Newmark Group (NMRK) β†’ Stock, financial statements
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Newmark Group

9.97 USD -1.09 (-6.21%)
Jul 01 πŸ‡ΊπŸ‡Έ NASDAQ NMRK
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Financial statements β€” Newmark Group

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20 ← 17 2020 2019 2018 2017
Total Revenue
1.9B 2.2B 2B 1.6B
Cost Of Revenue
0 0 0 0
Gross Profit
1.9B 2.2B 2B 1.6B
Research and Development
0 0 0 0
Selling General and Admin
290M 360M 330M 220M
Operating Expense
1.7B 2.1B 1.8B 1.5B
Operating Income
170M 170M 210M 130M
Other Income Expense Net
0 0 0 0
EBIT
170M 170M 210M 130M
Interest Income
38M 32M 50M -2.8M
Pretax Income
150M 210M 280M 200M
Income Tax
37M 52M 90M 57M
Minority Interest
29M 44M 85M 600K
Net Income
70M 120M 110M 140M
Net Income Basic
70M 120M 110M 140M
20 ← 17 2020 2019 2018 2017
Current cash
220M 200M 170M 180M
Short term investments
1.2B 310M 1B 380M
Receivables
380M 510M 470M 210M
Inventory
0 0 0 0
Other current assets
64M 91M 58M 21M
Current assets
1.8B 1.1B 1.8B 830M
Long term investments
2.2B 2.1B 1.7B 1.4B
Property plant equipment
96M 98M 79M 65M
Goodwill
560M 560M 520M 480M
Intangible assets
44M 45M 36M 25M
Other assets
1M 940M 760M 600M
Total assets
4B 3.2B 3.5B 2.3B
Accounts payable
0 0 0 0
Current long term debt
1.1B 210M 990M 450M
Other current liabilities
640M 840M 680M 330M
Total current liabilities
1.7B 1B 1.7B 780M
Long term debt
680M 590M 540M 1.1B
Other liabilities
440M 380M 170M 160M
Minority Interest
290M 360M 520M -17M
Total Liabilities
3.3B 2.6B 2.9B 2B
Common stock
180M 180M 160M 130M
Retained earning
340M 310M 280M 200M
Treasury stock
-41M -35M -490K 0
Capital surplus
β€’ β€’ β€’ β€’
Shareholder equity
660M 600M 570M 260M
Net tangible assets
50M -3.5M 16M -240M
20 ← 17 2020 2019 2018 2017
Net Income
70M 120M 110M 140M
Depreciation
140M 130M 98M 96M
Changes in receivables
-130M 36M 260M 210M
Changes in inventories
0 0 0 0
Cash change
24M 29M -7.2M 180M
Cash flow
-780M 990M -330M 850M
Capital expenditures
-20M -35M -21M -19M
Investments
β€’ β€’ β€’ β€’
Investing activity other
β€’ β€’ β€’ β€’
Total investing cash flows
-3.6M -57M 7.7M 380K
Dividends paid
β€’ β€’ β€’ β€’
Net borrowings
370M 290M 300M 970M
Other financing cash flows
β€’ β€’ β€’ β€’
Cash flow financing
820M -900M 340M -800M
Exchange rate effect
β€’ β€’ β€’ β€’

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