Wynn Resorts Ltd (WYNN)
What changed in recent filings
- Casino segment 58% → 63%Jun 30, 2024 → Mar 31, 2026
- Institutions — 1 new · 1 reduced13F · as of end of 2026 Q2
What changed in recent SEC filings — factual, not a buy/sell recommendation.
Institutions holding Wynn Resorts Ltd
How many of the institutions we track reported holding this stock, quarter by quarter.
2019 Q1: 4 → 2026 Q2: 2 institutions
Counts the 52 institutions we track that reported holding this stock — their full reported holdings, not just the largest positions. Not the total number of institutional holders in the US. Figures are as of quarter-end and disclosed up to 45 days later. Descriptive only — not investment advice.
Which institutions hold Wynn Resorts Ltd
Institutions we track that reported holding this stock in their most recent 13F.
- Point72 Asset Managementunder 0.01% of portfolio · since 2026 Q1
- Capital World Investors0.11% of portfolio · held as of 2026 Q2 or earlier
Based on 13F filings — quarter-end holdings, disclosed up to 45 days later. Holding a stock is a fact we report, not a recommendation to buy or sell.
Company overview
Wynn Resorts. A company running ultra-luxury casinos and resorts in Las Vegas and Macau.
What is the Hotels & Travel sector?
Hotels, casinos, cruises, and travel booking. Tied to consumer sentiment.
Wynn Resorts Ltd is classified under the Hotels & Travel sector. See peers below.
Wynn Resorts Ltd key financials
Based on SEC filings · as of Jun 30, 2026
Tap a metric name to see its meaning in the glossary.
Wynn Resorts Ltd vs Hotels & Travel sector benchmark
Median of 12 representative sector stocks · SEC filings · factual comparison (not advice)
A simple comparison to the sector benchmark. Higher or lower doesn’t mean good/bad or buy/sell.
WYNN segment revenue mix trend
Quarterly change in segment revenue share · verified from SEC filings
ETFs holding Wynn Resorts Ltd
Per SEC N-PORT · 2026-04-30 · by weight · factual
WYNN on Stocklore
- Revenue by segment — segment weights verified from SEC filings, YoY changes, growth drivers and concentration
- Financials & earnings quality — 6 metrics (FCF conversion, ROIC, net debt, etc.) to gauge profit quality
- 13F institutional holdings — holdings and weight changes of major institutions (45-day delay)
- Sector-relative metrics — Valuation and growth compared with the Hotels & Travel average
Peers · Hotels & Travel
WYNN FAQ
What is Wynn Resorts Ltd (WYNN)?
Wynn Resorts. A company running ultra-luxury casinos and resorts in Las Vegas and Macau.
What sector is Wynn Resorts Ltd in?
Wynn Resorts Ltd is classified under Hotels & Travel. Hotels, casinos, cruises, and travel booking. Tied to consumer sentiment.
What are Wynn Resorts Ltd's key financials?
As of Jun 30, 2026 in SEC filings: Revenue growth (YoY) 6.4%, Operating margin 16.0%, Net margin 6.1%. Definitions and interpretation are available on Stocklore.
Where can I analyze Wynn Resorts Ltd (WYNN) stock?
On Stocklore you can see WYNN's financials & earnings quality, 13F institutional holdings, and sector-relative metrics in one place. This page is for information and tools — not a buy/sell recommendation.
Data sources: SEC EDGAR (financials & filings), 13F (institutional holdings, as of quarter-end), market data. This page is for information and analysis tools — it does not recommend buying or selling any security. Investment decisions and responsibility are your own.