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Stocks / NEU / Free Cash Flow

NewMarket Corporation Free Cash Flow 2008–2025

NewMarket Corporation (NEU) annual free cash flow by fiscal year, computed from SEC filings.

Fiscal yearFree Cash FlowChange (YoY)
FY 2025$491.33M+6.3%
FY 2024$462.27M-12.5%
FY 2023$528.53M+907.7%
FY 2022$52.45M-39.3%
FY 2021$86.40M-54.7%
FY 2020$190.84M-31.3%
FY 2019$277.78M+125.3%
FY 2018$123.27M+31.0%
FY 2017$94.08M-55.3%
FY 2016$210.56M+48.8%
FY 2015$141.53M-19.2%
FY 2014$175.24M-20.1%
FY 2013$219.46M-6.2%
FY 2012$234.06M+78.6%
FY 2011$131.08M+2.7%
FY 2010$127.64M-6.5%
FY 2009$136.54M+1324.5%
FY 2008$-11.15M

Source: NewMarket Corporation SEC filings — cash flow statement (10-K). Refreshed nightly.

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NewMarket Corporation — frequently asked questions

What is NewMarket Corporation's free cash flow?

NewMarket Corporation (NEU) reported free cash flow of $491.33M for fiscal year 2025, per its SEC filings.

Where does this data come from?

Figures are computed from NewMarket Corporation's official SEC filings (cash flow statement (10-K)), refreshed nightly. Not investment advice.

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