AU Stock MarketDetailed Quotes

NEM Newmont Corp

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  • 62.450
  • +0.440+0.71%
20min DelayMarket Closed May 31 16:00 AET
72.01BMarket Cap-14316P/E (Static)

Newmont Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-32.68%2.36B
-19.48%3.03B
-19.48%3.03B
-15.71%3.21B
-25.70%3.24B
-19.34%3.5B
-25.96%3.76B
-25.96%3.76B
-20.45%3.81B
-9.30%4.36B
-Cash and cash equivalents
-12.08%2.34B
4.34%3B
4.34%3B
4.32%3.19B
-34.32%2.83B
-37.80%2.66B
-42.37%2.88B
-42.37%2.88B
-34.04%3.06B
-6.02%4.31B
-Accounts receivable
124.71%782M
100.55%734M
100.55%734M
-73.01%78M
-49.18%185M
-15.74%348M
8.61%366M
8.61%366M
-13.47%289M
6.74%364M
Holding assets for sale
--5.66B
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----
----
----
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Total current assets
80.00%11.81B
15.30%7.51B
15.30%7.51B
-5.78%5.96B
-11.19%6.13B
-7.08%6.56B
-15.35%6.52B
-15.35%6.52B
-15.42%6.32B
-7.23%6.91B
Non current assets
-Accumulated depreciation
----
-10.51%-20.06B
-10.51%-20.06B
----
----
----
-13.53%-18.15B
-13.53%-18.15B
----
----
Investment properties
-4.49%255M
1.33%229M
1.33%229M
1.07%189M
--224M
--267M
-26.38%226M
-26.38%226M
--187M
----
-Long term equity investment
55.55%9.37B
22.58%7.4B
22.58%7.4B
-0.66%5.99B
-0.99%6.02B
-1.36%6.02B
-1.19%6.04B
-1.19%6.04B
7.23%6.03B
7.67%6.08B
-Including:Available-for-sale securities
-4.49%255M
1.33%229M
1.33%229M
1.07%189M
--224M
--267M
-26.38%226M
-26.38%226M
--187M
----
-Including:Held to maturity investments
--114M
1,550.00%198M
1,550.00%198M
----
----
----
--12M
--12M
----
----
Financial assets
--412M
126.53%444M
126.53%444M
----
----
----
--196M
--196M
----
----
Non current note receivables
23.53%210M
54.91%268M
54.91%268M
-33.65%138M
-20.57%166M
-25.11%170M
-35.69%173M
-35.69%173M
-33.55%208M
-36.28%209M
-Goodwill
41.65%2.79B
52.26%3B
52.26%3B
-28.87%1.97B
-28.87%1.97B
-28.87%1.97B
-28.87%1.97B
-28.87%1.97B
0.00%2.77B
0.00%2.77B
Regulatory assets
124.71%782M
77.83%1.23B
77.83%1.23B
-73.01%78M
-49.18%185M
-15.74%348M
104.75%690M
104.75%690M
-13.47%289M
6.74%364M
Liabilities
Current liabilities
Current debt and capital lease obligation
3.13%99M
2,021.88%2.04B
2,021.88%2.04B
0.00%94M
-2.04%96M
-7.69%96M
-50.26%96M
-50.26%96M
-84.74%94M
-84.17%98M
-Current debt
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--1.92B
--1.92B
----
----
----
----
----
----
----
-Current capital lease obligation
3.13%99M
18.75%114M
18.75%114M
0.00%94M
-2.04%96M
-7.69%96M
-9.43%96M
-9.43%96M
-24.19%94M
-23.44%98M
-accounts payable
7.72%698M
51.66%960M
51.66%960M
14.21%651M
-3.09%565M
31.98%648M
22.20%633M
22.20%633M
14.46%570M
15.90%583M
-Total tax payable
29.35%20.78B
26.71%20.3B
26.71%20.3B
3.87%16.02B
2.46%16.03B
1.25%16.06B
-0.16%16.02B
-0.16%16.02B
11.89%15.42B
13.37%15.64B
-Due to related parties current
35.09%77M
24.66%91M
24.66%91M
32.69%69M
-4.05%71M
-20.83%57M
-35.96%73M
-35.96%73M
-36.59%52M
27.59%74M
-Other payable
2.20%2.41B
13.14%2.58B
13.14%2.58B
-3.33%2.41B
-2.55%2.41B
-3.67%2.36B
-7.52%2.28B
-7.52%2.28B
2.93%2.5B
2.32%2.47B
Current accrued expenses
20.89%654M
38.60%930M
38.60%930M
19.12%542M
20.60%521M
31.31%541M
88.48%671M
88.48%671M
15.78%455M
12.21%432M
Current provisions
11.41%576M
17.68%619M
17.68%619M
84.62%504M
81.21%511M
82.69%517M
92.67%526M
92.67%526M
30.00%273M
29.95%282M
Current liabilities
99.20%5.48B
104.99%6B
104.99%6B
20.83%2.81B
9.87%2.69B
13.86%2.75B
10.25%2.93B
10.25%2.93B
-16.97%2.32B
-12.06%2.45B
Non current liabilities
-Long term debt
-3.33%436M
-3.66%448M
-3.66%448M
-9.91%418M
-13.02%441M
-16.48%451M
-14.52%465M
-14.52%465M
-27.04%464M
-22.36%507M
Non current accrued expenses
39.29%33.56B
56.04%37.56B
56.04%37.56B
1.34%24.47B
0.63%24.28B
0.11%24.1B
-0.21%24.07B
-0.21%24.07B
1.85%24.15B
-1.51%24.13B
Long term provisions
60.32%8.93B
24.77%6.95B
24.77%6.95B
0.11%5.58B
0.11%5.57B
0.11%5.57B
0.11%5.57B
0.11%5.57B
11.60%5.57B
11.61%5.57B
Employee benefits
54.43%610M
91.52%655M
91.52%655M
9.07%397M
7.55%399M
5.33%395M
-22.10%342M
-22.10%342M
-24.79%364M
-27.40%371M
Preferred securities outside stock equity
37.09%414M
38.10%551M
38.10%551M
2.37%345M
-33.55%313M
-17.49%302M
3.37%399M
3.37%399M
-2.32%337M
59.12%471M
Total non current liabilities
39.57%26.26B
38.80%26.3B
38.80%26.3B
6.09%18.82B
3.47%18.72B
2.92%18.82B
1.32%18.95B
1.32%18.95B
7.02%17.74B
9.09%18.09B
Shareholders'equity
Share capital
44.81%1.86B
44.96%1.85B
44.96%1.85B
0.16%1.28B
0.23%1.28B
0.23%1.28B
0.24%1.28B
0.24%1.28B
-0.39%1.28B
-0.70%1.28B
-common stock
44.81%1.86B
44.96%1.85B
44.96%1.85B
0.16%1.28B
0.23%1.28B
0.23%1.28B
0.24%1.28B
0.24%1.28B
-0.39%1.28B
-0.70%1.28B
Additional paid-in capital
75.06%30.44B
75.13%30.42B
75.13%30.42B
0.41%17.43B
0.42%17.41B
0.43%17.39B
-3.40%17.37B
-3.40%17.37B
-4.00%17.35B
-4.26%17.33B
Gains losses not affecting retained earnings
-169.57%-16M
-51.72%14M
-51.72%14M
214.29%8M
218.18%13M
291.67%23M
121.80%29M
121.80%29M
96.32%-7M
94.44%-11M
Other equity interest
4.08%765M
38.61%420M
38.61%420M
34.92%707M
45.21%742M
34.62%735M
-39.16%303M
-39.16%303M
29.06%524M
27.11%511M
Noncontrolling interests
31.67%3.88B
28.24%3.91B
28.24%3.91B
-2.23%2.94B
--2.95B
--2.95B
3.95%3.05B
3.95%3.05B
--3.01B
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Total equity
44.20%55.34B
44.24%55.51B
44.24%55.51B
-2.71%38.08B
-3.92%38.13B
-3.86%38.37B
-5.13%38.48B
-5.13%38.48B
-1.81%39.14B
-2.43%39.69B
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -32.68%2.36B-19.48%3.03B-19.48%3.03B-15.71%3.21B-25.70%3.24B-19.34%3.5B-25.96%3.76B-25.96%3.76B-20.45%3.81B-9.30%4.36B
-Cash and cash equivalents -12.08%2.34B4.34%3B4.34%3B4.32%3.19B-34.32%2.83B-37.80%2.66B-42.37%2.88B-42.37%2.88B-34.04%3.06B-6.02%4.31B
-Accounts receivable 124.71%782M100.55%734M100.55%734M-73.01%78M-49.18%185M-15.74%348M8.61%366M8.61%366M-13.47%289M6.74%364M
Holding assets for sale --5.66B------------------------------------
Total current assets 80.00%11.81B15.30%7.51B15.30%7.51B-5.78%5.96B-11.19%6.13B-7.08%6.56B-15.35%6.52B-15.35%6.52B-15.42%6.32B-7.23%6.91B
Non current assets
-Accumulated depreciation -----10.51%-20.06B-10.51%-20.06B-------------13.53%-18.15B-13.53%-18.15B--------
Investment properties -4.49%255M1.33%229M1.33%229M1.07%189M--224M--267M-26.38%226M-26.38%226M--187M----
-Long term equity investment 55.55%9.37B22.58%7.4B22.58%7.4B-0.66%5.99B-0.99%6.02B-1.36%6.02B-1.19%6.04B-1.19%6.04B7.23%6.03B7.67%6.08B
-Including:Available-for-sale securities -4.49%255M1.33%229M1.33%229M1.07%189M--224M--267M-26.38%226M-26.38%226M--187M----
-Including:Held to maturity investments --114M1,550.00%198M1,550.00%198M--------------12M--12M--------
Financial assets --412M126.53%444M126.53%444M--------------196M--196M--------
Non current note receivables 23.53%210M54.91%268M54.91%268M-33.65%138M-20.57%166M-25.11%170M-35.69%173M-35.69%173M-33.55%208M-36.28%209M
-Goodwill 41.65%2.79B52.26%3B52.26%3B-28.87%1.97B-28.87%1.97B-28.87%1.97B-28.87%1.97B-28.87%1.97B0.00%2.77B0.00%2.77B
Regulatory assets 124.71%782M77.83%1.23B77.83%1.23B-73.01%78M-49.18%185M-15.74%348M104.75%690M104.75%690M-13.47%289M6.74%364M
Liabilities
Current liabilities
Current debt and capital lease obligation 3.13%99M2,021.88%2.04B2,021.88%2.04B0.00%94M-2.04%96M-7.69%96M-50.26%96M-50.26%96M-84.74%94M-84.17%98M
-Current debt ------1.92B--1.92B----------------------------
-Current capital lease obligation 3.13%99M18.75%114M18.75%114M0.00%94M-2.04%96M-7.69%96M-9.43%96M-9.43%96M-24.19%94M-23.44%98M
-accounts payable 7.72%698M51.66%960M51.66%960M14.21%651M-3.09%565M31.98%648M22.20%633M22.20%633M14.46%570M15.90%583M
-Total tax payable 29.35%20.78B26.71%20.3B26.71%20.3B3.87%16.02B2.46%16.03B1.25%16.06B-0.16%16.02B-0.16%16.02B11.89%15.42B13.37%15.64B
-Due to related parties current 35.09%77M24.66%91M24.66%91M32.69%69M-4.05%71M-20.83%57M-35.96%73M-35.96%73M-36.59%52M27.59%74M
-Other payable 2.20%2.41B13.14%2.58B13.14%2.58B-3.33%2.41B-2.55%2.41B-3.67%2.36B-7.52%2.28B-7.52%2.28B2.93%2.5B2.32%2.47B
Current accrued expenses 20.89%654M38.60%930M38.60%930M19.12%542M20.60%521M31.31%541M88.48%671M88.48%671M15.78%455M12.21%432M
Current provisions 11.41%576M17.68%619M17.68%619M84.62%504M81.21%511M82.69%517M92.67%526M92.67%526M30.00%273M29.95%282M
Current liabilities 99.20%5.48B104.99%6B104.99%6B20.83%2.81B9.87%2.69B13.86%2.75B10.25%2.93B10.25%2.93B-16.97%2.32B-12.06%2.45B
Non current liabilities
-Long term debt -3.33%436M-3.66%448M-3.66%448M-9.91%418M-13.02%441M-16.48%451M-14.52%465M-14.52%465M-27.04%464M-22.36%507M
Non current accrued expenses 39.29%33.56B56.04%37.56B56.04%37.56B1.34%24.47B0.63%24.28B0.11%24.1B-0.21%24.07B-0.21%24.07B1.85%24.15B-1.51%24.13B
Long term provisions 60.32%8.93B24.77%6.95B24.77%6.95B0.11%5.58B0.11%5.57B0.11%5.57B0.11%5.57B0.11%5.57B11.60%5.57B11.61%5.57B
Employee benefits 54.43%610M91.52%655M91.52%655M9.07%397M7.55%399M5.33%395M-22.10%342M-22.10%342M-24.79%364M-27.40%371M
Preferred securities outside stock equity 37.09%414M38.10%551M38.10%551M2.37%345M-33.55%313M-17.49%302M3.37%399M3.37%399M-2.32%337M59.12%471M
Total non current liabilities 39.57%26.26B38.80%26.3B38.80%26.3B6.09%18.82B3.47%18.72B2.92%18.82B1.32%18.95B1.32%18.95B7.02%17.74B9.09%18.09B
Shareholders'equity
Share capital 44.81%1.86B44.96%1.85B44.96%1.85B0.16%1.28B0.23%1.28B0.23%1.28B0.24%1.28B0.24%1.28B-0.39%1.28B-0.70%1.28B
-common stock 44.81%1.86B44.96%1.85B44.96%1.85B0.16%1.28B0.23%1.28B0.23%1.28B0.24%1.28B0.24%1.28B-0.39%1.28B-0.70%1.28B
Additional paid-in capital 75.06%30.44B75.13%30.42B75.13%30.42B0.41%17.43B0.42%17.41B0.43%17.39B-3.40%17.37B-3.40%17.37B-4.00%17.35B-4.26%17.33B
Gains losses not affecting retained earnings -169.57%-16M-51.72%14M-51.72%14M214.29%8M218.18%13M291.67%23M121.80%29M121.80%29M96.32%-7M94.44%-11M
Other equity interest 4.08%765M38.61%420M38.61%420M34.92%707M45.21%742M34.62%735M-39.16%303M-39.16%303M29.06%524M27.11%511M
Noncontrolling interests 31.67%3.88B28.24%3.91B28.24%3.91B-2.23%2.94B--2.95B--2.95B3.95%3.05B3.95%3.05B--3.01B----
Total equity 44.20%55.34B44.24%55.51B44.24%55.51B-2.71%38.08B-3.92%38.13B-3.86%38.37B-5.13%38.48B-5.13%38.48B-1.81%39.14B-2.43%39.69B

Analysis

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