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PK Overview

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$
0.000
0.000(0.000%)
At close
0.000(0.000%)Aft-market
ET
$
0.000
0.000(0.000%)
At close
0.000(0.000%)Aft-market
ET
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Intellectia

Loading chart...

High
10.635
Open
10.500
VWAP
10.50
Vol
3.48M
Mkt Cap
2.12B
Low
10.320
Amount
36.58M
EV/EBITDA(TTM)
10.07
Total Shares
201.26M
EV
5.67B
EV/OCF(TTM)
14.25
P/S(TTM)
0.83
Park Hotels & Resorts Inc. is a lodging real estate investment trust (REIT) with a portfolio of hotels and resorts. Its portfolio consists of approximately 34 hotels and resorts with 23,000 rooms, located in the United States. It operates the business through three operating segments, which include Core hotels, consolidated Non-Core hotels and unconsolidated hotels. Its Core hotels are located in urban and convention areas, such as New York City, Washington, D.C., Chicago, Boston, New Orleans and Denver; and premier resorts in leisure destinations, including Hawaii, Orlando, Key West and Miami Beach; as well as hotels in select airport and suburban locations. Its Core Hotels include Hilton Hotels & Resorts, Hyatt Regency, Signia by Hilton, DoubleTree by Hilton, DoubleTree by Hilton, Marriott Tribute Portfolio and JW Marriott. Its Non-Core Hotels include Marriott, Marriott Tribute Portfolio and Embassy Suites by Hilton.
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Events Timeline

(ET)
2026-02-19
16:20:00
Hilton Reports Q4 Revenue of $629M, Beating Expectations
select
2026-02-19
16:20:00
Sees FY26 Adjusted EBITDA at $580M-$610M
select
2025-12-09 (ET)
2025-12-09
06:40:00
Park Sells Five Non-Core Hotels for Anticipated Gross Proceeds of $198 Million
select

News

Newsfilter
9.5
03-13Newsfilter
Park Hotels & Resorts to Report Q1 2026 Financial Results
  • Earnings Report Schedule: Park Hotels & Resorts plans to release its Q1 2026 financial results after market close on April 30, 2026, highlighting the company's operational performance and outlook in the current economic environment.
  • Conference Call Timing: The company will hold a conference call on May 1, 2026, at 11:00 a.m. Eastern Time to discuss the earnings results and business outlook, which is expected to attract significant attention from investors and analysts.
  • Participation Details: Participants can join the call by dialing 877-451-6152 or 201-389-0879 for international calls, with a recommendation to dial in 10 minutes early to ensure smooth access and enhance investor engagement.
  • Webcast Availability: The meeting will be available via webcast on the company's website, requiring participants to register 10 minutes prior, and a replay will be archived in the Investor Relations section for later viewing and analysis.
Benzinga
6.5
03-09Benzinga
Investors Flock to High-Yield Dividend Stocks Amid Market Uncertainty
  • Investment Strategy in Turbulent Markets: During periods of market turbulence and uncertainty, many investors are turning to high-dividend stocks, which typically possess high free cash flows and reward shareholders with substantial dividends, thereby enhancing investor confidence and market stability.
  • Real Estate Sector Performance: Analyst ratings for three high-yielding real estate stocks, Park Hotels & Resorts Inc (NYSE:PK), Highwoods Properties Inc (NYSE:HIW), and Easterly Government Properties Inc (NYSE:DEA), indicate strong performance in the current market environment, attracting increased investor interest.
  • Analyst Accuracy: The ratings for these stocks come from the most accurate analysts, suggesting that in uncertain market conditions, investors are more inclined to rely on professional analysts' advice to mitigate investment risks and enhance return potential.
  • Dividend Appeal: High-dividend stocks not only provide stable cash flows but also offer a safety margin during market fluctuations, making these stocks increasingly important in investment portfolios.
Benzinga
6.5
02-24Benzinga
Success of Price-to-Tangible-Book Value Investing
  • Long-Term Return Advantage: Since 1980, Donald Smith & Co.'s investment strategy has achieved a 16.8% compound annual return by focusing on companies in the lowest decile of price-to-tangible-book ratios, significantly outperforming the overall lowest decile's 13.4% and the S&P 500's 12.1%, demonstrating the effectiveness of their long-term investment approach and market recognition potential.
  • Philosophical Foundation: Founder Donald G. Smith was influenced by Benjamin Graham during his time at UCLA Law School, establishing an investment framework centered on buying companies with the lowest price-to-tangible-book value, emphasizing fundamental analysis and patient holding to avoid short-term market fluctuations.
  • Asset Allocation Strategy: Currently managing over $5 billion in assets, Donald Smith & Co. employs a concentrated investment strategy with individual positions capped at 5% and industry exposure generally limited to around 20%, ensuring stable portfolio performance amid market volatility.
  • Current Investment Targets: Recent 13F filings reveal significant positions in asset-heavy companies like West Fraser Timber, Brazilian steel producer Gerdau, and Harley-Davidson, all trading at substantial discounts, reflecting their deep conviction in cyclical asset investing and expectations for market recovery.
Benzinga
6.5
02-23Benzinga
Dividend Stocks Favored Amid Market Turbulence
  • Attraction of Dividend Stocks: During turbulent and uncertain market conditions, many investors are turning to dividend-yielding stocks, which typically have high free cash flows and reward shareholders with substantial dividends, highlighting their defensive characteristics in unstable markets.
  • Real Estate Sector Performance: Analyst ratings for three high-yielding real estate stocks indicate a growing interest in these equities, particularly as economic uncertainty increases, leading investors to prefer stable income sources.
  • Analyst Ratings: Brandywine Realty Trust (NYSE: BDN), Park Hotels & Resorts Inc (NYSE: PK), and SL Green Realty Corp (NYSE: SLG) are currently recommended high-yield stocks by analysts, reflecting market confidence in these companies.
  • Investor Strategy Adjustment: As market volatility intensifies, investors may reassess their portfolios to increase allocations to dividend stocks in search of stable cash flows and risk hedging, further driving demand for these equities.
seekingalpha
9.5
02-20seekingalpha
Park Hotels & Resorts Q4 2025 Earnings Call Highlights
  • Strategic Progress: CEO Thomas Baltimore highlighted significant advancements in 2025, particularly in reshaping and upgrading the portfolio, with high-impact redevelopment projects expected to yield over $1 billion in ROI.
  • Non-Core Asset Dispositions: The company has sold or disposed of 51 hotels for over $3 billion in the past nine years, and despite a challenging transaction environment, has disposed of 13 hotels since 2023, driving nearly 8% growth in portfolio-wide nominal RevPAR.
  • Strong Core Hotel Performance: In Q4, RevPAR for core hotels increased by 3.2% year-over-year, or 5.7% excluding the Royal Palm, while the adjusted EBITDA margin for core hotels expanded to 30%, demonstrating continued returns from investments in high-quality assets.
  • Cautious 2026 Outlook: The CFO projected flat to 2% growth in RevPAR for 2026, with adjusted EBITDA forecasted between $580 million and $610 million, reflecting the company's cautious stance amid macroeconomic uncertainties.
seekingalpha
8.0
02-20seekingalpha
Park Hotels & Resorts Declares $0.25 Quarterly Dividend
  • Quarterly Dividend Declaration: Park Hotels & Resorts has declared a quarterly dividend of $0.25 per share, consistent with previous distributions, indicating the company's stable cash flow and shareholder return strategy, which is likely to attract more investor interest.
  • Earnings Beat Expectations: The company reported a funds from operations (FFO) of $0.51, exceeding expectations by $0.05, suggesting improved operational efficiency and potentially boosting market confidence in its future growth prospects.
  • Revenue Growth: Park Hotels achieved revenue of $629 million, surpassing market expectations by $6.7 million, reflecting strong performance in the hotel sector and a recovery in market demand, further solidifying its market position.
  • Asset Disposition: The company sold five non-core hotels for $198 million, a strategic move that helps optimize its asset portfolio, freeing up capital for more promising investment opportunities and enhancing overall financial flexibility.
Wall Street analysts forecast PK stock price to rise
7 Analyst Rating
Wall Street analysts forecast PK stock price to rise
2 Buy
5 Hold
0 Sell
Moderate Buy
Current: 0.000
sliders
Low
10.50
Averages
11.93
High
14.00
Current: 0.000
sliders
Low
10.50
Averages
11.93
High
14.00
Truist
Hold
maintain
$11 -> $12
AI Analysis
2026-03-26
Reason
Truist
Price Target
$11 -> $12
AI Analysis
2026-03-26
maintain
Hold
Reason
Truist raised the firm's price target on Park Hotels & Resorts to $12 from $11 and keeps a Hold rating on the shares. Truist updated estimates and targets in the lodging and leisure sector following the Q4 reports.
Ladenburg
NULL
to
Buy
initiated
$16
2026-03-26
Reason
Ladenburg
Price Target
$16
2026-03-26
initiated
NULL
to
Buy
Reason
Ladenburg initiated coverage of Park Hotels & Resorts with a Buy rating and $16 price target.
Unlock Full Analyst Thesis, Get the complete breakdown of rating reason for PK
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Valuation Metrics

The current forward P/E ratio for Park Hotels & Resorts Inc (PK.N) is 30.95, compared to its 5-year average forward P/E of 18.46. For a more detailed relative valuation and DCF analysis to assess Park Hotels & Resorts Inc's fair value, Click here.

Forward PE

The forward P/E ratio is a valuation metric that divides a company's current stock price by its estimated future earnings per share over the next 12 months.
StronglyUndervaluedUndervaluedFairOvervaluedStronglyOvervalueddotted line Image
N/A
5Y Average PE
18.46
Current PE
30.95
Overvalued PE
65.04
Undervalued PE
-28.12

Forward EV/EBITDA

The forward EV/EBITDA ratio is a valuation metric that divides a company's enterprise value (EV) by its estimated future earnings before interest, taxes, depreciation, and amortization (EBITDA) over the next 12 months.
StronglyUndervaluedUndervaluedFairOvervaluedStronglyOvervalueddotted line Image
5Y Average EV/EBITDA
13.99
Current EV/EBITDA
15.38
Overvalued EV/EBITDA
22.36
Undervalued EV/EBITDA
5.62

Forward PS

The forward P/S ratio is a valuation metric that divides a company's current stock price by its estimated future sales (or revenue) per share over the next 12 months.
StronglyUndervaluedUndervaluedFairOvervaluedStronglyOvervalueddotted line Image
5Y Average PS
1.33
Current PS
0.81
Overvalued PS
1.92
Undervalued PS
0.75

Financials

AI Analysis
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Quarterly

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Whales Holding PK

C
Castleknight Management LP
Holding
PK
+18.78%
3M Return
P
Private Management Group Inc
Holding
PK
+5.86%
3M Return
H
Heitman Real Estate Securities LLC
Holding
PK
+5.03%
3M Return
O
Ontario Teachers' Pension Plan Board
Holding
PK
-6.97%
3M Return
S
Sculptor Capital Management, Inc.
Holding
PK
-13.41%
3M Return
D
Donald Smith & Co., Inc.
Holding
PK
-14.98%
3M Return

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Frequently Asked Questions

What is Park Hotels & Resorts Inc (PK) stock price today?

The current price of PK is 10.53 USD — it has decreased -0.38

What is Park Hotels & Resorts Inc (PK)'s business?

Park Hotels & Resorts Inc. is a lodging real estate investment trust (REIT) with a portfolio of hotels and resorts. Its portfolio consists of approximately 34 hotels and resorts with 23,000 rooms, located in the United States. It operates the business through three operating segments, which include Core hotels, consolidated Non-Core hotels and unconsolidated hotels. Its Core hotels are located in urban and convention areas, such as New York City, Washington, D.C., Chicago, Boston, New Orleans and Denver; and premier resorts in leisure destinations, including Hawaii, Orlando, Key West and Miami Beach; as well as hotels in select airport and suburban locations. Its Core Hotels include Hilton Hotels & Resorts, Hyatt Regency, Signia by Hilton, DoubleTree by Hilton, DoubleTree by Hilton, Marriott Tribute Portfolio and JW Marriott. Its Non-Core Hotels include Marriott, Marriott Tribute Portfolio and Embassy Suites by Hilton.

What is the price predicton of PK Stock?

Wall Street analysts forecast PK stock price to rise over the next 12 months. According to Wall Street analysts, the average 1-year price target for PK is11.93 USD with a low forecast of 10.50 USD and a high forecast of 14.00 USD. However, analyst price targets are subjective and often lag stock prices, so investors should focus on the objective reasons behind analyst rating changes, which better reflect the company's fundamentals.

What is Park Hotels & Resorts Inc (PK)'s revenue for the last quarter?

Park Hotels & Resorts Inc revenue for the last quarter amounts to 629.00M USD, increased 0.64

What is Park Hotels & Resorts Inc (PK)'s earnings per share (EPS) for the last quarter?

Park Hotels & Resorts Inc. EPS for the last quarter amounts to -1.03 USD, decreased -421.88

How many employees does Park Hotels & Resorts Inc (PK). have?

Park Hotels & Resorts Inc (PK) has 90 emplpoyees as of April 01 2026.

What is Park Hotels & Resorts Inc (PK) market cap?

Today PK has the market capitalization of 2.12B USD.