Quanex Building Products Financial Ratios for Analysis 2009-2024 | NX

Fifteen years of historical annual and quarterly financial ratios and margins for Quanex Building Products (NX).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
2.032.011.581.591.731.871.801.791.793.511.941.962.342.952.83
0.110.060.110.250.320.350.350.410.120.000.000.000.000.000.00
0.130.070.130.330.480.530.590.730.140.000.000.000.000.000.01
24.5521.9822.4422.6422.3121.6622.4023.4422.6821.9724.3525.6816.0617.2216.36
9.799.117.646.49-2.964.013.923.923.822.40-3.39-1.851.944.67-30.61
9.799.117.646.49-2.964.013.923.923.822.40-3.39-1.851.944.67-30.61
13.5812.3911.6212.0410.949.8410.559.649.288.607.516.006.158.216.15
8.588.997.475.91-4.022.892.94-0.613.592.32-3.47-1.891.834.95-30.62
7.307.235.314.52-5.232.982.16-0.202.494.91-2.11-3.451.072.89-23.43
1.361.691.491.231.391.201.121.191.141.150.970.811.451.351.08
8.717.888.9910.7710.349.857.688.437.928.1010.075.4012.7514.6210.52
10.7112.729.909.6510.7810.5910.9111.1010.0710.799.335.5910.359.187.30
34.1028.6936.8737.8433.8734.4633.4532.8836.2333.8439.1165.3235.2739.7850.02
15.1219.0013.5710.82-14.156.724.59-0.513.951.98-2.98-1.562.085.48-32.21
28.6033.7230.2833.03-60.4349.4741.6354.9410.792.98-4.67-2.383.246.51-38.88
9.9312.197.945.57-7.243.572.41-0.242.761.61-2.17-1.111.554.09-25.03
13.4817.8712.088.15-9.604.392.99-0.303.481.98-2.97-1.552.075.46-32.06
16.5314.0312.6210.8410.0011.8511.6810.7511.6411.6211.2011.4111.8811.7711.19
4.452.952.353.072.922.992.292.581.940.551.180.721.412.371.62
3.331.961.792.302.212.241.351.511.08-0.320.16-0.450.741.981.20

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
2.362.222.272.032.122.222.222.011.932.041.981.581.721.731.861.591.852.931.911.732.152.322.481.871.981.931.931.801.791.891.991.791.732.162.311.792.163.243.573.513.623.482.111.941.721.831.921.961.982.042.422.342.212.023.682.952.922.983.522.832.792.943.32
0.080.080.100.110.170.210.240.060.110.150.150.110.150.180.230.250.310.410.340.320.350.380.370.350.310.330.340.350.380.420.410.410.430.440.450.120.180.000.000.000.000.000.000.000.000.030.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.010.00
0.090.100.120.130.210.270.320.070.130.180.180.130.180.220.300.330.450.710.510.480.530.630.590.530.500.540.560.590.670.770.740.730.810.790.840.140.240.000.000.000.000.000.000.000.000.030.000.000.000.000.000.000.000.000.000.000.000.010.010.010.010.010.01
25.2924.8821.5127.0826.2224.5519.7621.9422.4022.6820.6722.2621.4422.8923.3525.9423.4220.1319.9223.8123.9521.4619.4423.1222.5221.0919.3823.3122.9422.4720.5824.4824.7723.0820.9125.4924.0621.9517.2721.2323.1119.6423.8948.0925.9923.5012.4017.7615.6511.6314.5719.6216.9313.5912.6118.0017.9415.9316.7023.4221.337.795.52
8.367.753.3113.3712.5010.721.689.2910.5010.705.299.297.707.915.1410.907.814.741.01-9.878.01-8.87-1.244.797.023.63-0.316.787.572.21-1.973.218.034.60-1.068.585.452.60-4.393.247.45-2.09-0.68-4.474.70-6.88-7.370.420.61-8.27-7.005.065.80-1.13-4.806.117.192.851.2210.547.75-50.34-137.64
8.367.753.3113.3712.5010.721.689.2910.5010.705.299.297.707.915.1410.907.814.741.01-9.878.01-8.87-1.244.797.023.63-0.316.787.572.21-1.973.218.034.60-1.068.585.452.60-4.393.247.45-2.09-0.68-4.474.70-6.88-7.370.420.61-8.27-7.005.065.80-1.13-4.806.117.192.851.2210.547.75-50.34-137.64
---------------------------------------------------------------
11.437.403.3010.7711.959.890.909.1010.4010.655.119.147.567.774.9010.597.164.070.22-10.867.04-10.09-2.363.466.002.58-1.365.986.461.00-2.741.76-1.932.52-5.467.975.582.42-4.623.167.37-2.21-0.72-4.274.55-7.01-7.490.380.57-8.35-6.944.745.63-1.01-4.816.127.593.511.1910.547.69-50.28-137.64
9.045.782.619.2710.587.860.738.028.008.214.217.164.895.383.418.675.112.930.01-12.884.97-10.99-1.852.754.481.932.584.614.450.70-1.912.18-1.601.71-3.605.093.841.62-2.403.034.7314.89-3.09-1.383.17-5.87-4.370.410.64-6.32-4.182.653.57-0.68-2.973.744.572.160.137.864.96-35.46-106.67
0.320.320.290.360.350.330.320.420.440.440.370.410.390.380.330.370.310.260.290.370.350.310.270.330.320.280.250.300.290.270.260.320.300.270.240.350.300.310.280.320.320.250.230.150.270.220.330.400.410.340.290.400.420.340.290.380.390.350.290.360.320.230.22
2.111.971.752.202.101.811.651.991.821.911.802.452.352.592.323.092.541.992.022.732.141.981.952.652.131.821.612.041.871.771.682.232.021.811.642.311.881.761.772.252.361.981.291.091.711.241.922.933.192.632.153.353.212.562.494.033.413.292.593.213.222.831.82
3.152.862.732.803.112.913.093.202.962.732.692.692.852.802.792.892.512.803.072.902.902.712.752.912.992.803.092.932.942.623.112.982.992.743.063.052.882.833.252.973.042.581.741.471.581.312.382.742.692.382.702.842.502.053.242.562.832.492.672.432.302.152.79
28.5731.4933.0132.1728.9030.9429.1028.1030.4032.9433.4933.4131.6132.1332.2831.1135.8532.1129.3231.0631.0633.2632.7830.9830.1132.1829.1730.6830.6234.3128.9530.2130.1432.8429.3829.5131.2331.8327.6830.3229.6434.8451.6061.3356.8768.7437.8032.7933.4237.7833.3431.6735.9543.9927.8135.2331.7936.2033.6837.0139.1641.8032.28
4.272.721.135.026.034.370.405.315.766.082.654.983.373.682.086.233.191.700.00-9.373.28-6.64-0.941.702.540.981.172.642.600.39-1.011.48-1.071.01-1.902.521.670.60-0.810.721.93-0.47-0.29-0.611.24-1.69-1.960.230.37-2.95-1.581.412.05-0.32-1.091.882.401.030.263.742.04-9.95-27.17
7.434.912.109.4912.159.500.929.4210.8312.095.6811.118.109.335.7819.0111.286.780.01-40.0217.97-43.33-7.3712.5114.326.638.6423.9238.0923.141,345-160.4916.62-17.5323.146.874.910.93-1.261.072.85-0.70-0.46-0.951.96-2.71-3.150.350.56-4.65-2.472.213.23-0.52-1.292.242.861.230.314.522.48-12.19-37.29
2.911.840.773.293.742.620.233.403.483.581.562.911.902.031.133.201.580.770.00-4.801.74-3.39-0.500.901.430.540.651.391.300.19-0.500.70-0.480.46-0.871.761.090.50-0.680.581.59-0.38-0.22-0.440.90-1.19-1.440.160.26-2.16-1.191.061.52-0.23-0.841.401.800.780.212.911.64-8.24-23.28
3.932.491.014.475.013.440.304.995.125.182.244.432.863.021.604.692.200.990.00-6.362.14-4.09-0.591.111.740.660.781.721.620.23-0.600.87-0.610.57-1.052.211.380.60-0.810.711.93-0.47-0.29-0.611.24-1.64-1.950.230.36-2.95-1.581.412.04-0.32-1.081.872.391.020.263.732.03-9.89-27.04
17.9417.1016.7716.5315.9414.9514.3114.0313.5913.0912.7112.6212.0911.7611.3310.8410.369.8810.0110.0010.9010.9011.7111.8512.0611.9812.0611.6811.3010.8410.7010.7510.9011.4011.1311.6411.4111.2311.2211.6211.8411.6211.0611.2011.1510.9811.2011.4111.3411.2911.6211.8811.8011.6211.6111.7711.5311.3211.1711.1910.8610.6511.72
2.521.120.124.453.121.160.092.951.50-0.06-0.652.351.410.86-0.103.071.450.08-0.112.920.910.00-0.612.991.380.620.232.291.330.480.092.581.450.710.021.940.810.10-0.160.550.26-0.29-0.311.180.18-0.56-0.820.710.16-0.320.061.410.26-0.150.022.371.681.060.231.620.870.39-0.05
1.810.60-0.173.332.440.71-0.131.960.92-0.47-0.871.791.030.62-0.262.300.83-0.42-0.392.210.40-0.38-0.802.240.790.190.011.350.59-0.01-0.141.510.710.24-0.221.080.17-0.29-0.37-0.32-0.49-0.77-0.480.16-0.74-1.24-1.14-0.44-0.69-0.91-0.160.74-0.19-0.44-0.091.981.370.870.131.200.540.15-0.17