Newmark Group, Inc.

NASDAQ:NMRK

13.76 (USD) • At close January 22, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

20222021202020192018201720162015
Operating Activities:
Net Income 112.545978.134109.277161.712191.898145.096167.212-2.726
Depreciation & Amortization 165.816121.729141.193131.14497.73395.81572.19771.774
Deferred Income Tax -24.499118.6490.419-27.85216.38744.383-1.141-11.281
Stock Based Compensation 138.312356.345130.759258.836224.64410-1.0990.172
Change In Working Capital -205.547-349.606-162.02-173.055-45.92.026-53.912-75.201
Accounts Receivables 42.444-191.271123.743-52.021-129.49-57.1759.462-17.311
Inventory 0-70.699-127.979-251.705-119.4931.76500
Accounts Payables -35.333-4.399-82.41590.712152.88513.10300
Other Working Capital -212.658-83.237-75.36939.95950.19844.333-63.374-57.89
Other Non Cash Items 1,009.72-1,285.16-997.322635.975-817.129554.897-829.595404.413
Operating Cash Flow 1,196.34-59.91-777.694986.76-332.367852.217-646.338387.151
Investing Activities:
Investments In Property Plant And Equipment -62.189-19.721-19.826-36.015-24.123-21.124-34.936-21.392
Acquisitions Net -64.247-69.755-5.85-33.939-34.5132.7930.5182.655
Purchases Of Investments -2.755-8.5-12.754-28-29.5-2.79300
Sales Maturities Of Investments 437.82551.06434.73832.60695.87818.7100
Other Investing Activites 000.098.5602.79300
Investing Cash Flow 308.629453.088-3.602-56.7887.7420.379-34.418-18.737
Financing Activities:
Debt Repayment -8,876.5-9,347.66-11,797.7-9,650.96-9,538.73-10,188.1-8,980.15-6,293.25
Common Stock Issued 09,303.8812,739.28,938.22504.129000
Common Stock Repurchased -294.802-290.538-6.364-37.368-0.486000
Dividends Paid -17.933-7.631-23.171-69.245-41.787000
Other Financing Activities 7,730.71-54.33-94.196-76.1549,415.539,389.949,616.15,942.13
Financing Cash Flow -1,458.52-396.278817.823-895.506338.657-798.196635.953-351.116
Other Information:
Effect Of Forex Changes On Cash 0000-2000
Net Change In Cash 46.452-3.136.52734.46614.03254.4-44.80317.298
Cash At End Of Period 312.952255.299258.399221.872187.406121.02766.627111.43