| Ticker Details |
Cedar Fair, L.P.
Cedar Fair LP is a regional amusement park operator. It owns amusement parks, outdoor water parks, indoor water park and hotels across the United States.
|
| IPO Date: |
May 1, 1987 |
| Sector: |
Consumer Disc |
| Industry: |
Hotels, Restaurants and Leisure |
| Market Cap: |
$1.85B |
| Activated in VL: |
True |
| Average Daily Range |
| Avg Daily Range: |
$0.45 | 1.33%
|
| Avg Daily Range (30 D): |
$0.56 | 3.24%
|
| Avg Daily Range (90 D): |
$0.59 | 3.31%
|
| Institutional Daily Volume |
| Avg Daily Volume: |
.35M |
| Avg Daily Volume (30 D): |
2.15M |
| Avg Daily Volume (90 D): |
2.96M |
| Trade Size |
| Avg Trade Size (Sh.): |
110 |
| Avg Trade Size (Sh.) (30 D): |
76 |
| Avg Trade Size (Sh.) (90 D): |
90 |
| Institutional Trades |
| Total Institutional Trades: |
4,249 |
| Avg Institutional Trade: |
$3.43M |
| Avg Institutional Trade (30 D): |
$4.01M |
| Avg Institutional Trade (90 D): |
$4.15M |
| Avg Institutional Trade Volume: |
.09M |
| Avg Institutional Trades (Per Day): |
2 |
| Market Closing Trades |
| Avg Closing Trade: |
$5.8M |
| Avg Closing Trade (30 D): |
$5M |
| Avg Closing Trade (90 D): |
$6.83M |
| Avg Closing Volume: |
164.84K |
|
|
| News |
Jan 20, 2026 @ 11:08 AM
After a Lousy 2025, Can Theme Park Stocks Bounce B...
Source: Rick Munarriz
|
Jan 5, 2026 @ 7:09 PM
DEADLINE ALERT for FUN, TLX, LRN, PRMB: Law Office...
Source: Law Offices Of Howard G. Smith
|
Jan 5, 2026 @ 6:30 PM
3 Bold Predictions for Realty Income in 2026
Source: Matt Dilallo
|
Jan 2, 2026 @ 7:49 PM
SIX FLAGS URGENT DEADLINE ALERT: Bragar Eagel & Sq...
Source: Bragar Eagel & Squire, P.C.
|
Jan 1, 2026 @ 4:35 PM
FUN Investors Have Opportunity to Lead Six Flags E...
Source: Schall Law Firm
|
| Financials |
| |
TTM |
Q2 2025 |
Q1 2025 |
|
Basic EPS
|
$-11.77
|
$-.99
|
$-2.2
|
|
Diluted EPS
|
$-11.77
|
$-.99
|
$-2.2
|
|
Revenue
|
$1.32B
|
$930.39M
|
$202.06M
|
|
Gross Profit
|
$1.21B
|
$849.57M
|
$180.46M
|
|
Net Income / Loss
|
$-1162.53M
|
$-74.83M
|
$-219.72M
|
|
Operating Income / Loss
|
$-1103.57M
|
$74.48M
|
$-321.03M
|
|
Cost of Revenue
|
$111.2M
|
$80.82M
|
$21.6M
|
|
Net Cash Flow
|
$-36.7M
|
$45.87M
|
$-21.66M
|
|
PE Ratio
|
|
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