WYNN | WYNN RESORTS LTD

CUSIP: 983134107

1 Funds Holding
2.1M Total Shares
$249M Total Value
$114.40
Price
$11.9B
Market Cap
36.5
P/E Ratio
19.4
Forward P/E
$3.13
EPS (TTM)
0.87%
Dividend Yield
$2.0B
Cash
$12.2B
Total Debt
104M
Shares Out
$65.25
$134.72
52-Week Range

Institutional Ownership of WYNN RESORTS LTD

Fund / Manager Click to search
Shares Value % of Portfolio Cost Basis Est. Return
Egerton Capital|John Armitage
2.1M $249M
2.71%
$66.28 +72.19%

Trading Activity for WYNN RESORTS LTD

Fund / Manager Click to search
Action Change Shares After Value Price
2025-Q4
BUY NEW 2.1M $249M $124.22
2025-Q2
SELL EXIT $86.14
2025-Q1
SELL -36.0% 320.0K $27M $85.05
2024-Q4
SELL -37.5% 500.0K $43M $94.40
2024-Q3
BUY NEW 800.0K $77M $78.78
2022-Q3
SELL EXIT $62.78
2022-Q2
BUY NEW 763.5K $76M $66.28
SELL EXIT $66.28
2022-Q1
BUY NEW 225.0K $18M $85.30
2020-Q4
SELL EXIT $94.74
2020-Q2
BUY +809.1% 70.0K $5M $81.15
2020-Q1
SELL EXIT $126.62
SELL EXIT $126.62
BUY NEW 7.7K $463000 $126.62
2019-Q4
SELL -73.3% 998.5K $139M $120.25
SELL -99.6% 3.5K $489000 $120.25
2019-Q3
SELL EXIT $113.93
BUY +7.4% 3.7M $407M $113.93
SELL -4.5% 815.2K $89M $113.93
2019-Q2
SELL -9.2% 5.4M $670M $123.99
BUY +51.4% 3.5M $432M $123.99
SELL -42.7% 853.6K $106M $123.99
2019-Q1
BUY +201.7% 2.3M $275M $118.53
SELL -12.1% 1.5M $178M $118.53
2018-Q4
SELL -74.3% 763.5K $76M $107.94
SELL EXIT $107.94
BUY NEW 1.7M $168M $107.94
2018-Q3
BUY +56.8% 6.0M $757M $148.52
BUY +32.5% 3.0M $377M $148.52
SELL EXIT $148.52
BUY NEW 1.4M $175M $148.52
2018-Q2
BUY +68.0% 3.8M $636M $185.65
SELL -18.1% 2.2M $375M $185.65
SELL -0.7% 1.5M $255M $185.65
2018-Q1
BUY NEW 2.7M $499M $168.73
SELL EXIT $168.73
BUY +78.0% 2.3M $412M $168.73
BUY NEW 1.5M $280M $168.73

Insider Trading for WYNN RESORTS LTD

No Insider Transactions
No Form 4 filings found for this stock in the last 2 years.