NEWMARK GROUP, INC. (NMRK) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2016: -$644.15M2017: $853.64M2018: -$332.37M2019: $986.76M2020: -$777.69M2021: -$48.71M2022: $1.20B2023: -$265.96M2024: -$9.94M2025: $172.00M$172.00M
2016Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$172.00M+1831.1%
2024-$9.94M+96.3%
2023-$265.96M-122.2%
2022$1.20B+2556.1%
2021-$48.71M+93.7%
2020-$777.69M-178.8%
2019$986.76M+396.9%
2018-$332.37M-138.9%
2017$853.64M+232.5%
2016-$644.15M