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Red Rock Resorts, Inc. RRR Cash Flow Statement

FY'25FY'24FY'23FY'22
$355.67M+22.1%$291.29M-13.8%$337.78M-13.5%$390.35M+10.0%
$32.13M+3.8%$30.95M+57.3%$19.67M+12.3%$17.52M+37.6%
$609.51M+11.2%$548.26M+10.9%$494.34M-8.8%$542.22M-11.1%
$319.01M+12.4%$283.87M-59.4%$699.52M+113%$328.59M+436%
-$265.85M+17.4%-$321.79M+50.8%-$653.85M-47.9%-$442.14M-175%
$120.8M+2.0%$118.4M+102%$58.59M-49.8%$116.68M-42.8%
$79.03M+1,915%$3.92M$0-100%$141.51M-71.7%
$400M-80.4%$2.04B+327%$476.5M+60.2%$297.5M-55.9%
$415.7M-83.0%$2.45B+1,663%$138.78M-19.7%$172.78M-75.2%
-$385.65M-93.1%-$199.67M-205%$190.68M+166%-$290.05M+71.4%
$26.8M+32.0%$20.3M+110%-$206.16M-214%
$290.51M+9.9%$264.39M+229%-$205.18M-194%$218.88M-60.1%

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Where does Red Rock Resorts, Inc.'s cash flow data come from?
Every line is extracted from Red Rock Resorts, Inc.'s SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.