Free cash flow · 2016–2025

Newmark Group free cash flow

$143M+$184M · FY2025

Newmark Group (NMRK) reported $143M in free cash flow for fiscal 2025, +$184M from the year before.

−$671M2016$835M2017−$353M2018$952M2019−$797M2020−$68.4M2021$1.1B2022−$321M2023−$41.4M2024$143M2025
Newmark Group — Free cash flow, 2016–2025
Fiscal yearFree cash flowChangeFiling
FY2025$143M+$184MDerived
FY2024−$41.4M+$280MDerived
FY2023−$321M−$1.5BDerived
FY2022$1.1B+$1.2BDerived
FY2021−$68.4M+$729MDerived
FY2020−$797M−$1.7BDerived
FY2019$952M+$1.3BDerived
FY2018−$353M−$1.2BDerived
FY2017$835M+$1.5BDerived
FY2016−$671M—Derived

Free cash flow — Free cash flow is operating cash flow minus capital expenditure: what is left once the company has paid to maintain and expand its asset base. We calculate it from two lines in the same filing, and a company is only ranked here if it reported both.

Every row links to its own SEC filing · Fiscal year 2025 · Data as of September 25, 2026

Calculated from two reported figures, so it has no single filing of its own.

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Cite this page

Ready-made references for the figures on this page, as published on September 25, 2026.

Wikipedia

{{cite web |title=Newmark Group free cash flow |url=https://companiesranked.com/en/company/newmark-group/free-cash-flow |website=CompaniesRanked |date=2026-09-25 |language=en}}

APA 7

CompaniesRanked. (September 25, 2026). Newmark Group free cash flow. CompaniesRanked. https://companiesranked.com/en/company/newmark-group/free-cash-flow

BibTeX

@misc{companiesranked-en-company-newmark-group-free-cash-flow-2026,
  author       = {{CompaniesRanked}},
  title        = {{Newmark Group free cash flow}},
  year         = {2026},
  howpublished = {\url{https://companiesranked.com/en/company/newmark-group/free-cash-flow}},
  note         = {Compiled from SEC EDGAR XBRL filings; data as of 2026-09-25},
  urldate      = {2026-09-25}
}

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