NEWMARK GROUP, INC.

Annual Trend FY 2018 FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Cash and cash equivalents $122.5m $163.6m $191.4m $191.3m $233.0m $164.9m $197.7m $229.1m
Restricted cash and short-term investments $107.2m $120.2m
Receivables, net $451.6m $508.4m $376.8m $569.2m $523.7m $622.5m $604.9m $628.4m
Other current assets (see Note 17) $57.7m $91.2m $63.8m $83.3m $100.2m $95.9m $88.0m $114.0m
Loans, forgivable loans and other receivables from employees and partners, net $285.5m $403.7m $454.3m $453.3m $500.8m $651.2m $769.4m $862.2m
Total current assets $1.8b $1.1b $1.8b $2.5b $1.1b $1.5b $1.8b $2.0b
Goodwill $515.3m $557.9m $560.3m $657.1m $705.9m $776.5m $770.9m $802.0m
Other intangible assets, net $35.8m $45.2m $44.3m $76.2m $81.0m $83.6m $64.5m $76.3m
Right-of-use assets $201.7m $190.5m $606.6m $638.6m $596.4m $500.5m $447.8m
Other assets (see Note 17) $369.9m $407.9m $322.9m $212.5m $214.3m $148.5m $147.9m $151.3m
Right-of-use liabilities $227.9m $218.6m $586.1m $627.1m $598.0m $489.8m $437.2m
Loans held for sale, at fair value $990.9m $215.3m $1.1b $1.1b $138.3m $528.9m $774.9m $913.3m
Mortgage servicing rights, net $411.8m $413.6m $494.7m $550.3m $568.6m $531.2m $517.6m $518.0m
Fixed assets, net $78.8m $98.0m $96.4m $135.8m $155.6m $178.0m $166.7m $156.5m
Warehouse facilities collateralized by U.S. Government Sponsored Enterprises $972.4m $209.6m $1.1b $1.1b $137.4m $498.6m $754.3m $892.4m
Payables to related parties $13.5m $38.1m $4.4m $10.8m $9.7m $6.6m $0 $1.8m
Redeemable partnership interests $26.2m $21.5m $20.0m $20.9m $16.6m $16.2m $13.9m $12.0m
Total stockholders’ equity $567.6m $599.7m $655.0m $1.3b $1.2b $1.3b $1.2b $1.5b
Total equity $1.1b $940.6m $921.1m $1.7b $1.5b $1.6b $1.5b $1.7b
Total assets $3.5b $3.2b $4.0b $5.2b $3.9b $4.5b $4.7b $5.0b
Accrued compensation $366.5m $343.8m $279.9m $462.5m $369.5m $400.8m $448.2m $440.3m
Accounts payable, accrued expenses and other liabilities (see Note 26) $312.2m $417.1m $326.5m $528.7m $511.6m $583.6m $577.9m $572.3m
Total current liabilities $1.7b $1.0b $1.7b $2.2b $1.6b $1.5b $1.8b $1.9b
Long-term debt $537.9m $589.3m $680.4m $545.2m $0 $547.3m $670.7m $671.7m
Other long-term liabilities (see Note 26) $168.6m $376.8m $437.0m $207.0m $196.2m $241.7m $231.1m $251.5m
Total liabilities $2.4b $2.2b $3.0b $3.5b $2.4b $2.9b $3.2b $3.3b
Common stock value $5.0m $3.3m $3.5m $3.7m $2.2m $2.3m $2.5m $2.7m
Additional paid-in capital $285.1m $318.2m $351.4m $487.4m $584.7m $657.7m $753.0m $998.9m
Retained earnings $278.0m $313.1m $342.8m $1.1b $1.1b $1.2b $1.2b $1.3b
Treasury stock at cost: 86,125,782 and 74,983,414 shares of Class A common stock at December 31, 2025 and December 31, 2024, respectively ($486k) ($34.9m) ($40.5m) ($290.2m) ($538.6m) ($569.2m) ($745.9m) ($854.6m)
Accumulated other comprehensive loss $0 ($2.1m) ($2.7m) ($12.0m) ($4.6m) ($11.3m) $2.8m
Noncontrolling interests $489.2m $341.0m $266.1m $386.3m $343.5m $325.8m $318.6m $278.2m
Total liabilities, redeemable partnership interests, and equity $3.5b $3.2b $4.0b $5.2b $3.9b $4.5b $4.7b $5.0b

Values abbreviated: b = billions, m = millions, k = thousands. Per share data in USD.