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Revenues from Contracts with Customers (Tables)
3 Months Ended
Mar. 31, 2026
Revenue from Contract with Customer [Abstract]  
Schedule of Revenues from Contracts with Customers and Our Other Sources of Revenues
The following table presents Newmark’s total revenues separately for its revenues from contracts with customers and other sources of revenues (in thousands):
 Three Months Ended March 31,
 20262025
Revenues from contracts with customers:
Leasing and Other Commissions
$250,031 $208,074 
Investment sales
140,666 92,858 
Mortgage brokerage and debt placement
57,198 37,186 
Management Services
270,163 218,112 
Total$718,058 $556,230 
Other sources of revenue(1):
Fair value of expected net future cash flows from servicing recognized at commitment, net
$29,180 $21,403 
Loan originations related fees and sales premiums, net
25,413 22,080 
Servicing fees and other
73,868 65,781 
Total$846,519 $665,494 
(1)Although these items have customers under contract, they were recorded as other sources of revenue as they were excluded from the scope of ASC 606.
Schedule of Revenue Remaining Performance Obligation
Approximate future cash flows to be received over the next five years as of March 31, 2026 are as follows (in thousands):

2026$92,801 
202742,990 
202818,717 
20293,488 
203099 
Thereafter— 
Total$158,095