Ryman Hospitality Properties, Inc

RHPNYSEUSD
119.29 USD
2.23 (1.90%)🟢LIVE (AS OF 01:04 PM EDT)
🟢Market: OPEN
Open?$116.27
High?$119.32
Low?$116.12
Prev. Close?$117.06
Volume?118.1K
Avg. Volume?665.2K
VWAP?$118.50
Rel. Volume?0.18x
Bid / Ask
Bid?$118.98 × 100
Ask?$119.11 × 200
Spread?$0.13
Midpoint?$119.05
Valuation & Ratios
Market Cap?7.4B
Shares Out?63.1M
Float?61.1M
Float %?97.0%
P/E Ratio?29.44
P/B Ratio?10.08
EPS?$3.98
Dividend?3.96%
Ex-Dividend?2026-06-30

Ryman Hospitality Properties, Inc (RHP) trades at $119.29 per share. The technical outlook is "Strong Buy" and the fundamental picture shows "Neutral". Notable factors include exceptional Return on Equity (34.2%), a bullish Golden Cross on the moving averages and bullish moving average alignment. Valuation metrics place RHP at a fair price relative to peers.

Technical & fundamental data as of Jun 5, 2026.

News
Profile
Ryman Hospitality Properties Inc is a lodging and hospitality real estate investment trust that specializes in upscale convention center resorts and country music entertainment experiences. Its core holdings include meetings-focused resorts that are managed by Marriott under the Gaylord Hotels and JW Marriott brands. The company's operations are organized into three segments: Hospitality, Entertainment, and Corporate and Other. The majority of its revenue is generated from the Hospitality segment, which includes the Gaylord Hotels properties, JW Marriott properties, the Inn at Opryland, and the AC Hotel in its portfolio. The Entertainment segment includes the entertainment and media assets comprising Opry Entertainment Group, and the Corporate and Other segment includes corporate expenses.
Employees
1.8K
Market Cap
7.2B
Industry
REAL ESTATE INVESTMENT TRUSTS
Listed
1991-10-23
Address
ONE GAYLORD DR
NASHVILLE, TN 37214
Phone: (615) 316-6000
Technical OutlookStrong Buy
Strong SellNeutralStrong Buy
Long-Term (Tide)? Bullish(+2/3)
Medium-Term (Wave)? Bullish(+3/3)
Short-Term (Ripple)? Bullish(+2/3)
MA Alignment?Golden Alignment
Full Technical Analysis →
Fundamental OutlookNeutral
Strong SellNeutralStrong Buy
F-Score?
40
Z-Score?
50
Momentum?
71
Short Sent.?
89
Piotroski F-Score?4/9Mixed
Confidence?67%Moderate
Full Fundamental Analysis →
Short InterestLow
Short % of Float?2.68%Low
Short Interest?1.6M
Days to Cover?2.2
Free Float61.1M
Avg Daily Volume738.5K
Settlement Date2026-05-15
Financial Health
Current Ratio?1.02Adequate
Quick Ratio?1.02Adequate
Cash Ratio?0.54Adequate
Debt/Equity?5.42High
ValuationFAIRLY VALUEDvs 10 peers + S&P 500
Score
67/100
P/E?
Peers
43
S&P
35
29.4FAIR
P/B?
Peers
9
S&P
19
10.08HIGH
P/S?
Peers
9
S&P
54
2.78CHEAP
P/FCF?
Peers
18
S&P
40
24.4FAIR
EV/EBITDA?
Peers
9
S&P
58
13.7FAIR
EV/Sales?
Peers
9
S&P
45
4.12FAIR
Returns & Efficiency
ROE?
Peers
100
S&P
83
34.2%STRONG
ROA?
Peers
86
S&P
37
4.1%FAIR
Cash Flow & Enterprise
FCF?$302.5M
Enterprise Value?$10.9B
Fundamentals ratios updated end of day