Newmont Financial Ratios for Analysis 2009-2024 | NEM

Fifteen years of historical annual and quarterly financial ratios and margins for Newmont (NEM).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
1.252.232.902.522.632.953.622.673.522.471.781.891.372.642.51
0.200.240.220.200.230.240.260.250.290.330.320.270.190.210.27
0.320.310.290.280.310.370.350.390.410.510.520.370.270.280.38
43.2945.7255.5356.3946.6643.5744.9544.0441.2042.5337.0256.5062.4463.4860.96
-14.391.7010.2824.4113.1110.8917.06-0.247.5114.56-43.4030.9619.7143.6838.75
-14.391.7010.2824.4113.1110.8917.06-0.247.5114.56-43.4030.9619.7143.6838.75
3.4520.0429.2944.4133.2327.6434.1517.9227.5130.83-27.2241.3229.7253.5849.21
-17.19-0.439.0727.3437.9210.1814.53-3.294.8512.04-42.8631.2517.4741.9038.34
-21.11-3.609.5424.6128.804.70-1.54-9.423.627.45-30.1218.093.5323.8716.83
0.210.310.300.280.240.350.360.320.240.270.340.340.400.370.35
4.036.615.845.215.126.505.986.066.385.607.395.445.455.296.10
9.6317.2736.2725.6126.1128.5631.1419.4828.3014.3317.4611.5916.7114.2414.27
37.9221.1410.0614.2513.9812.7811.7218.7412.9025.4820.9131.5021.8525.6325.58
-8.54-2.040.8111.0213.212.78-0.62-6.84-0.994.68-22.1212.907.0320.0116.72
-9.52-2.270.9212.4715.012.80-0.62-6.84-0.994.68-22.1212.907.0320.0116.72
-4.49-1.040.436.357.391.54-0.34-3.86-0.562.46-11.617.384.2412.259.46
-6.81-1.560.638.7910.162.12-0.46-5.10-0.703.13-14.999.415.7115.8012.22
25.3524.6327.5429.8127.6921.5121.6122.3826.9826.2525.9434.1231.8831.9025.70
3.294.055.346.063.893.423.975.244.162.883.104.757.116.336.05
0.121.373.284.441.901.492.353.111.620.80-0.72-1.681.583.532.42

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.962.112.151.252.122.282.382.232.722.822.922.902.672.672.402.522.832.813.312.632.181.832.972.954.704.604.183.624.183.243.092.672.803.893.283.523.072.782.172.472.192.381.821.781.602.282.121.892.072.232.371.371.421.712.252.642.522.772.962.512.291.332.13
0.230.240.240.200.240.240.240.240.220.220.220.220.190.190.190.200.200.210.220.230.230.230.240.240.260.260.260.260.250.250.250.250.240.270.270.290.290.300.320.330.340.340.320.320.290.320.270.270.270.280.270.190.180.180.180.210.230.240.250.270.290.210.21
0.300.310.330.320.320.310.310.310.290.290.290.290.260.260.280.280.280.290.300.310.330.330.380.370.360.350.350.350.330.380.390.390.360.390.400.410.440.450.480.510.520.520.520.520.450.480.370.370.370.380.380.270.250.250.270.280.320.340.340.380.420.280.29
49.8451.0247.6541.8045.0142.4944.6844.3841.3444.1552.5354.5752.7858.2156.5859.9259.9755.2648.3950.8348.6939.4845.7646.0942.3541.9443.3745.5843.9646.7243.3743.0045.1145.9641.797.1340.7146.1747.9261.7232.1339.9438.6132.2746.6316.6551.6952.2956.1355.0562.0962.9363.2761.5461.8765.6265.6960.6161.2467.9162.6656.5551.89
24.5023.609.94-70.999.5513.6418.85-44.7211.2017.6626.43-18.472.2831.3529.8127.2131.4818.2217.7117.4916.880.5315.9718.26-6.6012.9417.3415.3517.2419.6315.98-45.4516.2518.3312.72-95.0410.9021.1225.2037.892.0010.3710.77-90.5417.87-129.3926.4627.4529.5226.5639.32-36.3142.8936.1640.8545.8847.6739.3440.7244.6447.7829.5326.69
24.5023.609.94-70.999.5513.6418.85-44.7211.2017.6626.43-18.472.2831.3529.8127.2131.4818.2217.7117.4916.880.5315.9718.26-6.6012.9417.3415.3517.2419.6315.98-45.4516.2518.3312.72-95.0410.9021.1225.2037.892.0010.3710.77-90.5417.87-129.3926.4627.4529.5226.5639.32-36.3142.8936.1640.8545.8847.6739.3440.7244.6447.7829.5326.69
---------------------------------------------------------------
23.0023.5310.64-78.399.3111.1820.12-43.2211.2413.3420.77-14.96-2.4530.7725.8727.6327.7623.2630.1820.901020.8915.2513.57-7.4218.3515.5813.7014.8017.8711.48-50.7412.4514.4414.23-102.9515.2615.6221.4536.331.435.218.11-95.5228.47-130.3824.6831.2628.9124.9938.61-37.8337.7635.5339.4743.6445.3238.1839.5247.8244.1228.6525.20
20.0219.384.23-79.816.345.7813.10-46.168.0912.6614.82-1.360.1021.2119.4624.3726.4714.5531.8519.0480.28-1.114.830.10-8.4017.5710.57-28.0110.969.332.78-19.68-19.991.383.56-39.3814.043.779.280.9712.2010.205.67-54.2519.70-102.0314.3525.8914.8012.5218.26-37.1817.9716.2320.8531.8720.6817.7424.3522.1618.9410.1112.30
0.080.080.070.070.070.070.070.080.070.080.080.080.070.080.070.080.080.060.070.070.070.060.090.100.080.080.090.090.090.090.080.080.070.070.060.030.060.070.080.060.070.070.070.090.080.080.070.090.080.080.090.110.090.080.090.100.110.090.100.110.100.090.09
1.551.471.521.381.221.391.391.821.551.851.501.661.371.331.281.411.291.101.371.441.261.191.541.751.401.381.571.551.521.501.441.621.611.241.201.071.211.371.500.841.401.231.332.071.362.091.251.541.291.251.451.441.401.371.551.331.691.661.731.641.601.451.56
4.734.615.145.3931.9614.507.704.649.118.407.3210.068.678.9910.927.539.789.2711.737.957.086.846.248.066.357.105.518.167.615.565.935.136.113.282.953.004.473.444.743.244.473.963.364.544.283.702.862.993.163.433.774.464.814.314.473.804.464.643.734.665.203.132.80
19.0419.5317.4916.692.826.2111.6919.419.8710.7112.308.9510.3810.018.2411.959.209.707.6711.3112.7113.1614.4311.1614.1812.6716.3511.0211.8316.1815.1817.5614.7227.4530.4730.0020.1326.1818.9927.7520.1522.7426.7919.8321.0324.3531.4730.0928.4526.2023.8520.1818.7320.8820.1523.6720.1719.4024.1319.3017.3128.7632.17
2.932.850.60-10.820.840.791.79-7.521.051.812.09-3.57-1.092.712.333.132.661.813.692.3810.040.131.260.09-1.212.381.46-4.551.681.380.68-7.760.96-0.01-0.17-4.621.090.971.652.510.551.120.50-9.922.85-16.482.083.912.912.324.20-5.694.043.884.036.685.613.965.546.875.532.982.71
3.223.150.67-12.060.940.882.00-8.361.212.082.40-4.09-1.243.062.633.543.022.064.202.7111.630.141.260.09-1.212.381.46-4.551.681.380.68-7.760.96-0.01-0.17-4.621.090.971.652.510.551.120.50-9.922.85-16.482.083.912.912.324.20-5.694.043.884.036.685.613.965.546.875.623.032.76
1.561.510.32-5.690.430.400.91-3.820.570.991.14-1.92-0.641.601.361.801.551.042.111.335.520.070.690.05-0.681.360.83-2.540.990.790.39-4.380.56-0.01-0.10-2.630.620.540.861.320.290.590.26-5.201.55-8.861.212.231.631.292.33-3.442.322.302.504.093.342.363.283.893.051.771.63
2.252.180.46-8.630.640.601.37-5.750.821.421.63-2.79-0.882.201.892.502.121.432.861.837.720.100.960.07-0.891.761.08-3.361.271.030.51-5.780.72-0.01-0.12-3.280.770.681.131.680.360.740.34-6.722.03-11.201.512.852.121.683.04-4.623.313.183.305.284.333.014.155.023.942.362.13
26.1325.6825.2225.3524.2624.4824.6624.6326.9927.2427.0727.5429.1230.1129.9129.8129.3228.5528.3527.6927.3624.7921.4821.5121.7122.0321.6621.6122.9322.5822.3522.3826.5827.1126.8726.9827.5326.9726.7326.2526.2626.2525.8425.9429.4928.8934.7834.1233.6032.5532.4231.8833.7634.3934.1231.9029.8627.9727.7325.7024.2922.4221.36
3.351.910.673.292.701.440.614.052.782.180.875.343.732.291.056.063.971.991.163.892.021.131.073.422.031.240.493.972.571.670.705.244.052.440.994.163.532.101.252.881.761.110.363.102.331.450.874.753.071.921.217.115.282.801.976.334.632.941.456.053.971.820.81
1.150.48-0.060.120.500.00-0.061.370.910.980.323.282.211.270.554.442.841.230.751.900.760.350.651.490.610.320.062.351.530.990.363.112.491.390.461.621.860.900.680.800.230.13-0.11-0.72-0.74-0.80-0.15-1.68-1.73-1.25-0.171.581.750.761.173.532.691.680.822.421.29-0.030.12