GAMING AND LEISURE PROPERTIES REIT (GLPI)
NASDAQ • Real Estate
Last close at August 11, 2026 at 20:00 UTC
Fundamentals Charts
About GAMING AND LEISURE PROPERTIES REIT
Gaming and Leisure Properties, Inc. owns casino and gaming properties as a NASDAQ-listed real estate company and leases them to operators as leased assets. In this specialty REIT business, it generated $1.6 billion of revenue in FY2025, primarily from rental income tied to those leased properties.
Analyst Ratings
Fundamentals & Financials
TTM is calculated as the sum of the four most recently completed quarters. This is a standard approach when monthly or real-time data is not available.
Income Statement
Balance Sheet
Financial Highlights
Dividends History
Split History
Earnings Calendar
Technical Indicators
GAMING AND LEISURE PROPERTIES REIT's Technical Indicators Summary
GLPI presents a predominantly bearish technical picture with the current price below most moving averages, indicating downside across short, medium and long horizons, and momentum and MACD are negative. CCI and RSI point to weakness while ADX is low, suggesting the move lacks strong trend momentum, and on-balance volume is negative, which reinforces selling pressure. Volatility is modest and VWAP is roughly aligned with the price, offering limited intraday support. Technical takeaway: Sell — moving averages, negative momentum, and weak volume paint a bearish technical setup.
| Indicator | Value |
|---|---|
RSI (14) | 37.97 |
Stochastic %K (14, 3, 3) | 6.75 |
CCI (20) | -168.22 |
WPR (14) | -88.57 |
Momentum (10) | -3.07 |
MFI | 36.60 |
MACD Level (12, 26) | -0.48 |
Bollinger Bands | $42.66 - $46.29 |
ATR (14) | $0.89 (2.08%) |
ADX (14) | 14.93 |
OBV | -21,798,857 |
VWAP | $42.98 |
Classic Pivot Point | $42.75 |
Fibonacci Pivot Point | $42.75 |
Simple Moving Averages | $43.89 - $45.88(5 indicators) |
Exponential Moving Averages | $43.70 - $45.57(5 indicators) |
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Today's Snapshot
GLPI eased upward and sits 0.86% over yesterday’s close of 42.64. Flow is tepid, with trading only 0.51× the standard volume profile. Sector returns are modestly in the green at 0.78%, helping to underpin risk appetite.
Trading Volume
Below 10d avg (2.2M)
1.1M
vs S&P 500 Today
Outperforming Market
+0.61%
52-Week Position
Lower range
20.9%
Updated: August 12, 2026 at 17:08 UTC