OTC:NEMCL | Cash Flow Statement | NEWMONT Corp /DE/

Complete source-backed cash-flow history.

Available history
2007-12-31 to 2026-06-30
Data captured

Historical Cash Flow Statement

DateNet incomeDepreciation and amortizationOperating cash flowCapital expenditureInvesting cash flowShare repurchasesDividends paidFinancing cash flow
2026-06-30$2.2B$604M
2026-03-31$3.26B$632M$3.79B-$302M$1.9B$282M-$2.36B
2025-12-31$1.3B$665M$3.62B-$780M$428M$272M-$833M
2025-09-30$1.83B$643M
2025-06-30$2.06B$620M
2025-03-31$1.89B$593M$2.03B$738M$348M$282M-$1.66B
2024-12-31$1.4B$689M$2.51B-$701M$798M$282M-$1.21B
2024-09-30$922M$631M
2024-06-30$853M$602M
2024-03-31$170M$654M$776M-$798M$0.00$288M-$299M
2023-12-31-$3.16B$681M$616M-$249M$0.00$461M-$538M
2023-09-30$158M$480M
2023-06-30$155M$486M
2023-03-31$351M$461M$481M-$342M$318M-$350M
2022-12-31-$1.48B$571M$1.01B-$726M$0.00$436M-$479M
2022-09-30$213M$508M
2022-06-30$387M$559M
2022-03-31$448M$547M$694M-$519M$436M-$895M
2021-12-31-$46M$639M$1.3B-$351M$277M$436M-$595M
2021-09-30$3M$570M
2021-06-30$650M$561M
2021-03-31$559M$553M$841M-$350M$0.00$441M-$511M
2020-12-31$824M$615M$1.69B-$411M$200M$320M-$561M
2020-09-30$839M$592M
2020-06-30$344M$528M
2020-03-31$822M$565M$936M$1.12B$321M$112M-$586M
2019-12-31$565M$613M$1.21B-$409M$479M$114M-$1.27B
2019-09-30$2.18B$548M
2019-06-30-$25M$487M
2019-03-31$87M$312M$571M-$275M$0.00$76M-$143M
2018-12-31$2M$336M$740M-$293M$2M$75M-$109M
2018-09-30-$145M$299M
2018-06-30$292M$279M
2018-03-31$192M$301M$263M-$236M$64M$76M-$179M
2017-12-31-$542M$323M$745M-$328M$40M-$126M
2017-09-30$206M$328M
2017-06-30$175M$310M
2017-03-31$47M$300M$371M-$158M$27M-$52M
2016-12-31-$346M$321M$627M$628M$26M-$566M
2016-09-30-$358M$335M
2016-06-30$23M$281M
2016-03-31$52M$276M$526M-$111M$13M-$742M
2015-12-31-$254M$310M$272M-$389M$14M-$59M
2015-09-30$219M$292M
2015-06-30$72M$276M
2015-03-31$183M$289M$625M$12M
2014-12-31$15M$166M$559M$12M
2014-09-30$213M$318M
2014-06-30$180M$306M
2014-03-31$100M$180M$77M
2013-12-31-$1.19B$382M$101M
2013-09-30$398M
2013-06-30-$2.06B
2013-03-31$314M$433M-$507M$211M-$105M
2012-12-31$666M$842M-$813M$174M-$20M
2012-09-30$367M
2012-06-30$279M
2012-03-31$490M$609M-$855M$173M$1.09B
2011-12-31-$1.03B$922M$173M
2011-09-30$493M
2011-06-30$387M
2011-03-31$514M$989M-$418M$74M-$117M
2010-09-30$537M
2010-06-30$382M
2010-03-31$546M$715M-$285M$49M-$280M
2009-12-31$558M$998M-$693M$49M-$117M
2009-09-30$388M
2009-06-30$162M
2009-03-31$189M$385M-$354M$49M$982M
2008-12-31$4M$230M-$529M$46M-$89M
2008-09-30$191M
2008-06-30$271M
2008-03-31$365M$494M-$770M-$45M$71M

Annual Cash Flow Statement

DateNet incomeDepreciation and amortizationOperating cash flowCapital expenditureInvesting cash flowShare repurchasesDividends paidFinancing cash flow
2025-12-31$7.09B$2.52B$10.33B$606M$2.3B$1.11B-$7.04B
2024-12-31$3.35B$2.58B$6.36B-$2.7B$1.25B$1.15B-$2.95B
2023-12-31-$2.49B$2.11B$2.76B-$1B$0.00$1.42B-$1.6B
2022-12-31-$429M$2.19B$3.22B-$2.98B$0.00$1.75B-$2.36B
2021-12-31$1.17B$2.32B$4.28B-$1.87B$525M$1.76B-$2.96B
2020-12-31$2.83B$2.3B$4.88B$91M$521M$834M-$1.68B
2019-12-31$2.81B$1.96B$2.87B-$1.23B$479M$889M-$2.78B
2018-12-31$341M$1.22B$1.83B-$1.18B$98M$301M-$455M
2017-12-31-$114M$1.26B$2.12B-$946M$134M-$668M
2016-12-31-$629M$1.21B$2.79B-$74M$67M-$1.82B
2015-12-31$220M$1.1B$2.15B-$2.04B$52M$302M
2014-12-31$508M$1.09B$1.44B-$507M$114M-$65M
2013-12-31-$2.53B$1.36B$1.54B$610M
2012-12-31$1.8B$2.37B-$3.26B$695M$689M
2011-12-31$366M$3.58B-$5.07B$494M-$854M
2010-12-31$2.28B$3.17B-$1.42B$246M-$915M
2009-12-31$1.3B$2.95B-$2.78B$196M$2.57B
2008-12-31$831M$1.29B-$2.16B$182M$123M
2007-12-31-$1.9B$665M-$1.11B$181M$465M