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Red Rock Resorts, Inc. Free Cash Flow 2014–2025

Red Rock Resorts, Inc. (RRR) annual free cash flow by fiscal year, computed from SEC filings. Compound growth +5.2%/yr over 11 years.

Fiscal yearFree Cash FlowChange (YoY)
FY 2025$290.50M+9.9%
FY 2024$264.39M+228.9%
FY 2023$-205.18M-196.0%
FY 2022$213.63M-61.1%
FY 2021$548.67M+255.6%
FY 2020$154.29M+521.1%
FY 2019$-36.64M+84.3%
FY 2018$-233.28M-661.7%
FY 2017$41.53M-77.4%
FY 2016$184.06M-16.2%
FY 2015$219.51M+31.4%
FY 2014$167.04M

Source: Red Rock Resorts, Inc. SEC filings — cash flow statement (10-K). Refreshed nightly.

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Red Rock Resorts, Inc. — frequently asked questions

What is Red Rock Resorts, Inc.'s free cash flow?

Red Rock Resorts, Inc. (RRR) reported free cash flow of $290.50M for fiscal year 2025, per its SEC filings.

How has Red Rock Resorts, Inc.'s free cash flow changed over time?

Between fiscal 2014 and 2025, RRR's free cash flow grew at roughly 5.2% per year (compound annual rate), from $167.04M to $290.50M.

Where does this data come from?

Figures are computed from Red Rock Resorts, Inc.'s official SEC filings (cash flow statement (10-K)), refreshed nightly. Not investment advice.

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