Hi! 👋 We have a new venture. Please check out Satire Labs 😉.
The funniest way to turn your $100 to $1 million. ⛴️ 🚢.
Note: This is a joke. Kinda. We really do think you'll make money 😎🙂

What is MGM's Return On Investment?

  MGM Resorts International ( MGM ) |
1994 - 2021 (28 years)

Return On Investment is 
11.5B (1Y -7.98% )

MGM Stock Price & Return On Investment

Return On Investment for MGM competitors.
MCRI PENN CNTY WYNN MLCO BYD LVS
Note: Stonk = Stock. Both words are used interchangeably. 🙂

Historical (All-Time) Stats for Return On Investment

chevron_right 2021 11.9B -
( - / year avg)
chevron_left 1994 nan
vertical_align_top Peak 14.0B +0.19x
vertical_align_bottom Bottom 11.8B
arrow_drop_up # Up Years 8 8 of 28
years up.
arrow_drop_down # Down Years 5
Up Years = Positive (0%+) YoY change
Down Years = Zero or Negative (0% or less) YoY change

Key Points (Stonk Price Comparison)

  • MGM's stock price has rallied +807% from $2.54 in 1994 , or - the rate relative to it's return on investment over the same period.
  • If MGM it's stock at the same rate as it's return on investment (-/year) , it's stock price will - and hit $nan over the next 10 years.
  • MGM's stock price has gone up 4 of the 8 years (+50%) it's return on investment were also up.
5-Year Change 🚀
-31.9%$6.0BNet Revenue (Sales)
-31.0%$3.6BCost of Revenue (Sales)
-33.2%$2.3BGross Profit Margin
-1.94%1.56Gross Profit Margin Ratio
+59.7%$2.5BSelling, General, and Administrative (SG&A)
+224%-$42.5MOther Income/Expenses, Net
+50.9%$3.7BTotal Operating Expenses
-4.86%$7.4BCost & Expenses
+1.28%$754.7MInterest Expense/Income, Net
+49.2%$1.2BDepreciation & Amortization (D&A)
-111.4%-$206.6MEBITDA
-116.7%-0.14EBITDA Margin
-238.0%-$1.4BOperating Income
-302.6%-0.94Operating Margin
-98.4%-$95.4MTotal Other Income/Expenses
-59.9%-$2.3BPretax Income (Earnings)
-41.1%-1.51Pretax Income (Earnings) Margin
-252.8%-$427.6MProvision For Income Taxes
-42.7%-$1.8BNet Income (Earnings)
-15.9%-1.2Net Profit Margin
-33.3%-3.68Earnings Per Share (EPS)
-33.3%-3.68Earnings Per Share (EPS) Diluted
-12.4%$2.0BShares Outstanding
-12.4%$2.0BShares Outstanding (Diluted)
+205%$20.4BCash and Cash Equivalents
+205%$20.4BCash And Short-Term Investments
-15.2%$353.3MInventory
+147%$23.8BTotal Current Assets
+49.1%$91.7BPP&E
+46.2%$8.4BGoodwill
-12.5%$14.6BIntangible Assets
+2.49%$22.9BGoodwill and Intangible Assets
-2.98%$5.8BLong-term Investments
+44.7%$146.0BTotal Assets
-21.7%$570.1MAccounts Payables
-99.2%$10.2MShort-term Debt
+10.2%$1.0BDeferred Revenue
-17.0%$7.4BTotal Current Liabilities
+0.07%$49.5BLong-term Debt
-19.7%$8.6BDeferred Tax Liabilities Non-Current
+199%$1.9BOther Non-Current Liabilities
+54.2%$93.8BTotal Non-Current Liabilities
+45.1%$101.3BTotal Liabilities
-12.5%$19.8MCommon Stock
-656.3%$12.4BRetained Earnings
-319.1%-$122.7MAccumulated Other Comprehensive Income Loss
+27.0%$26.0BTotal Shareholders Equity
+41.0%$127.3BTotal Liabilities & Stockholders Equity
-2.98%$5.8BTotal Investments
-2.5%$49.5BTotal Debt
-34.0%$29.1BNet Debt
-130.5%-$125.1MDeferred Income Tax
+139%$117.1MStock-Based Compensation (SBC)
-247.1%$2.7BChange in Working Capital
-4,494.7%$3.1BAccounts Receivables
+2,297%$16.4BOther Working Capital
-270.0%$176.0MOther Non-Cash Items
-191.1%-$973.8MNet Cash Provided by Operating Activities
-102.0%$2.0MOther Investing Activities
-71.4%-$449.0MNet Cash used for Investing Activities
+764%-$445.1MOther Financing Activities
-4,446.6%$3.5BNet Cash Used Provided by Financing Activities
+161%-$544.0 TEffect of Exchange Rate Changes on Cash
-469.3%$2.0BNet Change in Cash
+205%$20.4BCash at End of Period
+154%$18.4BCash at Beginning of Period
-191.1%-$973.8MOperating Cash Flow
-80.1%-$372.0MCapital Expenditure (capex)
+69.1%-$1.3BFree Cash Flow
  • MGM Historical Return On Investment Table
    in million
    Year Return On Investment YoY % Change Stock Price YoY % Change (Stock Price)
    4/1/2021 11,929 1.3% 23.06 2.5%
    4/1/2020 11,773 -15.9% 22.5 -18.5%
    4/1/2019 13,993 0.8% 27.61 -1.4%
    4/1/2018 13,888 5.4% 28.0 -10.8%
    4/1/2017 13,182 4.4% 31.4 39.0%
    4/1/2016 12,625 -4.3% 22.58 16.9%
    4/1/2015 13,193 3.8% 19.31 -16.5%
    4/1/2014 12,715 -0.4% 23.13 38.3%
    4/1/2013 12,769 -3.5% 16.72 79.4%
    4/1/2012 13,231 -0.0% 9.32 -10.9%
    4/1/2011 13,236 6.7% 10.46 22.9%
    4/1/2010 12,402 2.0% 8.52 6.4%
    4/1/2009 12,156 - 8.01 -75.9%
    4/1/2008 0 - 33.27 -58.1%
    4/1/2007 0 - 79.38 135.3%
    4/1/2006 0 - 33.73 -15.6%
    4/1/2005 0 - 39.95 104.5%
    4/1/2004 0 - 19.54 14.0%
    4/1/2003 0 - 17.14 2.2%
    4/1/2002 0 - 16.77 21.7%
    4/1/2001 0 - 13.78 -10.0%
    4/1/2000 0 - 15.31 50.6%
    4/1/1999 0 - 10.17 30.4%
    4/1/1998 0 - 7.8 -10.9%
    4/1/1997 0 - 8.75 -16.8%
    4/1/1996 0 - 10.52 59.0%
    4/1/1995 0 - 6.62 14.5%
    4/1/1994 0 - 5.78 -

  • About
    Industry: Resorts & Casinos
    Sector: Consumer Cyclical
    Country: US
    IPO Date: 12/13/1989
    Stonk Exchange: NYSE
    • MGM Resorts International is a holding company, which engages in the ownership and operations of casino resorts.
    • The company is headquartered in Las Vegas, Nevada and currently employs 55,000 full-time employees.
    • The Company, through its subsidiaries, owns and operates casino resorts.
    • The firm operates in two segments: domestic resorts and MGM China.
    • Its domestic resorts segment consists of non-gaming operations, including hotel, food and beverage, entertainment and other non-gaming amenities.
    • Its casino operations feature a range of slots, table games, and race and sports book wagering.
    • Its MGM China’s operations consist of the MGM Macau resort and casino, and the development of an integrated casino, hotel and entertainment resort on the Cotai Strip in Macau.
    • Under its resort operation, the Company's casino resorts offer gaming, hotel, convention, dining, entertainment, retail and other resort amenities.
    • The company owns Primm Valley Golf Club at the California/Nevada state line and Fallen Oak golf course in Saucier, Mississippi, among others.
  • Return on investment = Net Income + Interest X (1 - tax rate) / (Equity + long-term debt)


    For more detailed definitions, please see Investopedia.
    Year Return On Investment YoY % Change Stock Price YoY % Change (Stock Price) net income long term debt interest expense total se
    4/1/2021 11929079000.03 1.3% 23.06 2.5% -1790.42 49506.74 754.72 26018.90
    4/1/2020 11773250250.02 -15.9% 22.5 -18.5% 1426.46 45666.54 688.18 30137.07
    4/1/2019 13993665500.03 0.8% 27.61 -1.4% 4308.91 59424.40 861.99 25879.52
    4/1/2018 13888759500.03 5.4% 28.0 -10.8% 1883.81 53671.23 712.32 28603.94
    4/1/2017 13182999000.03 4.4% 31.4 39.0% 937.81 51830.61 673.11 25416.63
    4/1/2016 12625337250.03 -4.3% 22.58 16.9% 295.32 50206.03 719.36 22043.24
    4/1/2015 13193352250.04 3.8% 19.31 -16.5% -8.53 52781.94 812.19 20093.49
    4/1/2014 12715808000.05 -0.4% 23.13 38.3% 155.10 50708.13 824.62 17452.63
    4/1/2013 12769836875.06 -3.5% 16.72 79.4% -2007.04 53426.46 928.81 17289.82
    4/1/2012 13231463250.05 -0.0% 9.32 -10.9% -714.38 53880.89 1110.59 23244.04
    4/1/2011 13236827500.07 6.7% 10.46 22.9% 3089.14 49858.17 1085.78 18532.41
    4/1/2010 12402268000.09 2.0% 8.52 6.4% -1732.13 51341.20 1061.09 13040.70
    4/1/2009 12156099000.04 8.01 -75.9% -2005.78 50082.41 739.76 17404.60
    4/1/2008 33.27 -58.1% 586.20 50251.56 21387.20
    4/1/2007 79.38 135.3% 913.78 53927.35 16693.99
    4/1/2006 33.73 -15.6% 544.49 50420.15 13627.65
    4/1/2005 39.95 104.5% 420.34 35333.74 12215.69
    4/1/2004 19.54 14.0% 429.18 22013.38 10285.46
    4/1/2003 17.14 2.2% 191.01 20873.83 10634.84
    4/1/2002 16.77 21.7% 277.08 20836.72 10617.16
    4/1/2001 13.78 -10.0% 194.84 21325.23 9991.05
    4/1/2000 15.31 50.6% 128.74 16899.53 7472.57
    4/1/1999 10.17 30.4% 86.00 4718.50 4516.80
    4/1/1998 7.8 -10.9% 69.00 2167.00 4162.90
    4/1/1997 8.75 -16.8% 111.20 522.20 4212.70
    4/1/1996 10.52 59.0% 60.32 1520.64 3023.68
    4/1/1995 6.62 14.5% 34.00 2014.50 2147.30
    4/1/1994 5.78 73.87 1993.73 1952.80