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NASDAQ:RRR

Red Rock Resorts, Inc.

Red Rock Resorts, Inc.'s revenue grew 3.7% in fiscal 2025 to $2.0B while operating margin rose to 29.7%. Free cash flow was $290.5M, 14.4% of revenue, and the diluted share count fell 1.0%.Summary generated from Red Rock Resorts, Inc.'s SEC filings. Latest annual report filed Feb 20, 2026.

Revenue (FY25)$2.0B
Revenue growth+3.7%
Revenue, 5-yr CAGR+11.2%
Gross marginn/a
Operating margin29.7%
Net margin9.3%
ROIC15.3%
Return on equity88.8%
Debt / equity16.30
Free cash flow$290.5M
FCF margin14.4%
Share count change−1.0%

Financials

Fiscal years, $M
Item20212022202320242025
Revenue1,6181,6641,7241,9392,011
Operating income402561559569597
Net income242205176154188
Free cash flow549214−205264291

Recent filings

From SEC EDGAR

Peers

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