previous year. Breaking down the current assets, the cash and investments are worth $562975000, exhibiting a growth rate of -49.164% year-on-year. The receivables, another significant portion of the current assets, are valued at $381067000. The year-on-year growth rate for receivables is -0.615%. The inventory, which forms a critical part of the assets, is valued at $132548000. This represents a healthy year-on-year growth of 21.913% On the liabilities side, the company's current liabilities total $1130695000. This reflects a growth rate of 1.786% over the previous year, indicating the company's financial obligations are well under control.

202320222021202020192018
Cash and investments
562.98
1107.43
1243.96
390.98
108.85
178.15
Receavebles
381.07
383.43
345.41
106.66
270.90
230.83
Inventory
132.55
108.72
80.32
101.86
96.54
85.59
Other
121.40
173.28
61.29
54.48
42.12
37.28
Total Current Assets
1208.11
1791.53
1745.59
665.09
527.94
538.74
Acc Payable
148.52
151.26
98.26
59.69
96.38
80.79
Short Term Debt
106.06
97.97
148.78
100.28
48.52
38.45
Other Current Liab
303.51
350.32
274.90
187.09
238.57
192.27
Current Liabilities
1130.69
1110.85
978.40
603.47
719.13
593.62

Capital Structure

When examining the capital structure of Vail Resorts, Inc., it is clear that the company manages a robust portfolio. The value of their total assets clocks in at $5847664000. When juxtaposed with the previous year, this marks a growth rate of -10.926%, showcasing the company's ability to steadily grow its asset base. Turning to liabilities, the company has total liabilities amounting to $4696999000. Compared to the prior year, this reflects a growth rate of -1.893%. The long-term debt forms a sizable part of these liabilities, coming in at $2721598000. Over the last year, the long-term debt has grown by -8.491%. On the asset side, the cash and equivalent reserves are worth $825492000. The year-on-year growth of these reserves is -36.268%. The company's common stock, another important asset, holds a value of $469000, growing at a rate of 0.214% from the previous year. Finally, the company's retained earnings stand at $760820000, marking a growth rate of -9.164% year-over-year. These earnings represent the profits that Vail Resorts, Inc. has chosen to reinvest in the business rather than distribute as dividends.

Total Assets

$5,847.66

Total liabilities

$4,696,999,000.00

Long term debt

$2,721.60

Cash and eqv

$825,492,000.00

Goodwill

$1,699.91

Retained earnings

$760,820,000.00

Common stock

$0.20

Enterprise Value

$6.38

Historical dividend key summary

Vail Resorts, Inc.'s dividend per share is $8.4, showing the earnings shared with shareholders per share. It has grown by -47.095% this year, suggesting that the company is generating increased income for shareholders and expecting future earnings growth.

YearsQ1Q2Q3Q4Total
20242.0602.2200.0000.0004.280
20231.9102.0602.0602.0608.090
20220.8801.9101.9101.9106.610
20210.0000.0000.0000.8800.880
20201.7601.7600.0000.0003.520
20191.4701.7601.7601.7606.750
20181.0531.4701.4701.4705.463
20170.8101.0531.0531.0533.969
20160.6230.8100.8100.8103.053
20150.4150.6230.6230.6232.283
20140.2070.4150.4150.4151.452
20130.0000.2070.2070.2070.621
20120.1500.1880.1880.1880.713
20110.0000.0000.1500.1500.300

Net earnings per share (EPS)

Vail Resorts, Inc. has an EPS of $5.78, which signifies the profit allocated per share of common stock. With a growth rate of 6.642% this year, it indicates the company's increasing profitability and potential for share value growth. This trend signals robust financial performance and future potential.

YearsQ1Q2Q3Q4Total
2024-5.78--5.78
2023-4.65.178.2-3.355.42
2022-3.565.519.4-2.738.62
2021-3.443.676.82-3.493.56
2020-3.825.123.79-3.821.27
2019-2.645.127.26-2.227.52
2018-2.665.826.34-2.077.43
2017-0.713.724.52-1.436.10
2016-1.73.234.35-1.814.07
2015-1.633.193.67-1.923.31
2014-1.771.643.26-2.081.05
2013-2.041.692.72-1.670.70
2012-1.71.292.21-1.510.29
2011-1.541.522.13-1.490.62
2010-1.21.122.01-1.170.76
2009-1.141.661.69-1.071.14
2008-0.931.322.26-0.32.35
2007-0.631.372.02-0.881.88
2006-0.931.151.78-0.811.19
2005-0.930.911.64-1.010.61
2004-0.89-0.191.77-1.06-0.37
2003-0.720.480.95-1.04-0.33
2002-0.710.651.34-1.070.21
2001-0.70.461.17-0.630.30
2000-0.610.321.24-0.460.49
1999-0.650.480.87-0.390.31
1998-0.590.761.21-0.490.89
1997-0.29-1.38-0.40.69
1996-0.470.23--0.44-0.68

Vail Resorts, Inc. (MTN) stock split history

Understanding the historical stock splits of Vail Resorts, Inc. (MTN) provides insights into its past financial decisions and investor sentiment. A stock split occurs when a company increases its share count by dividing its existing shares. The most recent split took place on November 06, 2008 with a ratio of 1:1. Throughout its history, the company has undergone 1 stock splits. Below, we delve deeper into this history, highlighting past financial strategies.

DateSplit Ratio
06 November 20081:1

Frequently Asked Question

What is the latest historical split date of the company?

The latest historical split date is N/A.

What is firm free cah flow per share (FCF per share)?

The free cah flow per share (FCF per share) is 9.655.

What is company revenue per share?

The company revenue per share is 0.172.

What are firm earnings per share?

The firm earnings per share is 0.696.

What is Vail Resorts, Inc. (MTN) ROIC (return on capital)?

Vail Resorts, Inc. (MTN) ROIC (return on capital) is 0.106.

What is dividend per share figure?

The dividend per share is 8.400

What is enterprise plowback ratio?

Vail Resorts, Inc. (MTN) plowback ratio is N/A

What is firm enterprise value (EV)?

The enterprise value (EV) is 6.385

What is company debt to equity ratio?

The debt to equity ratio is 3.409

What are debt ratio numbers?

The debt ratio is 0.484

What is company price to sales ratio?

The price to sales ratio is 2.603