Newmont Corporation
NEM
$0.00
+0.23%
Newmont Corporation is the world's largest gold mining company. Its identity is defined by its massive scale, extensive global portfolio of mines, and decades of reserves, which form its core competitive advantage.
NEM
Newmont Corporation
$0.00
Related headlines
NEM 12-Month Price Forecast
Wall Street consensus
Most Wall Street analysts maintain a constructive view on Newmont Corporation's 12-month outlook, with a consensus price target around $0.00 and implied upside of — versus the current price.
Average Target
$0.00
6 analysts
Implied Upside
—
vs. current price
Analyst Count
6
covering this stock
Price Range
$0 - $0
Analyst target range
No sufficient analyst coverage available. The provided data includes recent institutional rating actions (e.g., Buy, Sector Outperform from firms like UBS, Scotiabank, and Citigroup) but does not contain a consensus target price or a detailed ratings distribution from a broad analyst pool. The analyst data provided only includes estimated EPS and revenue figures for six analysts.
NEM Technical Analysis
Overall Assessment: The stock has exhibited significant volatility but a strong upward trend over the observed 180-day period, rising from around $86 in early October 2025 to a peak near $131 in late January 2026, before a recent correction. The 1-year price change of 124.21% dramatically outperforms the S&P 500's 15.93% gain, indicating exceptional relative strength over the longer term.
Short-term Performance: Over the past month, the stock has declined by 16.73%, significantly underperforming the S&P 500's -5.25% change. However, over the past three months, it has gained 8.41%, strongly outperforming the S&P 500's -4.63% return. This suggests recent weakness but solid medium-term performance.
Current Position: The current price of $108.25 sits approximately 48.4% above its 52-week low of $42.93 but about 19.7% below its 52-week high of $134.88. The price has recovered from a low near $95.80 on March 20, 2026, to its current level, indicating a recent bounce from oversold conditions.
Beta
0.47
0.47x market volatility
Max Drawdown
-27.4%
Largest decline past year
52-Week Range
$43-$135
Price range past year
Annual Return
+134.0%
Cumulative gain past year
| Period | NEM Return | S&P 500 |
|---|---|---|
| 1m | -3.8% | -4.3% |
| 3m | +12.7% | -4.0% |
| 6m | +31.3% | -2.0% |
| 1y | +134.0% | +22.2% |
| ytd | +12.7% | -3.8% |
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NEM Fundamental Analysis
Revenue & Profitability: Quarterly revenue for Q4 2025 was $6.57 billion, representing a 14.8% year-over-year growth from Q4 2024. Net income for Q4 2025 was $1.30 billion, yielding a net margin of 19.8%, which is a significant improvement from the 24.5% net margin in Q4 2024. The trailing twelve-month free cash flow is a robust $10.33 billion.
Financial Health: The company exhibits a very strong balance sheet with a low debt-to-equity ratio of 0.014 and a healthy current ratio of 1.72. The substantial free cash flow generation of over $10 billion provides ample liquidity for operations, dividends, and debt management.
Operational Efficiency: Return on Equity (ROE) is a solid 20.92%, and Return on Assets (ROA) is 12.13%, indicating efficient use of shareholder capital and assets. The gross margin for Q4 2025 was 58.76%, reflecting strong operational control over production costs.
Quarterly Revenue
$6.6B
2025-12
Revenue YoY Growth
+0.14%
YoY Comparison
Gross Margin
+0.58%
Latest Quarter
Free Cash Flow
$10.3B
Last 12 Months
Revenue & Net Income Trends (2 Years)
Revenue Breakdown
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Valuation Analysis: Is NEM Overvalued?
Valuation Level: With a positive net income, the primary valuation metric is the Price-to-Earnings (P/E) ratio. The trailing P/E ratio is 15.59, while the forward P/E is 9.86. The forward P/E suggests the market is pricing in significant earnings growth. The Price-to-Sales (P/S) ratio is 5.00, and the Enterprise Value-to-EBITDA (EV/EBITDA) is 7.87.
Peer Comparison: Industry average valuation data is not provided in the inputs for a direct peer comparison. However, the forward P/E of 9.86 and EV/EBITDA of 7.87 appear reasonable for a large-cap mining company, especially given its market-leading position and strong cash flows.
PE
15.6x
Latest Quarter
vs. Historical
Low-End
5-Year PE Range -268x~3615x
vs. Industry Avg
N/A
Industry PE ~N/A*
EV/EBITDA
7.9x
Enterprise Value Multiple

