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NGT Newmont Corp

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  • 63.460
  • +0.310+0.49%
15min DelayTrading Nov 4 13:55 ET
72.25BMarket Cap-22134P/E (TTM)

Newmont Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-4.82%3.06B
-18.10%2.65B
-32.68%2.36B
-19.48%3.03B
-19.48%3.03B
-15.71%3.21B
-25.70%3.24B
-19.34%3.5B
-25.96%3.76B
-25.96%3.76B
-Cash and cash equivalents
-5.45%3.02B
-8.02%2.6B
-12.08%2.34B
4.34%3B
4.34%3B
4.32%3.19B
-34.32%2.83B
-37.80%2.66B
-42.37%2.88B
-42.37%2.88B
-Short term investments
79.17%43M
-87.78%50M
-97.28%23M
-97.39%23M
-97.39%23M
-96.82%24M
701.96%409M
1,076.39%847M
973.17%880M
973.17%880M
Receivables
1,148.72%974M
416.22%955M
124.71%782M
77.83%1.23B
77.83%1.23B
-73.01%78M
-49.18%185M
-15.74%348M
104.75%690M
104.75%690M
-Accounts receivable
1,148.72%974M
416.22%955M
124.71%782M
100.55%734M
100.55%734M
-73.01%78M
-49.18%185M
-15.74%348M
8.61%366M
8.61%366M
-Other receivables
----
----
----
52.16%493M
52.16%493M
----
----
----
--324M
--324M
Inventory
11.20%2.18B
9.09%2.15B
8.01%2.13B
50.71%2.64B
50.71%2.64B
15.47%1.96B
17.62%1.97B
12.30%1.97B
-1.90%1.75B
-1.90%1.75B
Hedging assets-current
--42M
--71M
--114M
1,550.00%198M
1,550.00%198M
----
----
----
--12M
--12M
Holding assets for sale
--5.57B
--5.37B
--5.66B
----
----
----
----
----
----
----
Other current assets
6.51%753M
17.79%874M
4.08%765M
38.61%420M
38.61%420M
34.92%707M
45.21%742M
34.62%735M
-39.16%303M
-39.16%303M
Total current assets
111.20%12.58B
96.77%12.07B
80.00%11.81B
15.30%7.51B
15.30%7.51B
-5.78%5.96B
-11.19%6.13B
-7.08%6.56B
-15.35%6.52B
-15.35%6.52B
Non current assets
Net PPE
37.68%33.7B
38.59%33.66B
39.29%33.56B
56.04%37.56B
56.04%37.56B
1.34%24.47B
0.63%24.28B
0.11%24.1B
-0.21%24.07B
-0.21%24.07B
-Gross PPE
----
----
----
36.47%57.62B
36.47%57.62B
----
----
----
5.27%42.23B
5.27%42.23B
-Accumulated depreciation
----
----
----
-10.51%-20.06B
-10.51%-20.06B
----
----
----
-13.53%-18.15B
-13.53%-18.15B
Investments and advances
32.46%4.15B
30.55%4.14B
28.67%4.14B
26.39%4.14B
26.39%4.14B
-2.03%3.13B
-0.97%3.17B
-3.57%3.22B
1.08%3.28B
1.08%3.28B
-Long term equity investment
32.03%3.89B
31.28%3.87B
31.67%3.88B
28.24%3.91B
28.24%3.91B
-2.23%2.94B
--2.95B
--2.95B
3.95%3.05B
3.95%3.05B
-Financial asset investment
39.15%263M
20.98%271M
-4.49%255M
1.33%229M
1.33%229M
1.07%189M
--224M
--267M
-26.38%226M
-26.38%226M
-Including:Available-for-sale securities
39.15%263M
20.98%271M
-4.49%255M
1.33%229M
1.33%229M
1.07%189M
--224M
--267M
-26.38%226M
-26.38%226M
Financial assets
--161M
--181M
--412M
126.53%444M
126.53%444M
----
----
----
--196M
--196M
Goodwill and other intangible assets
38.05%2.72B
41.65%2.79B
41.65%2.79B
52.26%3B
52.26%3B
-28.87%1.97B
-28.87%1.97B
-28.87%1.97B
-28.87%1.97B
-28.87%1.97B
-Goodwill
38.05%2.72B
41.65%2.79B
41.65%2.79B
52.26%3B
52.26%3B
-28.87%1.97B
-28.87%1.97B
-28.87%1.97B
-28.87%1.97B
-28.87%1.97B
Non current deferred assets
65.94%229M
64.46%273M
23.53%210M
54.91%268M
54.91%268M
-33.65%138M
-20.57%166M
-25.11%170M
-35.69%173M
-35.69%173M
Other non current assets
9.41%2.64B
6.65%2.57B
2.20%2.41B
13.14%2.58B
13.14%2.58B
-3.33%2.41B
-2.55%2.41B
-3.67%2.36B
-7.52%2.28B
-7.52%2.28B
Total non current assets
35.70%43.6B
36.28%43.61B
36.82%43.53B
50.14%47.99B
50.14%47.99B
-2.11%32.13B
-2.39%32B
-3.16%31.82B
-2.74%31.97B
-2.74%31.97B
Total assets
47.50%56.18B
46.01%55.68B
44.20%55.34B
44.24%55.51B
44.24%55.51B
-2.71%38.08B
-3.92%38.13B
-3.86%38.37B
-5.13%38.48B
-5.13%38.48B
Liabilities
Current liabilities
Current debt and capital lease obligation
19.15%112M
8.33%104M
3.13%99M
2,021.88%2.04B
2,021.88%2.04B
0.00%94M
-2.04%96M
-7.69%96M
-50.26%96M
-50.26%96M
-Current debt
----
----
----
--1.92B
--1.92B
----
----
----
----
----
-Current capital lease obligation
19.15%112M
8.33%104M
3.13%99M
18.75%114M
18.75%114M
0.00%94M
-2.04%96M
-7.69%96M
-9.43%96M
-9.43%96M
Payables
42.29%1.23B
32.62%1.05B
2.40%940M
60.77%1.46B
60.77%1.46B
8.42%863M
-5.27%791M
9.81%918M
-10.93%905M
-10.93%905M
-accounts payable
18.59%772M
20.88%683M
7.72%698M
51.66%960M
51.66%960M
14.21%651M
-3.09%565M
31.98%648M
22.20%633M
22.20%633M
-Total tax payable
141.96%346M
89.03%293M
-22.54%165M
103.02%404M
103.02%404M
-17.82%143M
-12.92%155M
-21.98%213M
-48.18%199M
-48.18%199M
-Due to related parties current
59.42%110M
2.82%73M
35.09%77M
24.66%91M
24.66%91M
32.69%69M
-4.05%71M
-20.83%57M
-35.96%73M
-35.96%73M
Current accrued expenses
19.93%650M
26.87%661M
20.89%654M
38.60%930M
38.60%930M
19.12%542M
20.60%521M
31.31%541M
88.48%671M
88.48%671M
Current provisions
55.36%783M
13.11%578M
11.41%576M
17.68%619M
17.68%619M
84.62%504M
81.21%511M
82.69%517M
92.67%526M
92.67%526M
Pension and other retirement benefit plans
57.10%542M
46.01%457M
37.09%414M
38.10%551M
38.10%551M
2.37%345M
-33.55%313M
-17.49%302M
3.37%399M
3.37%399M
Other current liabilities
572.39%3.09B
525.38%2.88B
640.48%2.8B
23.40%406M
23.40%406M
24.66%460M
38.44%461M
-9.13%378M
-23.49%329M
-23.49%329M
Current liabilities
128.21%6.41B
112.85%5.73B
99.20%5.48B
104.99%6B
104.99%6B
20.83%2.81B
9.87%2.69B
13.86%2.75B
10.25%2.93B
10.25%2.93B
Non current liabilities
Long term debt and capital lease obligation
49.96%8.99B
51.64%9.12B
55.55%9.37B
22.58%7.4B
22.58%7.4B
-0.66%5.99B
-0.99%6.02B
-1.36%6.02B
-1.19%6.04B
-1.19%6.04B
-Long term debt
53.36%8.55B
55.94%8.69B
60.32%8.93B
24.77%6.95B
24.77%6.95B
0.11%5.58B
0.11%5.57B
0.11%5.57B
0.11%5.57B
0.11%5.57B
-Long term capital lease obligation
4.55%437M
-2.72%429M
-3.33%436M
-3.66%448M
-3.66%448M
-9.91%418M
-13.02%441M
-16.48%451M
-14.52%465M
-14.52%465M
Long term accounts payable and other payables
-45.98%121M
-44.09%123M
-19.35%175M
-14.08%177M
-14.08%177M
3.70%224M
1.38%220M
-31.33%217M
-37.20%206M
-37.20%206M
Long term provisions
-4.53%6.41B
0.24%6.62B
0.74%6.65B
24.16%8.17B
24.16%8.17B
15.26%6.71B
13.00%6.6B
12.91%6.6B
12.66%6.58B
12.66%6.58B
Employee benefits
59.19%632M
54.39%616M
54.43%610M
91.52%655M
91.52%655M
9.07%397M
7.55%399M
5.33%395M
-22.10%342M
-22.10%342M
Non current deferred liabilities
69.99%2.88B
69.69%3.05B
71.89%3.09B
65.12%2.99B
65.12%2.99B
-9.01%1.7B
-9.16%1.8B
-11.98%1.8B
-19.46%1.81B
-19.46%1.81B
Other non current liabilities
-15.52%838M
-13.61%857M
-14.34%878M
-12.74%918M
-12.74%918M
-11.19%992M
-14.26%992M
-12.77%1.03B
-3.31%1.05B
-3.31%1.05B
Total non current liabilities
24.07%19.87B
27.20%20.38B
29.35%20.78B
26.71%20.3B
26.71%20.3B
3.87%16.02B
2.46%16.03B
1.25%16.06B
-0.16%16.02B
-0.16%16.02B
Total liabilities
39.60%26.28B
39.52%26.12B
39.57%26.26B
38.80%26.3B
38.80%26.3B
6.09%18.82B
3.47%18.72B
2.92%18.82B
1.32%18.95B
1.32%18.95B
Shareholders'equity
Share capital
43.64%1.84B
44.50%1.85B
44.81%1.86B
44.96%1.85B
44.96%1.85B
0.16%1.28B
0.23%1.28B
0.23%1.28B
0.24%1.28B
0.24%1.28B
-common stock
43.64%1.84B
44.50%1.85B
44.81%1.86B
44.96%1.85B
44.96%1.85B
0.16%1.28B
0.23%1.28B
0.23%1.28B
0.24%1.28B
0.24%1.28B
Additional paid-in capital
73.47%30.23B
74.61%30.39B
75.06%30.44B
75.13%30.42B
75.13%30.42B
0.41%17.43B
0.42%17.41B
0.43%17.39B
-3.40%17.37B
-3.40%17.37B
Retained earnings
-437.24%-2.1B
-429.30%-2.59B
-428.16%-3.11B
-427.07%-3B
-427.07%-3B
-77.99%623M
-74.31%785M
-69.49%948M
-70.43%916M
-70.43%916M
Less: Treasury stock
4.94%276M
4.98%274M
4.98%274M
10.46%264M
10.46%264M
10.50%263M
10.59%261M
10.59%261M
19.50%239M
19.50%239M
Gains losses not affecting retained earnings
162.50%21M
-153.85%-7M
-169.57%-16M
-51.72%14M
-51.72%14M
214.29%8M
218.18%13M
291.67%23M
121.80%29M
121.80%29M
Total stockholders'equity
55.77%29.71B
52.82%29.38B
49.09%28.89B
49.98%29.03B
49.98%29.03B
-10.11%19.07B
-10.25%19.23B
-9.66%19.38B
-12.12%19.35B
-12.12%19.35B
Noncontrolling interests
-1.08%184M
-3.16%184M
1.65%185M
-0.56%178M
-0.56%178M
2.76%186M
6.74%190M
0.00%182M
211.18%179M
211.18%179M
Total equity
55.22%29.9B
52.27%29.56B
48.65%29.08B
49.52%29.21B
49.52%29.21B
-10.00%19.26B
-10.11%19.42B
-9.58%19.56B
-10.65%19.53B
-10.65%19.53B
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
--
(Q3)Sep 30, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments -4.82%3.06B-18.10%2.65B-32.68%2.36B-19.48%3.03B-19.48%3.03B-15.71%3.21B-25.70%3.24B-19.34%3.5B-25.96%3.76B-25.96%3.76B
-Cash and cash equivalents -5.45%3.02B-8.02%2.6B-12.08%2.34B4.34%3B4.34%3B4.32%3.19B-34.32%2.83B-37.80%2.66B-42.37%2.88B-42.37%2.88B
-Short term investments 79.17%43M-87.78%50M-97.28%23M-97.39%23M-97.39%23M-96.82%24M701.96%409M1,076.39%847M973.17%880M973.17%880M
Receivables 1,148.72%974M416.22%955M124.71%782M77.83%1.23B77.83%1.23B-73.01%78M-49.18%185M-15.74%348M104.75%690M104.75%690M
-Accounts receivable 1,148.72%974M416.22%955M124.71%782M100.55%734M100.55%734M-73.01%78M-49.18%185M-15.74%348M8.61%366M8.61%366M
-Other receivables ------------52.16%493M52.16%493M--------------324M--324M
Inventory 11.20%2.18B9.09%2.15B8.01%2.13B50.71%2.64B50.71%2.64B15.47%1.96B17.62%1.97B12.30%1.97B-1.90%1.75B-1.90%1.75B
Hedging assets-current --42M--71M--114M1,550.00%198M1,550.00%198M--------------12M--12M
Holding assets for sale --5.57B--5.37B--5.66B----------------------------
Other current assets 6.51%753M17.79%874M4.08%765M38.61%420M38.61%420M34.92%707M45.21%742M34.62%735M-39.16%303M-39.16%303M
Total current assets 111.20%12.58B96.77%12.07B80.00%11.81B15.30%7.51B15.30%7.51B-5.78%5.96B-11.19%6.13B-7.08%6.56B-15.35%6.52B-15.35%6.52B
Non current assets
Net PPE 37.68%33.7B38.59%33.66B39.29%33.56B56.04%37.56B56.04%37.56B1.34%24.47B0.63%24.28B0.11%24.1B-0.21%24.07B-0.21%24.07B
-Gross PPE ------------36.47%57.62B36.47%57.62B------------5.27%42.23B5.27%42.23B
-Accumulated depreciation -------------10.51%-20.06B-10.51%-20.06B-------------13.53%-18.15B-13.53%-18.15B
Investments and advances 32.46%4.15B30.55%4.14B28.67%4.14B26.39%4.14B26.39%4.14B-2.03%3.13B-0.97%3.17B-3.57%3.22B1.08%3.28B1.08%3.28B
-Long term equity investment 32.03%3.89B31.28%3.87B31.67%3.88B28.24%3.91B28.24%3.91B-2.23%2.94B--2.95B--2.95B3.95%3.05B3.95%3.05B
-Financial asset investment 39.15%263M20.98%271M-4.49%255M1.33%229M1.33%229M1.07%189M--224M--267M-26.38%226M-26.38%226M
-Including:Available-for-sale securities 39.15%263M20.98%271M-4.49%255M1.33%229M1.33%229M1.07%189M--224M--267M-26.38%226M-26.38%226M
Financial assets --161M--181M--412M126.53%444M126.53%444M--------------196M--196M
Goodwill and other intangible assets 38.05%2.72B41.65%2.79B41.65%2.79B52.26%3B52.26%3B-28.87%1.97B-28.87%1.97B-28.87%1.97B-28.87%1.97B-28.87%1.97B
-Goodwill 38.05%2.72B41.65%2.79B41.65%2.79B52.26%3B52.26%3B-28.87%1.97B-28.87%1.97B-28.87%1.97B-28.87%1.97B-28.87%1.97B
Non current deferred assets 65.94%229M64.46%273M23.53%210M54.91%268M54.91%268M-33.65%138M-20.57%166M-25.11%170M-35.69%173M-35.69%173M
Other non current assets 9.41%2.64B6.65%2.57B2.20%2.41B13.14%2.58B13.14%2.58B-3.33%2.41B-2.55%2.41B-3.67%2.36B-7.52%2.28B-7.52%2.28B
Total non current assets 35.70%43.6B36.28%43.61B36.82%43.53B50.14%47.99B50.14%47.99B-2.11%32.13B-2.39%32B-3.16%31.82B-2.74%31.97B-2.74%31.97B
Total assets 47.50%56.18B46.01%55.68B44.20%55.34B44.24%55.51B44.24%55.51B-2.71%38.08B-3.92%38.13B-3.86%38.37B-5.13%38.48B-5.13%38.48B
Liabilities
Current liabilities
Current debt and capital lease obligation 19.15%112M8.33%104M3.13%99M2,021.88%2.04B2,021.88%2.04B0.00%94M-2.04%96M-7.69%96M-50.26%96M-50.26%96M
-Current debt --------------1.92B--1.92B--------------------
-Current capital lease obligation 19.15%112M8.33%104M3.13%99M18.75%114M18.75%114M0.00%94M-2.04%96M-7.69%96M-9.43%96M-9.43%96M
Payables 42.29%1.23B32.62%1.05B2.40%940M60.77%1.46B60.77%1.46B8.42%863M-5.27%791M9.81%918M-10.93%905M-10.93%905M
-accounts payable 18.59%772M20.88%683M7.72%698M51.66%960M51.66%960M14.21%651M-3.09%565M31.98%648M22.20%633M22.20%633M
-Total tax payable 141.96%346M89.03%293M-22.54%165M103.02%404M103.02%404M-17.82%143M-12.92%155M-21.98%213M-48.18%199M-48.18%199M
-Due to related parties current 59.42%110M2.82%73M35.09%77M24.66%91M24.66%91M32.69%69M-4.05%71M-20.83%57M-35.96%73M-35.96%73M
Current accrued expenses 19.93%650M26.87%661M20.89%654M38.60%930M38.60%930M19.12%542M20.60%521M31.31%541M88.48%671M88.48%671M
Current provisions 55.36%783M13.11%578M11.41%576M17.68%619M17.68%619M84.62%504M81.21%511M82.69%517M92.67%526M92.67%526M
Pension and other retirement benefit plans 57.10%542M46.01%457M37.09%414M38.10%551M38.10%551M2.37%345M-33.55%313M-17.49%302M3.37%399M3.37%399M
Other current liabilities 572.39%3.09B525.38%2.88B640.48%2.8B23.40%406M23.40%406M24.66%460M38.44%461M-9.13%378M-23.49%329M-23.49%329M
Current liabilities 128.21%6.41B112.85%5.73B99.20%5.48B104.99%6B104.99%6B20.83%2.81B9.87%2.69B13.86%2.75B10.25%2.93B10.25%2.93B
Non current liabilities
Long term debt and capital lease obligation 49.96%8.99B51.64%9.12B55.55%9.37B22.58%7.4B22.58%7.4B-0.66%5.99B-0.99%6.02B-1.36%6.02B-1.19%6.04B-1.19%6.04B
-Long term debt 53.36%8.55B55.94%8.69B60.32%8.93B24.77%6.95B24.77%6.95B0.11%5.58B0.11%5.57B0.11%5.57B0.11%5.57B0.11%5.57B
-Long term capital lease obligation 4.55%437M-2.72%429M-3.33%436M-3.66%448M-3.66%448M-9.91%418M-13.02%441M-16.48%451M-14.52%465M-14.52%465M
Long term accounts payable and other payables -45.98%121M-44.09%123M-19.35%175M-14.08%177M-14.08%177M3.70%224M1.38%220M-31.33%217M-37.20%206M-37.20%206M
Long term provisions -4.53%6.41B0.24%6.62B0.74%6.65B24.16%8.17B24.16%8.17B15.26%6.71B13.00%6.6B12.91%6.6B12.66%6.58B12.66%6.58B
Employee benefits 59.19%632M54.39%616M54.43%610M91.52%655M91.52%655M9.07%397M7.55%399M5.33%395M-22.10%342M-22.10%342M
Non current deferred liabilities 69.99%2.88B69.69%3.05B71.89%3.09B65.12%2.99B65.12%2.99B-9.01%1.7B-9.16%1.8B-11.98%1.8B-19.46%1.81B-19.46%1.81B
Other non current liabilities -15.52%838M-13.61%857M-14.34%878M-12.74%918M-12.74%918M-11.19%992M-14.26%992M-12.77%1.03B-3.31%1.05B-3.31%1.05B
Total non current liabilities 24.07%19.87B27.20%20.38B29.35%20.78B26.71%20.3B26.71%20.3B3.87%16.02B2.46%16.03B1.25%16.06B-0.16%16.02B-0.16%16.02B
Total liabilities 39.60%26.28B39.52%26.12B39.57%26.26B38.80%26.3B38.80%26.3B6.09%18.82B3.47%18.72B2.92%18.82B1.32%18.95B1.32%18.95B
Shareholders'equity
Share capital 43.64%1.84B44.50%1.85B44.81%1.86B44.96%1.85B44.96%1.85B0.16%1.28B0.23%1.28B0.23%1.28B0.24%1.28B0.24%1.28B
-common stock 43.64%1.84B44.50%1.85B44.81%1.86B44.96%1.85B44.96%1.85B0.16%1.28B0.23%1.28B0.23%1.28B0.24%1.28B0.24%1.28B
Additional paid-in capital 73.47%30.23B74.61%30.39B75.06%30.44B75.13%30.42B75.13%30.42B0.41%17.43B0.42%17.41B0.43%17.39B-3.40%17.37B-3.40%17.37B
Retained earnings -437.24%-2.1B-429.30%-2.59B-428.16%-3.11B-427.07%-3B-427.07%-3B-77.99%623M-74.31%785M-69.49%948M-70.43%916M-70.43%916M
Less: Treasury stock 4.94%276M4.98%274M4.98%274M10.46%264M10.46%264M10.50%263M10.59%261M10.59%261M19.50%239M19.50%239M
Gains losses not affecting retained earnings 162.50%21M-153.85%-7M-169.57%-16M-51.72%14M-51.72%14M214.29%8M218.18%13M291.67%23M121.80%29M121.80%29M
Total stockholders'equity 55.77%29.71B52.82%29.38B49.09%28.89B49.98%29.03B49.98%29.03B-10.11%19.07B-10.25%19.23B-9.66%19.38B-12.12%19.35B-12.12%19.35B
Noncontrolling interests -1.08%184M-3.16%184M1.65%185M-0.56%178M-0.56%178M2.76%186M6.74%190M0.00%182M211.18%179M211.18%179M
Total equity 55.22%29.9B52.27%29.56B48.65%29.08B49.52%29.21B49.52%29.21B-10.00%19.26B-10.11%19.42B-9.58%19.56B-10.65%19.53B-10.65%19.53B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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