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NEM Newmont

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  • 45.690
  • -2.010-4.21%
Trading Jul 25 15:50 ET
52.69BMarket Cap-16797P/E (TTM)

Newmont Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
112.50%1.39B
61.33%776M
-13.88%2.75B
-39.01%616M
114.81%1B
-36.50%656M
-30.19%481M
-25.04%3.2B
-22.25%1.01B
-58.87%466M
Net income from continuing operations
452.90%857M
-50.69%179M
-568.56%-2.47B
-115.91%-3.15B
-25.91%163M
-61.25%155M
-22.60%363M
-258.37%-369M
-90.84%-1.46B
190.53%220M
Operating gains losses
--191M
--485M
101.96%206M
544.44%240M
122.22%2M
----
----
-71.90%102M
---54M
---9M
Depreciation and amortization
23.87%602M
41.87%654M
-3.52%2.11B
19.26%681M
-5.51%480M
-13.06%486M
-15.72%461M
-5.94%2.19B
-10.64%571M
-10.88%508M
Deferred tax
-1,683.33%-95M
253.33%53M
62.59%-104M
24.06%-101M
29.41%-24M
108.57%6M
136.59%15M
-155.05%-278M
-34.34%-133M
-41.67%-34M
Other non cash items
2.94%70M
126.67%102M
56.88%1.51B
45.62%1.2B
148.10%196M
183.33%68M
28.57%45M
-45.61%960M
-27.00%822M
-88.78%79M
Change In working capital
-145.79%-263M
-83.98%-666M
39.00%-513M
-489.66%-171M
140.97%127M
-189.19%-107M
22.15%-362M
-55.45%-841M
-178.38%-29M
-2,484.62%-310M
-Change in receivables
----
-236.00%-84M
-4,900.00%-240M
-314.84%-531M
31.82%116M
203.03%200M
-19.05%-25M
-96.48%5M
-72.97%-128M
-66.41%88M
-Change in inventory
----
-12.87%-193M
-16.15%-187M
684.62%76M
98.02%-2M
-2,900.00%-90M
-288.64%-171M
-18.38%-161M
-115.85%-13M
-106.12%-101M
-Change in payables and accrued expense
----
-132.37%-323M
139.27%139M
274.23%363M
150.81%63M
-562.50%-148M
61.28%-139M
16.11%-354M
173.48%97M
-188.57%-124M
-Change in other current assets
----
-136.84%-7M
159.52%50M
-94.57%5M
128.85%30M
94.20%-4M
733.33%19M
-333.33%-84M
-59.11%92M
64.98%-104M
-Change in other working capital
----
-28.26%-59M
-11.34%-275M
-9.09%-84M
-15.94%-80M
-3.17%-65M
-21.05%-46M
-53.42%-247M
-20.31%-77M
-60.47%-69M
Cash from discontinued investing activities
34M
-59.09%9M
0
-71.43%2M
69.23%22M
0
-36.36%7M
Operating cash flow
115.38%1.43B
61.33%776M
-14.19%2.76B
-39.01%616M
112.05%1B
-36.43%663M
-30.69%481M
-24.75%3.22B
-22.25%1.01B
-58.65%473M
Investing cash flow
Cash flow from continuing investing activities
-305.70%-641M
-133.33%-798M
66.41%-1B
65.70%-249M
79.31%-253M
69.32%-158M
34.10%-342M
-59.69%-2.98B
-106.84%-726M
-213.59%-1.22B
Net PPE purchase and sale
-29.87%-800M
-61.60%-850M
-26.05%-2.67B
-46.03%-920M
-14.18%-604M
-18.69%-616M
-20.37%-526M
-34.80%-2.12B
-76.47%-630M
-32.91%-529M
Net business purchase and sale
57.14%11M
124.39%10M
505.44%596M
1,495.74%656M
45.83%-26M
153.85%7M
-5.13%-41M
68.04%-147M
-30.56%-47M
-14.29%-48M
Net investment purchase and sale
-113.37%-83M
-171.88%-23M
254.73%1.05B
125.00%17M
158.66%376M
1,578.38%621M
900.00%32M
-600.74%-676M
-261.90%-68M
-2,770.83%-641M
Net other investing changes
235.88%231M
-66.32%65M
148.89%22M
-110.53%-2M
120.00%1M
-750.00%-170M
594.87%193M
-273.08%-45M
--19M
---5M
Cash from discontinued investing activities
Investing cash flow
-305.70%-641M
-133.33%-798M
66.41%-1B
65.70%-249M
79.31%-253M
69.32%-158M
34.10%-342M
-59.69%-2.98B
-106.84%-726M
-213.59%-1.22B
Financing cash flow
Cash flow from continuing financing activities
-97.01%-658M
14.57%-299M
31.96%-1.6B
-12.32%-538M
17.17%-381M
36.02%-334M
60.89%-350M
20.35%-2.36B
19.50%-479M
34.00%-460M
Net issuance payments of debt
-1,456.25%-249M
318.75%35M
56.77%-67M
-18.75%-19M
0.00%-16M
-6.67%-16M
85.19%-16M
66.52%-155M
-111.35%-16M
11.11%-16M
Net common stock issuance
---104M
----
--0
----
----
----
----
--0
----
----
Cash dividends paid
9.12%-289M
9.43%-288M
18.96%-1.42B
-5.73%-461M
27.23%-318M
27.23%-318M
27.06%-318M
0.63%-1.75B
0.00%-436M
0.68%-437M
Net other financing activities
---16M
-187.50%-46M
73.41%-121M
-114.81%-58M
-571.43%-47M
--0
95.44%-16M
-113.62%-455M
-17.39%-27M
94.40%-7M
Cash from discontinued financing activities
Financing cash flow
-97.01%-658M
14.57%-299M
31.96%-1.6B
-12.32%-538M
17.17%-381M
36.02%-334M
60.89%-350M
20.35%-2.36B
19.50%-479M
34.00%-460M
Net cash flow
Beginning cash position
-12.62%2.38B
5.30%3.1B
-42.20%2.94B
3.95%3.26B
-33.64%2.9B
-37.73%2.73B
-42.20%2.94B
-9.83%5.09B
-33.83%3.14B
-6.84%4.37B
Current changes in cash
55.56%266M
-239.34%-716M
107.46%158M
12.31%-171M
130.50%369M
2,750.00%171M
70.69%-211M
-287.39%-2.12B
-155.24%-195M
-2,222.81%-1.21B
Effect of exchange rate changes
-375.00%-11M
62.50%-3M
93.33%-2M
800.00%7M
75.00%-5M
133.33%4M
-366.67%-8M
-275.00%-30M
80.00%-1M
-566.67%-20M
End cash Position
-9.10%2.64B
-12.62%2.38B
5.30%3.1B
5.30%3.1B
3.95%3.26B
-33.64%2.9B
-37.73%2.73B
-42.20%2.94B
-42.20%2.94B
-33.83%3.14B
Free cash flow
1,236.17%628M
-64.44%-74M
-91.09%97M
-183.52%-304M
812.50%399M
-91.03%47M
-117.51%-45M
-58.53%1.09B
-57.58%364M
-107.51%-56M
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
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 112.50%1.39B61.33%776M-13.88%2.75B-39.01%616M114.81%1B-36.50%656M-30.19%481M-25.04%3.2B-22.25%1.01B-58.87%466M
Net income from continuing operations 452.90%857M-50.69%179M-568.56%-2.47B-115.91%-3.15B-25.91%163M-61.25%155M-22.60%363M-258.37%-369M-90.84%-1.46B190.53%220M
Operating gains losses --191M--485M101.96%206M544.44%240M122.22%2M---------71.90%102M---54M---9M
Depreciation and amortization 23.87%602M41.87%654M-3.52%2.11B19.26%681M-5.51%480M-13.06%486M-15.72%461M-5.94%2.19B-10.64%571M-10.88%508M
Deferred tax -1,683.33%-95M253.33%53M62.59%-104M24.06%-101M29.41%-24M108.57%6M136.59%15M-155.05%-278M-34.34%-133M-41.67%-34M
Other non cash items 2.94%70M126.67%102M56.88%1.51B45.62%1.2B148.10%196M183.33%68M28.57%45M-45.61%960M-27.00%822M-88.78%79M
Change In working capital -145.79%-263M-83.98%-666M39.00%-513M-489.66%-171M140.97%127M-189.19%-107M22.15%-362M-55.45%-841M-178.38%-29M-2,484.62%-310M
-Change in receivables -----236.00%-84M-4,900.00%-240M-314.84%-531M31.82%116M203.03%200M-19.05%-25M-96.48%5M-72.97%-128M-66.41%88M
-Change in inventory -----12.87%-193M-16.15%-187M684.62%76M98.02%-2M-2,900.00%-90M-288.64%-171M-18.38%-161M-115.85%-13M-106.12%-101M
-Change in payables and accrued expense -----132.37%-323M139.27%139M274.23%363M150.81%63M-562.50%-148M61.28%-139M16.11%-354M173.48%97M-188.57%-124M
-Change in other current assets -----136.84%-7M159.52%50M-94.57%5M128.85%30M94.20%-4M733.33%19M-333.33%-84M-59.11%92M64.98%-104M
-Change in other working capital -----28.26%-59M-11.34%-275M-9.09%-84M-15.94%-80M-3.17%-65M-21.05%-46M-53.42%-247M-20.31%-77M-60.47%-69M
Cash from discontinued investing activities 34M-59.09%9M0-71.43%2M69.23%22M0-36.36%7M
Operating cash flow 115.38%1.43B61.33%776M-14.19%2.76B-39.01%616M112.05%1B-36.43%663M-30.69%481M-24.75%3.22B-22.25%1.01B-58.65%473M
Investing cash flow
Cash flow from continuing investing activities -305.70%-641M-133.33%-798M66.41%-1B65.70%-249M79.31%-253M69.32%-158M34.10%-342M-59.69%-2.98B-106.84%-726M-213.59%-1.22B
Net PPE purchase and sale -29.87%-800M-61.60%-850M-26.05%-2.67B-46.03%-920M-14.18%-604M-18.69%-616M-20.37%-526M-34.80%-2.12B-76.47%-630M-32.91%-529M
Net business purchase and sale 57.14%11M124.39%10M505.44%596M1,495.74%656M45.83%-26M153.85%7M-5.13%-41M68.04%-147M-30.56%-47M-14.29%-48M
Net investment purchase and sale -113.37%-83M-171.88%-23M254.73%1.05B125.00%17M158.66%376M1,578.38%621M900.00%32M-600.74%-676M-261.90%-68M-2,770.83%-641M
Net other investing changes 235.88%231M-66.32%65M148.89%22M-110.53%-2M120.00%1M-750.00%-170M594.87%193M-273.08%-45M--19M---5M
Cash from discontinued investing activities
Investing cash flow -305.70%-641M-133.33%-798M66.41%-1B65.70%-249M79.31%-253M69.32%-158M34.10%-342M-59.69%-2.98B-106.84%-726M-213.59%-1.22B
Financing cash flow
Cash flow from continuing financing activities -97.01%-658M14.57%-299M31.96%-1.6B-12.32%-538M17.17%-381M36.02%-334M60.89%-350M20.35%-2.36B19.50%-479M34.00%-460M
Net issuance payments of debt -1,456.25%-249M318.75%35M56.77%-67M-18.75%-19M0.00%-16M-6.67%-16M85.19%-16M66.52%-155M-111.35%-16M11.11%-16M
Net common stock issuance ---104M------0------------------0--------
Cash dividends paid 9.12%-289M9.43%-288M18.96%-1.42B-5.73%-461M27.23%-318M27.23%-318M27.06%-318M0.63%-1.75B0.00%-436M0.68%-437M
Net other financing activities ---16M-187.50%-46M73.41%-121M-114.81%-58M-571.43%-47M--095.44%-16M-113.62%-455M-17.39%-27M94.40%-7M
Cash from discontinued financing activities
Financing cash flow -97.01%-658M14.57%-299M31.96%-1.6B-12.32%-538M17.17%-381M36.02%-334M60.89%-350M20.35%-2.36B19.50%-479M34.00%-460M
Net cash flow
Beginning cash position -12.62%2.38B5.30%3.1B-42.20%2.94B3.95%3.26B-33.64%2.9B-37.73%2.73B-42.20%2.94B-9.83%5.09B-33.83%3.14B-6.84%4.37B
Current changes in cash 55.56%266M-239.34%-716M107.46%158M12.31%-171M130.50%369M2,750.00%171M70.69%-211M-287.39%-2.12B-155.24%-195M-2,222.81%-1.21B
Effect of exchange rate changes -375.00%-11M62.50%-3M93.33%-2M800.00%7M75.00%-5M133.33%4M-366.67%-8M-275.00%-30M80.00%-1M-566.67%-20M
End cash Position -9.10%2.64B-12.62%2.38B5.30%3.1B5.30%3.1B3.95%3.26B-33.64%2.9B-37.73%2.73B-42.20%2.94B-42.20%2.94B-33.83%3.14B
Free cash flow 1,236.17%628M-64.44%-74M-91.09%97M-183.52%-304M812.50%399M-91.03%47M-117.51%-45M-58.53%1.09B-57.58%364M-107.51%-56M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

Analyst Rating

No Data

Price Target

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