MGM Resorts International (MGM)
$43.69-0.11%Close
SELLBEAR · day 36
Key stats
Short interest · FINRA settlement 2026-07-31
52-week IV21.5%–90.0%
- Market cap
- $11.2B
- Avg volume
- 4.0M
- Beta
- 1.30
- P/E (TTM)
- 26.16
- IV-%ile
- 73
- IV ATM
- 46.6%
- Short % float
- 10.78%
- Days to cover
- 8.5
- SI change
- +0.3%
- 1W
- -0.21%
- 1M
- -4.06%
- 3M
- +13.78%
- YTD
- +19.73%
- vs SPY 1W
- +0.99%
- vs SPY 1M
- -7.38%
- vs SPY 3M
- +11.38%
- vs SPY YTD
- +7.98%
Sector peers
Same-sector names ranked by LOPJLB quality proximity · Consumer Cyclical
- VNCESELLVince Holding Corp.RECOVERYQ -1$6.30+0.80%
- LOWBUYLowe's Companies, Inc.RECOVERYQ 21$216.98+0.41%
- EYESELLNational Vision Holdings, Inc.CRISISQ -4$18.23+1.96%
- SHAKBUYShake Shack Inc.RECOVERYQ 9$75.44-0.50%
- LADBUYLithia Motors, Inc.RECOVERYQ 24$368.55-0.59%
- GBTGBUYGlobal Business Travel Group, Inc.BULLQ 13$9.48+0.32%
- ETDSELLEthan Allen Interiors Inc.RECOVERYQ 10$23.28-0.47%
- HOURSELLHour Loop, Inc.RECOVERYQ -1$1.80-2.70%
- BZUNBUYBaozun Inc.RECOVERYQ 1$2.82-0.70%
- NPTBUYTexxon Holding Limited Ordinary sharesRECOVERYQ 4$3.74+4.47%
- SVVBUYSavers Value Village, Inc.RECOVERYQ -16$10.92+1.58%
- WRBYBUYWarby Parker Inc.RECOVERYQ -1$26.21-4.48%
Industry peers
FMP comparable companies · ranked by market cap
- BWABUYBorgWarner Inc.$13.9BRECOVERYQ 15$67.78-5.05%
- FIVEBUYFive Below, Inc.$13.8BBULLQ 19$250.24+4.99%
- BROSSELLDutch Bros Inc.$8.6BCRISISQ 15$49.87+4.17%
- GILBUYGildan Activewear Inc.$8.6BRECOVERYQ 18$56.17-2.17%
- LNWLight & Wonder, Inc.$8.4B$99.75
- VIPSSELLVipshop Holdings Limited$7.1BRECOVERYQ 27$14.53-1.45%
- GAPBUYThe Gap, Inc.$7.1BRECOVERYQ 8$19.80+2.83%
- CHDNBUYChurchill Downs Incorporated$6.5BRECOVERYQ 17$93.71-3.20%
- BYDSELLBoyd Gaming Corporation$5.9BBEARQ 13$80.78+0.27%
- MTNBUYVail Resorts, Inc.$5.4BRECOVERYQ 11$152.81-1.84%
Prediction markets
Kalshi · Polymarket · … linked
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FUNDAMENTALS
[SCORES & PROFILE]
- FUND
- 21
- VALUE
- 18
- GROWTH
- 41
- GARP
- 4
- TYPE
- Value / Recovery
Composite of Value · Growth · GARP
ROIC10.2%
REV YoY-
ROE17.0%
EPS YoY-
ROA1.1%
GROSS44
OP6
NET2
[VALUATION]
P/E TTM26.16
P/E FWD-
SECTOR PE66.49
INDUSTRY PE20.77
P/B4.41
P/FCF-
EV/EBITDA19.24
EV/EBIT-
PEG-
FCF YIELD-
RISK
INT COV-
D/E1187.34
ALTMAN Z-
CURR RATIO1.33
ND/EBITDA-
BETA1.30


















