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Vail Resorts Inc.

MTN | NYSE
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$140.43
+$0.63 (+0.45%)
At close: Sep 21, 2026, 4:00 PM ET
$140.43
$0 (0.00%)
After-hours: Sep 21, 2026, 5:55 PM ET
Fiscal Year
Period Ending
FY 2025
Jul 30, 2025
FY 2024
Jul 30, 2024
FY 2023
Jul 30, 2023
FY 2022
Jul 30, 2022
FY 2021
Jul 30, 2021
FY 2020
Jul 30, 2020
Net Income
297.98M 246.28M 285.1M 368.34M 124.46M 109.06M
Depreciation & Amortization
296.44M 276.49M 268.5M 252.39M 252.59M 249.57M
Stock-Based Compensation
33.96M 26.8M 25.41M 24.89M 24.4M 21.02M
Other Working Capital
-38.88M -60.18M 8.95M 120.46M 222.83M -106.38M
Other Non-Cash Items
-26.57M 49.84M 54.22M -20.2M 12.54M 21.21M
Deferred Income Tax
-20.95M 12.1M 24.07M -9.39M -16.14M 17.44M
Change in Working Capital
-25.99M -24.73M -17.73M 94.48M 127.41M -23.35M
Operating Cash Flow
554.87M 586.77M 639.56M 710.5M 525.25M 394.95M
Capital Expenditures
-235.19M -211.2M -314.91M -192.82M -115.1M -172.33M
Cash Acquisitions
n/a -94.36M 75.94M -230.75M n/a -327.56M
Purchase of Investments
n/a n/a -86.76M n/a n/a n/a
Sales Maturities Of Investments
n/a 57.65M 37.98M n/a n/a n/a
Other Investing Acitivies
30.69M 6.84M 14.58M 75.65M 11.77M 7.15M
Investing Cash Flow
-204.5M -241.07M -273.17M -347.92M -103.33M -492.74M
Debt Repayment
402.78M -55.86M -73.89M -146.63M 494.62M 686.35M
Common Stock Repurchased
-270M -150M -500M -75.01M n/a -46.42M
Dividend Paid
-328.17M -323.68M -314.35M -225.79M n/a -212.73M
Other Financial Acitivies
-39.22M -45.25M -27.47M -8.41M -20.87M -50.97M
Financial Cash Flow
-242.65M -574.79M -915.71M -493.14M 434.66M 376.23M
Net Cash Flow
119.36M -236.03M -553.01M -132.47M 856.49M 283.7M
Free Cash Flow
319.68M 375.58M 324.65M 517.68M 410.15M 222.62M
Adj. Free Cash Flow
285.72M 348.77M 299.24M 492.8M 385.76M 201.6M
Maintenance CapEx
-159.24M -211.2M n/a n/a -115.1M -172.33M
Growth CapEx
-75.95M n/a -314.91M -192.82M n/a n/a
Owner Earnings
395.63M 375.58M 639.56M 710.5M 410.15M 222.62M

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