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Consolidated Statements of Stockholders' Equity (Deficit) - USD ($)
$ in Thousands
Total
Total Wynn Resorts,  Limited stockholders' deficit
Common stock
Treasury stock
Additional paid-in capital
Accumulated other comprehensive income (loss)
Accumulated deficit
Noncontrolling interests
Beginning balance (in shares) at Dec. 31, 2022     113,369,439          
Beginning balance at Dec. 31, 2022 $ (1,640,365) $ (750,838) $ 1,323 $ (1,623,872) $ 3,583,923 $ (404) $ (2,711,808) $ (889,527)
Net income 782,217 729,994         729,994 52,223
Currency translation adjustment 5,297 3,810       3,810   1,487
Exercise of stock options (in shares)     32,284          
Exercise of stock options 1,965 1,965     1,965      
Issuance of restricted stock (in shares)     727,522          
Issuance of restricted stock 6,638 6,638 $ 7   6,631      
Cancellation of restricted stock (in shares)     (23,256)          
Shares repurchased by the Company and held as treasury shares (in shares)     (2,374,925)          
Shares repurchased by the Company and held as treasury shares (212,454) (212,454)   (212,454)        
Cash dividends declared (85,139) (85,139)         (85,139)  
Distribution to noncontrolling interest (22,578) (2,994)     (2,994)     (19,584)
Transactions with subsidiary minority shareholders (in shares)     6,181          
Transactions with subsidiary minority shareholders 0 (754)     (754)     754
Stock-based compensation 63,485 58,390     58,390     5,095
Ending balance (in shares) at Dec. 31, 2023     111,737,245          
Ending balance at Dec. 31, 2023 (1,100,934) (251,382) $ 1,330 (1,836,326) 3,647,161 3,406 (2,066,953) (849,552)
Net income 639,716 501,078         501,078 138,638
Currency translation adjustment (12,700) (9,106)       (9,106)   (3,594)
Exercise of stock options (in shares)     17,285          
Exercise of stock options 1,017 1,017     1,017      
Issuance of restricted stock (in shares)     597,633          
Issuance of restricted stock 8,053 8,015 $ 6   8,009     38
Cancellation of restricted stock (in shares)     (29,708)          
Shares repurchased by the Company and held as treasury shares (in shares)     (4,500,888)          
Shares repurchased by the Company and held as treasury shares (405,281) (405,281)   (405,281)        
Cash dividends declared (139,894) (111,115)         (111,115) (28,779)
Distribution to noncontrolling interest (16,988)             (16,988)
Transactions with subsidiary minority shareholders 0 (11,643)     (11,643)     11,643
Stock-based compensation 58,408 54,256     54,256     4,152
Ending balance (in shares) at Dec. 31, 2024     107,821,567          
Ending balance at Dec. 31, 2024 (968,603) (224,161) $ 1,336 (2,241,607) 3,698,800 (5,700) (1,676,990) (744,442)
Net income 409,135 327,334         327,334 81,801
Currency translation adjustment 3,735 2,564       2,564   1,171
Exercise of stock options (in shares)     6,700          
Exercise of stock options 457 457     457      
Issuance of restricted stock (in shares)     760,715          
Issuance of restricted stock 7,922 7,922 $ 7   7,915      
Cancellation of restricted stock (in shares)     (25,077)          
Shares repurchased by the Company and held as treasury shares (in shares)     (4,574,118)          
Shares repurchased by the Company and held as treasury shares (379,787) (379,787)   (379,787)        
Cash dividends declared (175,926) (104,583)         (104,583) (71,343)
Distribution to noncontrolling interest (25,672)             (25,672)
Transactions with subsidiary minority shareholders 0 1,356     1,356     (1,356)
Stock-based compensation 97,460 93,406     93,406     4,054
Ending balance (in shares) at Dec. 31, 2025     103,989,787          
Ending balance at Dec. 31, 2025 $ (1,031,279) $ (275,492) $ 1,343 $ (2,621,394) $ 3,801,934 $ (3,136) $ (1,454,239) $ (755,787)