Morningstar® Stock Report™

MGM Resorts International MGM

Flujo de Caja
20192020202120222023
Operating Cash Flow Growth-YOY5.100.000.0027.8953.19
Free Cash Flow Growth-YOY354.57--12.3177.42
Cap Ex as a % of Sales-5.73%-5.24%-5.07%-5.83%-5.76%
Free Cash Flow/Sales8.31%-34.16%9.12%7.55%10.88%
Free Cash Flow/Net Income0.521.710.700.671.54
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