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NEWMONT CORPORATION CDI 1:1 (NEMCL)

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  • 110.650
  • 0.0000.00%
15min DelayClose Mar 17 09:52 ET
119.49BMarket Cap17.32P/E (TTM)

NEWMONT CORPORATION CDI 1:1 (NEMCL) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
63.56%10.33B
44.21%3.62B
40.38%2.3B
71.02%2.38B
161.73%2.03B
129.41%6.32B
307.63%2.51B
63.54%1.64B
112.50%1.39B
61.33%776M
Net income from continuing operations
111.98%7.17B
-5.21%1.35B
99.46%1.84B
142.12%2.08B
962.57%1.9B
237.05%3.38B
145.14%1.42B
466.87%924M
452.90%857M
-50.69%179M
Operating gains losses
-189.19%-965M
-53.81%109M
-186.09%-99M
-384.15%-699M
-156.91%-276M
425.24%1.08B
-1.67%236M
5,650.00%115M
--246M
--485M
Depreciation and amortization
-2.14%2.52B
-3.48%665M
1.90%643M
2.99%620M
-9.33%593M
22.20%2.58B
1.17%689M
31.46%631M
23.87%602M
41.87%654M
Deferred tax
1,638.75%1.39B
747.83%975M
957.14%74M
328.42%217M
135.85%125M
176.92%80M
213.86%115M
129.17%7M
-1,683.33%-95M
253.33%53M
Other non cash items
-21.85%93M
-100.00%-282M
-15.85%138M
826.67%139M
20.99%98M
-93.05%119M
-110.05%-141M
-16.33%164M
-77.94%15M
80.00%81M
Change In working capital
79.51%-210M
-46.02%61M
-36.84%-286M
159.32%156M
78.83%-141M
-99.81%-1.03B
166.08%113M
-264.57%-209M
-145.79%-263M
-83.98%-666M
-Change in receivables
78.91%-93M
-24.63%-167M
-344.58%-369M
253.57%215M
371.43%228M
-83.75%-441M
74.76%-134M
-171.55%-83M
-170.00%-140M
-236.00%-84M
-Change in inventory
14.98%-454M
-343.48%-112M
47.52%-106M
67.03%-61M
9.33%-175M
-185.56%-534M
-39.47%46M
-10,000.00%-202M
-105.56%-185M
-12.87%-193M
-Change in payables and accrued expense
334.80%1.39B
100.00%720M
173.30%481M
160.38%276M
72.14%-90M
129.50%319M
-0.83%360M
179.37%176M
171.62%106M
-132.37%-323M
-Change in other current assets
-485.94%-247M
-10,500.00%-104M
-742.86%-45M
-241.27%-89M
-28.57%-9M
28.00%64M
-80.00%1M
-76.67%7M
1,675.00%63M
-136.84%-7M
-Change in other working capital
-85.45%-803M
-72.50%-276M
-130.84%-247M
-72.90%-185M
-61.02%-95M
-57.45%-433M
-90.48%-160M
-33.75%-107M
-64.62%-107M
-28.26%-59M
Cash from discontinued investing activities
0
0
0
400.00%45M
0
450.00%11M
Operating cash flow
62.41%10.33B
44.21%3.62B
39.44%2.3B
66.95%2.38B
161.73%2.03B
130.29%6.36B
307.63%2.51B
64.31%1.65B
115.38%1.43B
61.33%776M
Investing cash flow
Cash flow from continuing investing activities
121.23%606M
-11.27%-780M
95.66%-31M
205.93%679M
192.48%738M
-184.93%-2.86B
-181.53%-701M
-182.61%-715M
-305.70%-641M
-133.33%-798M
Net PPE purchase and sale
92.12%-224M
-21.86%-786M
15.68%-613M
151.13%317M
200.94%858M
-6.60%-2.84B
29.89%-645M
-20.36%-727M
-0.65%-620M
-61.60%-850M
Net business purchase and sale
107.50%3M
--0
800.00%7M
-36.36%7M
-210.00%-11M
-106.71%-40M
-109.15%-60M
96.15%-1M
57.14%11M
124.39%10M
Net investment purchase and sale
5,817.65%972M
13.33%34M
57,600.00%577M
794.12%354M
133.33%7M
-101.63%-17M
-87.29%30M
-99.36%1M
-108.21%-51M
-90.63%3M
Net other investing changes
-429.55%-145M
-7.69%-28M
-116.67%-2M
-94.74%1M
-397.44%-116M
100.00%44M
88.24%-26M
-94.55%12M
111.18%19M
-79.79%39M
Cash from discontinued investing activities
Investing cash flow
122.43%606M
-11.27%-780M
94.48%-31M
205.93%679M
192.48%738M
-169.66%-2.7B
-181.53%-701M
-122.13%-562M
-305.70%-641M
-133.33%-798M
Financing cash flow
Cash flow from continuing financing activities
-138.40%-7.04B
30.99%-833M
-254.88%-2.8B
-165.20%-1.75B
-455.85%-1.66B
-84.22%-2.95B
-124.35%-1.21B
-107.09%-789M
-97.01%-658M
14.57%-299M
Net issuance payments of debt
-648.41%-3.53B
6.86%-95M
-1,190.97%-2B
-69.08%-421M
-2,980.00%-1.01B
-602.99%-471M
-436.84%-102M
-868.75%-155M
-1,456.25%-249M
318.75%35M
Net common stock issuance
-84.83%-2.3B
46.37%-428M
-50.00%-516M
-872.12%-1.01B
---348M
---1.25B
---798M
---344M
---104M
--0
Cash dividends paid
3.41%-1.11B
3.55%-272M
4.55%-273M
3.46%-279M
2.08%-282M
19.08%-1.15B
38.83%-282M
10.06%-286M
9.12%-289M
9.43%-288M
Net other financing activities
-16.48%-106M
-52.00%-38M
-150.00%-10M
-112.50%-34M
47.83%-24M
24.79%-91M
56.90%-25M
91.49%-4M
---16M
-187.50%-46M
Cash from discontinued financing activities
Financing cash flow
-138.40%-7.04B
30.99%-833M
-254.88%-2.8B
-165.20%-1.75B
-455.85%-1.66B
-84.22%-2.95B
-124.35%-1.21B
-107.09%-789M
-97.01%-658M
14.57%-299M
Net cash flow
Beginning cash position
17.74%3.65B
85.97%5.67B
135.89%6.22B
98.66%4.73B
17.74%3.65B
5.30%3.1B
-6.56%3.05B
-9.10%2.64B
-12.62%2.38B
5.30%3.1B
Current changes in cash
608.42%4.04B
231.90%2.01B
-228.43%-533M
455.64%1.48B
251.54%1.09B
260.76%570M
453.80%605M
12.47%415M
55.56%266M
-239.34%-716M
Effect of exchange rate changes
80.00%-4M
180.00%4M
-1,200.00%-13M
190.91%10M
-66.67%-5M
-900.00%-20M
-171.43%-5M
80.00%-1M
-375.00%-11M
62.50%-3M
End cash Position
110.52%7.68B
110.52%7.68B
85.97%5.67B
135.89%6.22B
98.66%4.73B
17.74%3.65B
17.74%3.65B
-6.56%3.05B
-9.10%2.64B
-12.62%2.38B
Free cash flow
146.50%7.3B
71.94%2.81B
103.76%1.57B
172.29%1.71B
1,728.38%1.21B
2,952.58%2.96B
638.16%1.64B
93.23%771M
1,236.17%628M
-64.44%-74M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 63.56%10.33B44.21%3.62B40.38%2.3B71.02%2.38B161.73%2.03B129.41%6.32B307.63%2.51B63.54%1.64B112.50%1.39B61.33%776M
Net income from continuing operations 111.98%7.17B-5.21%1.35B99.46%1.84B142.12%2.08B962.57%1.9B237.05%3.38B145.14%1.42B466.87%924M452.90%857M-50.69%179M
Operating gains losses -189.19%-965M-53.81%109M-186.09%-99M-384.15%-699M-156.91%-276M425.24%1.08B-1.67%236M5,650.00%115M--246M--485M
Depreciation and amortization -2.14%2.52B-3.48%665M1.90%643M2.99%620M-9.33%593M22.20%2.58B1.17%689M31.46%631M23.87%602M41.87%654M
Deferred tax 1,638.75%1.39B747.83%975M957.14%74M328.42%217M135.85%125M176.92%80M213.86%115M129.17%7M-1,683.33%-95M253.33%53M
Other non cash items -21.85%93M-100.00%-282M-15.85%138M826.67%139M20.99%98M-93.05%119M-110.05%-141M-16.33%164M-77.94%15M80.00%81M
Change In working capital 79.51%-210M-46.02%61M-36.84%-286M159.32%156M78.83%-141M-99.81%-1.03B166.08%113M-264.57%-209M-145.79%-263M-83.98%-666M
-Change in receivables 78.91%-93M-24.63%-167M-344.58%-369M253.57%215M371.43%228M-83.75%-441M74.76%-134M-171.55%-83M-170.00%-140M-236.00%-84M
-Change in inventory 14.98%-454M-343.48%-112M47.52%-106M67.03%-61M9.33%-175M-185.56%-534M-39.47%46M-10,000.00%-202M-105.56%-185M-12.87%-193M
-Change in payables and accrued expense 334.80%1.39B100.00%720M173.30%481M160.38%276M72.14%-90M129.50%319M-0.83%360M179.37%176M171.62%106M-132.37%-323M
-Change in other current assets -485.94%-247M-10,500.00%-104M-742.86%-45M-241.27%-89M-28.57%-9M28.00%64M-80.00%1M-76.67%7M1,675.00%63M-136.84%-7M
-Change in other working capital -85.45%-803M-72.50%-276M-130.84%-247M-72.90%-185M-61.02%-95M-57.45%-433M-90.48%-160M-33.75%-107M-64.62%-107M-28.26%-59M
Cash from discontinued investing activities 000400.00%45M0450.00%11M
Operating cash flow 62.41%10.33B44.21%3.62B39.44%2.3B66.95%2.38B161.73%2.03B130.29%6.36B307.63%2.51B64.31%1.65B115.38%1.43B61.33%776M
Investing cash flow
Cash flow from continuing investing activities 121.23%606M-11.27%-780M95.66%-31M205.93%679M192.48%738M-184.93%-2.86B-181.53%-701M-182.61%-715M-305.70%-641M-133.33%-798M
Net PPE purchase and sale 92.12%-224M-21.86%-786M15.68%-613M151.13%317M200.94%858M-6.60%-2.84B29.89%-645M-20.36%-727M-0.65%-620M-61.60%-850M
Net business purchase and sale 107.50%3M--0800.00%7M-36.36%7M-210.00%-11M-106.71%-40M-109.15%-60M96.15%-1M57.14%11M124.39%10M
Net investment purchase and sale 5,817.65%972M13.33%34M57,600.00%577M794.12%354M133.33%7M-101.63%-17M-87.29%30M-99.36%1M-108.21%-51M-90.63%3M
Net other investing changes -429.55%-145M-7.69%-28M-116.67%-2M-94.74%1M-397.44%-116M100.00%44M88.24%-26M-94.55%12M111.18%19M-79.79%39M
Cash from discontinued investing activities
Investing cash flow 122.43%606M-11.27%-780M94.48%-31M205.93%679M192.48%738M-169.66%-2.7B-181.53%-701M-122.13%-562M-305.70%-641M-133.33%-798M
Financing cash flow
Cash flow from continuing financing activities -138.40%-7.04B30.99%-833M-254.88%-2.8B-165.20%-1.75B-455.85%-1.66B-84.22%-2.95B-124.35%-1.21B-107.09%-789M-97.01%-658M14.57%-299M
Net issuance payments of debt -648.41%-3.53B6.86%-95M-1,190.97%-2B-69.08%-421M-2,980.00%-1.01B-602.99%-471M-436.84%-102M-868.75%-155M-1,456.25%-249M318.75%35M
Net common stock issuance -84.83%-2.3B46.37%-428M-50.00%-516M-872.12%-1.01B---348M---1.25B---798M---344M---104M--0
Cash dividends paid 3.41%-1.11B3.55%-272M4.55%-273M3.46%-279M2.08%-282M19.08%-1.15B38.83%-282M10.06%-286M9.12%-289M9.43%-288M
Net other financing activities -16.48%-106M-52.00%-38M-150.00%-10M-112.50%-34M47.83%-24M24.79%-91M56.90%-25M91.49%-4M---16M-187.50%-46M
Cash from discontinued financing activities
Financing cash flow -138.40%-7.04B30.99%-833M-254.88%-2.8B-165.20%-1.75B-455.85%-1.66B-84.22%-2.95B-124.35%-1.21B-107.09%-789M-97.01%-658M14.57%-299M
Net cash flow
Beginning cash position 17.74%3.65B85.97%5.67B135.89%6.22B98.66%4.73B17.74%3.65B5.30%3.1B-6.56%3.05B-9.10%2.64B-12.62%2.38B5.30%3.1B
Current changes in cash 608.42%4.04B231.90%2.01B-228.43%-533M455.64%1.48B251.54%1.09B260.76%570M453.80%605M12.47%415M55.56%266M-239.34%-716M
Effect of exchange rate changes 80.00%-4M180.00%4M-1,200.00%-13M190.91%10M-66.67%-5M-900.00%-20M-171.43%-5M80.00%-1M-375.00%-11M62.50%-3M
End cash Position 110.52%7.68B110.52%7.68B85.97%5.67B135.89%6.22B98.66%4.73B17.74%3.65B17.74%3.65B-6.56%3.05B-9.10%2.64B-12.62%2.38B
Free cash flow 146.50%7.3B71.94%2.81B103.76%1.57B172.29%1.71B1,728.38%1.21B2,952.58%2.96B638.16%1.64B93.23%771M1,236.17%628M-64.44%-74M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
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