— Know what they know.
Not Investment Advice

RRR NASDAQ

Red Rock Resorts, Inc.
1W: +3.5% 1M: -4.1% 3M: -16.6% YTD: -13.9% 1Y: +18.2% 3Y: +28.4% 5Y: +59.1%
$55.38
+2.01 (+3.77%)
 
Weekly Expected Move ±4.3%
$47 $49 $51 $54 $56
NASDAQ · Consumer Cyclical · Gambling, Resorts & Casinos · Alpha Radar Neutral · Power 50 · $3.3B mcap · 48M float · 1.95% daily turnover · Short 78% of daily vol

Cash Flow Trends

Operating Cash Flow
$610M +11.2% ▲
5Y CAGR: +23.4%
Capital Expenditures
$321M -7.3% ▼
5Y CAGR: +40.5%
Free Cash Flow
$289M +15.8% ▲
5Y CAGR: +13.4%
Dividends Paid
$121M -2.0% ▼
Buybacks
$79M -1915.1% ▼
Net Change in Cash
-$22M -181.8% ▼

Cash Flow Composition

Year-over-Year Growth

View Full Cash Flow Statement
Line ItemFY2021FY2022FY2023FY2024FY2025
— Operating Activities —
Net Income$355M$205M$176M$291M$188M
Depreciation & Amort.$158M$128M$133M$187M$205M
Stock-Based Comp.$13M$18M$20M$31M$32M
Change in Working Capital-$18M-$11M-$4M$34M-$6M
Other Non-Cash Items$177M$190M$134M$14M$165M
Operating Cash Flow$610M$542M$494M$548M$610M
— Investing Activities —
Capital Expenditures-$66M-$561M-$702M-$15M-$355M
Acquisitions (Net)$678M$122M$0$0$105M
Investment Purchases-$13M$0$0$0$0
Investment Sales-$665M$0$0$0$0
Other Investing$652M-$2M$48M-$307M-$2M
Investing Cash Flow$586M-$442M-$654M-$322M-$251M
— Financing Activities —
Net Debt Issuance-$59M$125M$338M$90M-$16M
Stock Repurchased-$500M-$142M-$15M-$4M-$79M
Dividends Paid-$204M-$117M-$59M-$118M-$121M
Other Financing-$251M-$152M-$85M-$167M-$164M
Financing Cash Flow-$1.0B-$290M$180M-$200M-$380M
Net Change in Cash$182M-$190M$20M$27M-$22M
Cash End of Period$307M$117M$138M$164M$142M
Free Cash Flow$544M-$19M-$207M$249M$289M

Sign in to InsiderStreet

You'll also get our free weekly newsletter with
smart money signals, market insights, and alpha ideas.
Unsubscribe anytime.

For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms