NEWMARK GROUP, INC. Cash and Equivalents

Quick Answer

NEWMARK GROUP, INC. reported Cash and Equivalents of $229.11 million for fiscal year 2025.

NEWMARK GROUP, INC. Cash and Equivalents — Annual History

Fiscal Year Cash and Equivalents YoY Change
2025 $229.11M +15.9%
2024 $197.69M +19.9%
2023 $164.89M -29.2%
2022 $233.02M +21.8%
2021 $191.33M -0.1%
2020 $191.45M +17.0%
2019 $163.56M +33.5%
2018 $122.47M +1.2%
2017 $121.03M

Quarterly Cash and Equivalents

Quarter Ending Cash and Equivalents YoY QoQ
September 30, 2025 $224.09M +25.5% +14.4%
June 30, 2025 $195.83M +11.0% +24.7%
March 31, 2025 $157.08M +11.5% -20.5%
December 31, 2024 $197.69M +19.9% +10.7%
September 30, 2024 $178.58M +24.6% +1.2%
June 30, 2024 $176.39M +7.3% +25.2%
March 31, 2024 $140.90M -33.1% -14.5%
December 31, 2023 $164.89M -29.2% +15.0%
  • NEWMARK GROUP, INC. showed an increase of +15.9% in Cash and Equivalents compared to the prior fiscal year.
  • Over the 2017–2025 period, NEWMARK GROUP, INC.’s cash and equivalents has grown by 89.3% (from $121.03 million to $229.11 million).
  • The most recent figure is from NEWMARK GROUP, INC.’s fiscal year 2025 report (Form 10-K), filed with the SEC on March 2, 2026.
  • All figures are sourced from SEC EDGAR XBRL filings, last verified June 17, 2026.

Last verified:

Leave a Comment