NASDAQ: WYNN
Consumer Cyclical · Gambling, Resorts & Casinos
Market Cap
$11.11B
52w High
$134.72
52w Low
$82.10
P/E
33.49
Volume
73.17K
Outstanding Shares
104.28M
Price vs Fundamentals
Note: The most recent financial data is over 3 months old. Metrics shown may not reflect the latest reporting period.
The stock rose 26.73% over the last year. Revenue grew 0.14% over the trailing twelve months. Operating margin moved from 15.89% to 15.87%. Free cash flow declined 31.03% over the trailing twelve months.
The stock has moved higher against modestly weakening underlying metrics. The operating data does not yet tell a clear story — the move may reflect sentiment, sector rotation, or macro factors rather than company-specific earnings power.
Operating margin currently stands at 15.87%. A decisive move in revenue — currently up 0.14% — would be the clearest signal to resolve the ambiguity.
Company profile
Wynn Resorts, Limited designs, develops, and operates integrated resorts.
Valuation
Stock splits
No stock splits recorded for this ticker.
Profitability & growth
Analyst consensus
28
Buy
16
Hold
1
Sell
Analyst ratings tend to be lagging indicators. Use as one signal among many.
Earnings
Full quarter-by-quarter history of actuals vs estimates. Switch into compare mode to inspect one metric year-over-year.
Next report
May 7, 2026
Q2 FY26 · EPS est $1.18 · Revenue est $1.82B
View
Dividends
$1.00/shareQuarterlySafeWYNN pays a dividend with a 0.94% dividend yield, covered 4.0× by free cash flow.
Dividend Yield
0.94%
Annual Div / Share
$1.00
5yr CAGR
+0%
Payout Ratio
53.36%
Safe
Dividend Growth Rate
3yr CAGR
+0%
5yr CAGR
+0%
10yr CAGR
-10.4%
Dividend History
Annual dividends paid per share
Income Projection
Today
$1/mo
In 5 yrs
$1/mo
In 10 yrs
$1/mo
| Today | In 5 yrs | In 10 yrs |
|---|---|---|
$9/yr $1/mo | $9/yr $1/mo | $9/yr $1/mo |
Analysis
Well-covered by free cash flow
The dividend is covered 4.0× by free cash flow, indicating the company generates sufficient cash to sustain and potentially grow the payout without straining its finances.
No strong risk signal stands out from the latest period pair.