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MGM Resorts International (MGM) Stock Fundamentals, Analysis & Risk Signals

Health score, competitive moat, risk signals, and key metrics at a glance.

NYSE•Consumer Cyclical•Resorts & Casinos
C
AverageMetricSide Score: 43/100
ProfitabilityProfit13/30
GrowthGrowth9/25
Balance SheetBalance5/25
Cash QualityCash16/20
Price & Volume
Market Cap $12.07B

MGM Resorts International, through its subsidiaries, operates as a gaming and entertainment company in the United States, China, and internationally. It operates through four segments: Las Vegas Strip Resorts, Regional Operations, MGM China, and MGM Digital. The company operates casino resorts that offer gaming, hotel, convention, dining, entertainment, retail, and other resort amenities, as well as online/digital games through its online platforms. Its casino operations include slots and table games, as well as live dealer, online sports betting, and iGaming through BetMGM. The company's customers include premium gaming customers; leisure and wholesale travel customers; business travelers; and group customers, including conventions, trade associations, and small meetings. The company was formerly known as MGM MIRAGE and changed its name to MGM Resorts International in June 2010. MGM Resorts International was incorporated in 1986 and is based in Las Vegas, Nevada.

Moat Signals

Competitive analysis based on 63 quarters of fundamental data

Pricing Power

Weak Moat

Operating margins are under pressure, averaging 6.7%. The business may lack pricing power or face rising costs.'

Competitive Advantage

Moderate Moat

ROE averages 17.6% but has fluctuated — the competitive advantage may be cyclical or emerging.

Cash Generation

Strong Moat

Free cash flow is consistently positive and growing — a hallmark of a capital-light business that can self-fund growth.

Demand Durability

Moderate Moat

Revenue shows resilience with 5 of 7 quarters posting growth — demand is generally stable but has seen some soft patches.

Risk Signals

Data-driven red flags and warnings across 63 quarters

Some Concerns

Margin Pressure

Red Flag

Operating margins dropped 38.5% over recent quarters — a sharp decline suggesting serious cost or pricing challenges.

Earnings Quality

Healthy

FCF covers net income by 2.2x on average — earnings are well-supported by cash generation.

Leverage Risk

Watch

D/E ratio of 2.6 is elevated and rising. Monitor for further debt accumulation.

Revenue Decline

Healthy

Revenue is stable or growing over recent quarters — demand appears durable.

Cash Burn

Healthy

Free cash flow is consistently positive — the business self-funds without external capital reliance.

Share Dilution

Healthy

Shares decreased 17.6% — net buybacks are reducing shares outstanding and boosting per-share value.

Metrics at a Glance

as of March 2026

Revenue & Profit

Revenue, EBITDA, operating income, net income, EPS, and shares

TTM Revenue
$17.72B
3.4%
Q. Revenue
$4.45B
TTM EBITDA
$1.96B
14.2%
TTM Op. Income
$917.97M
35.2%
Q. Op. Income
$301.24M
TTM Net Income
$182.44M
73.1%
Q. Net Income
$125.14M
EPS
$0.49
Shares Out.
$256.35M
10.7%
$17.72B in TTM revenue grew 3.4% YoY, reaching $4.45B last quarter. TTM EBITDA of $1.96B and TTM operating income of $917.97M shows growth is flowing through. Net income of $182.44M TTM confirms the company is converting revenue into profit. Revenue is growing modestly — monitor for acceleration or deceleration.

Margins

Gross, EBITDA, operating, and net margin trends

EBITDA Margin
12.7%
Op. Margin
6.8%
24.9%
Net Margin
2.8%
19.1%
Op. margin of 6.8% is down 2.2% YoY — costs are rising relative to revenue. Net margin at 2.8%.

Price Ratios

P/E, P/S, P/B, EV/EBITDA, FCF yield, and earnings yield

P/E Ratio
66.2x
P/S Ratio
0.7x
P/B Ratio
5.0x
At 66.2x P/E, the stock trades at a premium — the market expects above-average growth. P/S of 0.7x and P/B of 5.0x provide additional context. The premium P/E is not backed by strong revenue growth — the stock may be overvalued.

Assets & Liabilities

Total assets, cash, debt, book value, and leverage

Total Assets
$41.40B
Cash
$2.29B
Long-Term Debt
$6.40B
Book Value
$2.43B
D/E Ratio
2.6
Debt/EBITDA
11.3
With $41.40B in assets and $6.40B in long-term debt, the D/E of 2.6and book value of $2.43B — indicates elevated leverage — the company has significant financial risk and may struggle in a downturn.

Cash Flow

Operating cash flow, free cash flow, FCF margin, and earnings quality

Op. Cash Flow
$567.79M
Free Cash Flow
$413.13M
29.5%
FCF Margin
2.3%
FCF / Net Income
3.3
FCF of $413.13M on $567.79M in operating cash flow. The FCF / Net Income ratio of 2.3x means earnings are well backed by actual cash — high-quality earnings.

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