Portfolio of Casino and Gaming Stocks

Here is a table of 11 casino and gaming stocks.

11 Casino and Gaming Stocks

Stock Returns & Price Chart


Recent Prices &
Annualized Return

Boyd GamingBYD
Caesars EntertainmentCZR
Churchill DownsCHDN
International Game TechnologyIGT
Las Vegas SandsLVS
MGM Resorts InternationalMGM
Penn National GamingPENN
Red Rock ResortsRRR
Scientific Games CorpSGMS
The Stars GroupTSG
Wynn ResortsWYNN
Price data from Quandl as of most recent close.

To inspect the performance of the Casino and Gaming Stocks portfolio, see the chart below. Portfolio values are computed using monthly closes for stocks from Quandl.

The 8 stocks included in the portfolio computations are: BYD, CHDN, IGT, LVS, MGM, PENN, SGMS and WYNN. The current value of the portfolio assumes that $1,250.00 was invested (total of $10,000) in each stock at its closing monthly price for the first date shown on the portfolio value chart below. All prices are adjusted for splits and dividends. The 3 stocks excluded from the portfolio computations because of insufficient price data are: CZR, RRR and TSG.

The current value of a $10,000 investment is $-7,341. The percent return is -173.41%. The annualized return is 18.75%.

Return Summary for Casino and Gaming Stocks
Start DateAug-31-2009
Start Investment$-75,932.45
End DateAug-23-2019
Current Value of Investment$55,739.79
Total Return-173.41%
Annualized Return0.00%
Min DateApr-30-2013
Min Price$-152,056.66
Max DateMay-31-2018
Max Price$85,995.79
# Values121
Number Returns7,260
Number Profitable Returns1,866
Percent Profitable Returns25.70%
Number Unprofitable Returns5,394
Percent Unprofitable Returns74.30%
Profitable to Unprofitable Returns Ratio0.35

NOTE: The stocks included in the tables and chart are representative of the industry. They are not recommendations.

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