HGV · Hilton Grand Vacations Inc. · Metrics
$34.83
+0.17 (+0.49%)
At close · Oct 1
Return incl. dividend (before tax)
Market Cap
$2.78B
Shares
77.72M
Volume · Oct 1
1.45M
Avg daily vol (3M)
1.11M
HGV metrics
76 of 115 screener metrics currently available.
Market overview
2 metricsShare price
$34.83
Market cap
$2.78B
Price action
20 metricsPrice change (1W)
-2.6%
Price change (30D)
-15.9%
Price change (3M)
-32.7%
Price change (6M)
-14.3%
Price change (YTD)
-22.5%
Price change (1Y)
-17.1%
Trailing year
Price change (5Y)
-27.1%
52-week high
$54.69
52-week low
$34.66
Change from 52-week high
-36.6%
Change from 52-week low
+0.0%
Annualized volatility
39.7%
Annualized volatility (3M)
40.8%
Beta
1.2
RSI (14D)
24.4
Price vs SMA 50
-18.7%
Price vs SMA 200
-24.2%
Avg volume (3M)
1.11M
Relative volume
0.9
Average dollar volume
$48.93M
Company
3 metricsSector
Consumer Cyclical
Industry
Resorts & Casinos
Shares outstanding
77.72M
Valuation
12 metricsP / E (TTM)
19.8
Trailing earnings · reciprocal yield 5.0%
PEG ratio
—
EV / revenue
1.4×
reciprocal yield 71.4%
EV / EBITDA
—
EV / EBIT
—
P / sales
0.5×
reciprocal yield 189.8%
P / book
2.5
reciprocal yield 39.6%
FCF yield
14.9%
TTM · current market cap
Buyback yield
21.6%
P / FCF
6.7
reciprocal yield 14.9%
P / operating cash flow
6.0
reciprocal yield 16.7%
Earnings yield
5.4%
Historical valuation
8 metricsP / E historical average (3Y)
41.1×
reciprocal yield 2.4%
P / E historical average (5Y)
36.3×
reciprocal yield 2.8%
EV / revenue historical average (3Y)
1.7×
reciprocal yield 58.1%
EV / revenue historical average (5Y)
2.1×
reciprocal yield 48.2%
EV / EBIT historical average (3Y)
—
EV / EBIT historical average (5Y)
—
EV / EBITDA historical average (3Y)
—
EV / EBITDA historical average (5Y)
—
Dividends & buybacks
7 metricsDividend yield
—
Trailing 12 months
Payout ratio
—
Shareholder yield
21.6%
Dividend / share (TTM)
—
Dividend growth YoY
—
Dividend growth streak
—
Last ex-dividend
—
Earnings calendar
2 metricsNext earnings
—
Last earnings
2026-07-30
Profitability
9 metricsGross margin
—
Operating margin
—
Trailing 12 months
Net margin
2.9%
Gross profit (TTM)
—
Operating profit (TTM)
—
Net income (TTM)
$151.00M
Trailing 12 months
Diluted EPS (TTM)
$1.75
FCF margin
7.8%
Effective tax rate
29.4%
Growth
11 metricsRevenue growth YoY
+7.3%
Year over year
Net income growth YoY
-52.0%
Revenue (TTM)
$5.28B
Trailing 12 months
EPS growth YoY
-40.0%
Shares change YoY
-12.3%
Year over year · fewer shares
Revenue CAGR (3Y)
+9.6%
Revenue CAGR (5Y)
+41.4%
EPS CAGR (3Y)
-32.8%
EPS CAGR (5Y)
—
FCF CAGR (3Y)
-30.6%
FCF CAGR (5Y)
+26.5%
Quality
14 metricsReturn on equity
13.7%
Return on assets
1.2%
Debt / equity
4.4
Current ratio
—
EBITDA (TTM)
—
Free cash flow (TTM)
$413.00M
Quick ratio
—
Interest coverage
—
Net debt / EBITDA
—
Return on invested capital
—
Trailing 12 months
Net cash
−$4.60B
Latest balance sheet
Cash & equivalents
$272.00M
Total assets
$12.23B
Total debt
$4.88B
Cash flow & spend
7 metricsOperating cash flow (TTM)
$463.00M
Capital expenditures (TTM)
$50.00M
R&D (TTM)
—
SG&A (TTM)
—
Stock compensation (TTM)
$65.00M
R&D / revenue
—
Stock compensation / revenue
1.2%
Ownership (13F)
3 metrics13F filers
303
13F filer change QoQ
+38
Institutional ownership
108.5%
Short interest
3 metricsShort interest
9.7%
Latest settlement · 8.1 days to cover
Days to cover
8.1d
Short-squeeze score
66 / 100
Insider activity
2 metricsNet insider buying (90D)
−$970,408
Insider-sentiment score
38 / 100
Risk flags
1 metricsGoing concern
—