Wynn Resorts Ltd. | Mutual Funds

Mutual Funds that own Wynn Resorts Ltd.

Name
Shares Held
% Shares Out
Change In Shares
% of Assets
As of Date
Harbor International Fund
4,037,477
3.72%
-1,234,493
2.64%
06/30/2018
T Rowe Price Growth Stock Fund
2,574,559
2.37%
139,126
0.68%
06/30/2018
Vanguard Total Stock Market Index Fund
2,455,385
2.25%
8,636
0.05%
07/31/2018
Vanguard Mid Cap Index Fund
2,315,645
2.13%
12,235
0.33%
07/31/2018
American Funds AMCAP Fund
1,676,261
1.54%
1,676,261
0.4%
06/30/2018
Vanguard 500 Index Fund
1,533,649
1.41%
1,954
0.05%
07/31/2018
T Rowe Price Blue Chip Growth Fund
1,469,119
1.35%
307,500
0.38%
06/30/2018
American Funds Washington Mutual Investors
1,451,400
1.34%
1,451,400
0.22%
06/30/2018
CREF Stock Account
1,111,735
1.02%
186,606
0.13%
03/31/2018
SPDR S&P 500 ETF
931,867
0.86%
10,850
0.05%
09/06/2018

About Wynn Resorts

View Profile
Address
3131 Las Vegas Boulevard South
Las Vegas Nevada 89109
United States
Employees -
Website http://www.wynnresorts.com
Updated 07/08/2019
Wynn Resorts Ltd. is a holding company, which engages in the development, ownership, and operation of destination casino resorts. It operates through the following segments: Wynn Macau, Wynn Palace, and Las Vegas Operations. The Las Vegas Operations segment covers Wynn Las Vegas and Encore.