Recent Annual Filings for NMRK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $4,471,575,000 $2,470,368,000 $2,359,007,000 $71,487,000 $-265,961,000 $261,460,000 $-54,246,000
2022 $3,940,759,000 $2,705,527,000 $2,422,257,000 $101,512,000 $1,196,343,000 $-1,458,520,000 $46,452,000
2021 $5,216,201,000 $2,906,443,000 $2,884,373,000 $977,302,000 $-48,709,000 $-396,278,000 $8,101,000
2020 $3,982,450,000 $1,904,998,000 $1,736,290,000 $107,099,000 $-777,694,000 $817,823,000 $36,527,000
2019 $3,201,599,000 $2,218,132,000 $2,052,850,000 $117,305,000 $986,760,000 $-895,506,000 $34,466,000
2018 $3,454,157,000 $2,047,579,000 $1,842,282,000 $191,898,000 $-332,367,000 $336,657,000 $12,032,000