Newmark Statements
NM
Newmark Income Statement
B
M
USD (except Earnings per share)
Financial
Revenue
Cost of sales
Gross profit
Research and development
Selling, general and administrative
Total operating expenses
Operating income
Interest expense
Other income
Income before tax
Provision for income taxes
Net income
Diluted earnings per share
Shares outstanding after dilution
633.38
100
6.668
1.1
626.71
98.9
—
0
550.75
87
585.69
92.5
41.019
6.5
-8.258
-1.3
—
0
32.461
5.1
9.046
1.4
14.28
2.3
0.05
255.6
546.5
100
7.541
1.4
538.96
98.6
—
0
517.58
94.7
559.77
102.4
-20.812
-3.8
-7.22
-1.3
—
0
-29.832
-5.5
-3.516
-0.6
-16.254
-3
-0.093
174.77
747.44
100
6.341
0.8
741.1
99.2
—
0
619.91
82.9
654.07
87.5
87.035
11.6
2.99
0.4
—
0
82.425
11
29.084
3.9
36.548
4.9
0.211
173.25
616.3
100
6.2
1
610
99
—
0
541.7
87.9
580
94.1
30.1
4.9
-7.5
-1.2
—
0
22.5
3.7
8.4
1.4
9.9
1.6
0.04
247.2
585.8
100
6.8
1.2
579
98.8
—
0
513.4
87.6
467.9
79.9
111.1
19
-93.2
-15.9
—
0
17.9
3.1
6.7
1.1
6.4
1.1
0.03
245
520.8
100
7.8
1.5
513
98.5
—
0
483
92.7
528.4
101.5
-15.4
-3
-4
-0.8
—
0
-19.4
-3.7
-3.1
-0.6
-10.4
-2
-0.06
172.6
607.3
100
7.6
1.3
599.7
98.7
—
0
516.6
85.1
563.7
92.8
36
5.9
-3.1
-0.5
—
0
18.5
3
6.3
1
6.4
1.1
0.04
236.5
664.6
100
7.3
1.1
657.3
98.9
—
0
554.4
83.4
597.7
89.9
59.7
9
-8.5
-1.3
—
0
51.2
7.7
13.3
2
28
4.2
0.11
243.5
755.4
100
6.7
0.9
748.6
99.1
—
0
605.2
80.1
638.1
84.5
110.5
14.6
-30.3
-4.01
—
0
80.2
10.6
18.4
2.4
48.5
6.4
0.19
245
678.2
100
6.8
1
671.4
99
—
0
537.4
79.2
578.8
85.3
92.7
13.7
-88
-13
—
0
4.7
0.7
4
0.6
0.4
0.06
—
249.2
984.5
100
6.1
0.6
978.4
99.4
—
0
753.7
76.6
721.6
73.3
256.7
26.1
-35.2
-3.6
—
0
221.5
22.5
36.4
3.7
149.3
15.2
0.75
200.3
788.1
100
5.7
0.7
782.5
99.3
—
0
630.7
80
556.9
70.7
225.6
28.6
-8.5
-1.08
—
0
217.1
27.5
53.8
6.8
128.5
16.3
0.63
205.3
629.9
100
5.8
0.9
624.1
99.1
—
0
943.9
149.8
-111
-17.6
735.1
116.7
-7.7
-1.2
—
0
727.4
115.5
142.2
22.6
435.2
69.1
3.33
130.6
504
100
6.3
1.3
497.7
98.8
—
0
410.5
81.4
432.7
85.9
65
12.9
-9.8
-1.9
—
0
55.2
11
10.6
2.1
31.5
6.3
0.11
271.2
601.4
100
5.4
0.9
596
99.1
—
0
498.2
82.8
588.6
97.9
7.4
1.2
-9.1
-1.5
—
0
-6.3
-1.05
-1.2
-0.2
-5.4
-0.9
-0.03
180.8
435.9
100
6.1
1.4
429.8
98.6
—
0
366.5
84.1
279
64
150.8
34.6
-16.9
-3.9
—
0
132.8
30.5
33.3
7.6
72.1
16.5
0.27
266.8
383.7
100
5.2
1.4
378.5
98.6
—
0
302.4
78.8
353.6
92.2
24.9
6.5
-24.2
-6.3
—
0
0.7
0.2
0.1
0.03
-2.1
-0.5
-0.01
178.5
483.9
100
5.8
1.2
478.1
98.8
—
0
404
83.5
452.8
93.6
25.4
5.2
-6
-1.2
—
0
19
3.9
4.8
1
5.7
1.2
0.03
263.6
632.4
100
4
0.6
628.4
99.4
—
0
589.4
93.2
617.1
97.6
11.3
1.8
-21.1
-3.3
—
0
-16.5
-2.6
-0.1
-0.02
-14.2
-2.2
-0.08
176.7
586.6
100
7.1
1.2
579.5
98.8
—
0
484.2
82.5
405.3
69.1
174.2
29.7
-14.9
-2.5
—
0
159.3
27.2
36.8
6.3
85.5
14.6
0.41
206.6
551.5
100
7.2
1.3
544.3
98.7
—
0
458.1
83.1
484.4
87.8
59.9
10.9
-18.7
-3.4
—
0
41.2
7.5
9.1
1.7
19.4
3.5
0.11
208.2
447.7
100
6.7
1.5
440.9
98.5
—
0
363.1
81.1
387.8
86.6
53.2
11.9
-23.1
-5.2
—
0
30.1
6.7
6.7
1.5
13.7
3.1
0.05
269.1
631.7
100
6.3
1
625.4
99
—
0
533.7
84.5
545
86.3
80.4
12.7
-4
-0.6
—
0
76.4
12.1
36.9
5.8
14.5
2.3
0.05
267.6
518.8
100
6.6
1.3
512.2
98.7
—
0
417.1
80.4
349.3
67.3
162.9
31.4
-11.5
-2.2
—
0
151.4
29.2
35.9
6.9
66.6
12.8
0.35
185.1
466.6
100
6.3
1.4
460.3
98.6
—
0
414.1
88.7
434.6
93.1
25.7
5.5
-10.6
-2.3
—
0
15.1
3.2
10.8
2.3
0.5
0.1
—
155.9
430.5
100
6.9
1.6
423.6
98.4
—
0
353.9
82.2
370.7
86.1
52.8
12.3
-13.4
-3.1
—
0
39.4
9.2
6.9
1.6
20
4.6
0.08
246.8
460.6
6.5
454
—
417.5
444.2
9.9
-1.5
—
8.5
-10.6
-46.2
-0.29
154.4
398.2
5.4
392.9
—
341.4
287.7
105.1
1.7
—
100.5
2
98.8
0.27
372.6
405.1
4.2
400.9
—
321.7
345.7
55.2
1.4
—
56.6
1.4
55.1
0.36
151.4
332.6
4.7
327.9
—
273.1
292
35.9
1.1
—
37
—
36.7
0.24
151.4
387.6
2.3
385.2
—
317.2
331.9
53.4
1
—
54.4
2
52.5
0.3
175
372.6
5.8
366.8
—
300.7
303.9
62.9
1
—
63.9
1.1
63.4
0.42
151.4
489.8
5.5
484.3
—
484.8
544.2
-59.9
1
—
-58.9
-10.5
-47.8
-0.32
151.4