Red Rock Resorts
NasdaqGS:RRR
$ 54,96
+ $1,60 (3,00%)
54,96 $
+$1,60 (3,00%)
End-of-day quote: 04/01/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$1,96
Earnings Per Share
$34,46
Revenue Per Share
62,40%
Gross Margin %
$3,12 B
Market Cap
$3,36 B
Long-Term Debt
Earnings Per Share
$1,96
Revenue Per Share
$34,46
Gross Margin %
62,40%
Market Cap
$3,12 B
Long-Term Debt
$3,36 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
EPS Earnings Per Share $1,96 $1,66 $1,98 $2,24 $3,61 $-1,31 $1,34 $1,52 $0,67 $3,57
Earnings Earnings $114,41M $98,80M $116,38M $129,27M $219,78M $-92,83M $93,47M $105,44M $45,96M $234,44M
RPS Revenue Per Share $34,46 $32,58 $29,33 $28,83 $26,58 $16,69 $26,62 $24,23 $23,55 $22,12
Revenue Revenue $2,01B $1,94B $1,72B $1,66B $1,62B $1,18B $1,86B $1,68B $1,62B $1,45B
OCF Operating Cash Flow $560,23M $548,26M $494,34M $542,22M $609,96M $212,79M $316,63M $346,01M $289,06M $346,21M
FCF Free Cash Flow $326,55M $264,39M $-68,00M $213,64M $548,67M $152,01M $-37,44M $-233,28M $29,74M $183,83M
OM Operating Margin 29,70% 29,67% 34,26% 35,68% 34,65% 10,55% 14,42% 18,80% 19,69% 22,70%
GM % Gross Margin % 62,40% 66,69% 63,67% 64,62% 65,85% 62,33% 53,04% 57,18% 57,97% 59,81%
FCFS Free Cash Flow Per Share $0,00 $4,11 $-3,62 $3,50 $7,76 $2,15 $-0,54 $-3,39 $0,58 $5,31
LT Debt Long-Term Debt $3,35B $3,35B $3,30B $2,96B $2,83B $2,88B $3,00B $2,82B $2,59B $2,38B
Sha. Stocks 58,37M 59,52M 58,78M 57,71M 60,88M 70,86M 69,75M 69,37M 68,59M 65,67M
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