Quanex Building Products Key Executives
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Quanex Building Products Earnings
This section highlights Quanex Building Products's earnings, including key dates, EPS, earnings reports, and earnings call transcripts.
Next Earnings Date
Last Earnings Results
Earnings Call Transcripts
Transcript | Quarter | Year | Date | Estimated EPS | Actual EPS |
---|---|---|---|---|---|
Read Transcript | Q1 | 2025 | 2025-03-11 | N/A | N/A |
Read Transcript | Q4 | 2024 | 2024-12-13 | N/A | N/A |
Read Transcript | Q3 | 2024 | 2024-09-06 | N/A | N/A |
Read Transcript | Q2 | 2024 | 2024-06-07 | N/A | N/A |
Read Transcript | Q1 | 2024 | 2024-03-08 | N/A | N/A |
Read Transcript | Q4 | 2023 | 2023-12-15 | N/A | N/A |
Read Transcript | Q3 | 2023 | 2023-09-01 | N/A | N/A |
Read Transcript | Q2 | 2023 | 2023-06-02 | N/A | N/A |
Read Transcript | Q1 | 2023 | 2023-03-10 | N/A | N/A |

Quanex Building Products Corporation, together with its subsidiaries, provides components for the fenestration industry in the United States, Europe, Canada, Asia, and internationally. The company operates through three segments: North American Fenestration, European Fenestration, and North American Cabinet Components. It offers flexible insulating glass spacers, extruded vinyl profiles, window and door screens, and precision-formed metal and wood products, as well as cabinet doors and other components for original equipment manufacturers (OEMs) in the kitchen and bathroom cabinet industry. The company also provides various non-fenestration components and products, including solar panel sealants, trim moldings, vinyl decking, fencing, water retention barriers, and conservatory roof components. It sells its products to OEMs in the building products industry through sales representatives, direct sales force, distributors, and independent sales agents. The company was founded in 1927 and is based in Houston, Texas.
$19.60
Stock Price
$925.48M
Market Cap
7.07K
Employees
Houston, TX
Location
Financial Statements
Access annual & quarterly financial statements for Quanex Building Products, including income statements, balance sheets, and cash flow statements..
Annual Income Statement
Breakdown | October 31, 2024 | October 31, 2023 | October 31, 2022 | October 31, 2021 | October 31, 2020 |
---|---|---|---|---|---|
Revenue | $1.28B | $1.13B | $1.22B | $1.07B | $851.57M |
Cost of Revenue | $972.24M | $853.06M | $953.00M | $831.54M | $658.75M |
Gross Profit | $305.62M | $277.52M | $268.50M | $240.61M | $192.82M |
Gross Profit Ratio | 23.92% | 24.50% | 21.98% | 22.40% | 22.64% |
Research and Development Expenses | $- | $- | $- | $- | $- |
General and Administrative Expenses | $- | $- | $- | $- | $- |
Selling and Marketing Expenses | $- | $- | $- | $- | $- |
Selling General and Administrative Expenses | $190.47M | $123.96M | $117.11M | $115.97M | $89.71M |
Other Expenses | $60.33M | $42.87M | $40.11M | $42.73M | $47.23M |
Operating Expenses | $250.80M | $172.59M | $157.22M | $158.70M | $136.94M |
Cost and Expenses | $1.22B | $1.02B | $1.11B | $990.24M | $795.69M |
Interest Income | $1.69M | $248.00K | $19.00K | $5.00K | $28.00K |
Interest Expense | $20.59M | $8.14M | $2.56M | $2.53M | $5.25M |
Depreciation and Amortization | $60.33M | $42.87M | $40.11M | $42.73M | $47.23M |
EBITDA | $116.06M | $148.05M | $152.43M | $125.36M | $102.77M |
EBITDA Ratio | 9.08% | 13.09% | 12.48% | 11.70% | 12.14% |
Operating Income | $54.83M | $110.70M | $111.28M | $81.87M | $55.27M |
Operating Income Ratio | 4.29% | 9.79% | 9.11% | 7.64% | 6.49% |
Total Other Income Expenses Net | $-12.74M | $-13.65M | $-1.52M | $-1.78M | $-4.96M |
Income Before Tax | $42.08M | $97.05M | $109.76M | $80.09M | $50.30M |
Income Before Tax Ratio | 3.29% | 8.58% | 8.99% | 7.47% | 5.91% |
Income Tax Expense | $9.02M | $14.54M | $21.43M | $23.11M | $11.80M |
Net Income | $33.06M | $82.50M | $88.34M | $56.98M | $38.50M |
Net Income Ratio | 2.59% | 7.30% | 7.23% | 5.31% | 4.52% |
EPS | $0.91 | $2.51 | $2.67 | $1.72 | $1.18 |
EPS Diluted | $0.90 | $2.50 | $2.66 | $1.70 | $1.17 |
Weighted Average Shares Outstanding | 36.42M | 32.82M | 33.05M | 33.19M | 32.69M |
Weighted Average Shares Outstanding Diluted | 36.65M | 33.03M | 33.20M | 33.49M | 32.82M |
SEC Filing | Source | Source | Source | Source | Source |
Breakdown | January 31, 2025 | October 31, 2024 | July 31, 2024 | April 30, 2024 | January 31, 2024 | October 31, 2023 | July 31, 2023 | April 30, 2023 | January 31, 2023 | October 31, 2022 | July 31, 2022 | April 30, 2022 | January 31, 2022 | October 31, 2021 | July 31, 2021 | April 30, 2021 | January 31, 2021 | October 31, 2020 | July 31, 2020 | April 30, 2020 |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Revenue | $400.04M | $492.16M | $280.35M | $266.20M | $239.16M | $295.49M | $299.64M | $273.54M | $261.92M | $307.53M | $324.04M | $322.89M | $267.04M | $291.77M | $279.88M | $270.36M | $230.15M | $255.41M | $212.10M | $187.47M |
Cost of Revenue | $307.73M | $375.11M | $220.39M | $210.86M | $198.88M | $215.47M | $221.06M | $206.37M | $210.15M | $240.07M | $251.45M | $249.65M | $211.83M | $226.82M | $219.87M | $208.46M | $176.40M | $189.16M | $162.43M | $149.73M |
Gross Profit | $92.32M | $117.05M | $59.95M | $55.34M | $40.28M | $80.02M | $78.58M | $67.16M | $51.77M | $67.46M | $72.59M | $73.24M | $55.21M | $64.95M | $60.01M | $61.90M | $53.75M | $66.24M | $49.67M | $37.74M |
Gross Profit Ratio | 23.08% | 23.78% | 21.40% | 20.80% | 16.80% | 27.10% | 26.20% | 24.60% | 19.80% | 21.90% | 22.40% | 22.70% | 20.70% | 22.30% | 21.40% | 22.90% | 23.40% | 25.94% | 23.42% | 20.13% |
Research and Development Expenses | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
General and Administrative Expenses | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Selling and Marketing Expenses | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Selling General and Administrative Expenses | $66.65M | $86.89M | $36.51M | $34.71M | $32.36M | $29.33M | $30.52M | $27.37M | $36.74M | $29.33M | $28.82M | $28.13M | $30.82M | $27.67M | $27.77M | $29.67M | $30.86M | $26.89M | $21.97M | $16.71M |
Other Expenses | $32.64M | $27.33M | $- | $4.00K | $1.04M | $-6.11M | $402.00K | $10.46M | $10.62M | $9.55M | $398.00K | $10.56M | $80.00K | $109.00K | $267.00K | $268.00K | $192.00K | $164.00K | $-220.00K | $158.00K |
Operating Expenses | $99.29M | $114.22M | $36.51M | $34.71M | $32.36M | $40.52M | $41.11M | $37.83M | $47.36M | $38.89M | $38.56M | $38.69M | $41.08M | $37.86M | $38.45M | $40.52M | $41.88M | $38.27M | $33.03M | $28.60M |
Cost and Expenses | $407.02M | $489.33M | $256.90M | $245.56M | $231.24M | $255.99M | $262.18M | $244.20M | $257.51M | $278.96M | $290.00M | $288.34M | $252.91M | $264.68M | $258.31M | $248.98M | $218.27M | $227.43M | $195.46M | $178.33M |
Interest Income | $618.00K | $1.69M | $- | $- | $- | $248.00K | $2.07M | $2.24M | $26.00K | $2.00K | $2.00K | $- | $15.00K | $1.00K | $- | $1.00K | $3.00K | $4.00K | $5.00K | $14.00K |
Interest Expense | $14.19M | $17.70M | $878.00K | $950.00K | $1.07M | $1.56M | $2.07M | $2.24M | $2.26M | $710.00K | $724.00K | $602.00K | $523.00K | $542.00K | $597.00K | $640.00K | $751.00K | $935.00K | $1.17M | $1.56M |
Depreciation and Amortization | $24.74M | $27.33M | $10.95M | $10.89M | $11.15M | $11.19M | $10.60M | $10.46M | $10.62M | $9.55M | $9.73M | $10.56M | $10.26M | $10.19M | $10.68M | $10.85M | $11.02M | $11.38M | $11.06M | $11.89M |
EBITDA | $18.99M | $30.16M | $43.87M | $31.54M | $20.11M | $44.58M | $48.46M | $39.76M | $15.24M | $38.26M | $44.17M | $45.57M | $24.44M | $37.39M | $32.43M | $32.49M | $23.04M | $39.37M | $27.40M | $21.08M |
EBITDA Ratio | 4.75% | 6.13% | 15.65% | 11.84% | 7.97% | 15.09% | 16.17% | 14.54% | 5.82% | 12.44% | 13.63% | 14.11% | 9.17% | 12.82% | 11.62% | 12.02% | 10.03% | 15.47% | 12.95% | 11.31% |
Operating Income | $-6.98M | $2.83M | $23.44M | $20.64M | $7.92M | $39.50M | $37.46M | $29.34M | $4.40M | $28.57M | $34.03M | $34.55M | $14.13M | $27.09M | $21.56M | $21.38M | $11.84M | $27.83M | $16.56M | $8.89M |
Operating Income Ratio | -1.74% | 0.58% | 8.36% | 7.75% | 3.31% | 13.37% | 12.50% | 10.72% | 1.68% | 9.29% | 10.50% | 10.70% | 5.29% | 9.29% | 7.70% | 7.91% | 5.14% | 10.90% | 7.81% | 4.74% |
Total Other Income Expenses Net | $-12.96M | $-20.37M | $8.60M | $-946.00K | $-26.00K | $-7.67M | $-1.67M | $-2.27M | $-2.04M | $-574.00K | $-326.00K | $-149.00K | $-469.00K | $-433.00K | $-409.00K | $-375.00K | $-559.00K | $-771.00K | $-1.39M | $-1.26M |
Income Before Tax | $-19.93M | $-17.54M | $32.04M | $19.69M | $7.89M | $31.82M | $35.80M | $27.06M | $2.36M | $28.00M | $33.71M | $34.40M | $13.66M | $26.66M | $21.15M | $21.00M | $11.28M | $27.06M | $15.18M | $7.63M |
Income Before Tax Ratio | -4.98% | -3.56% | 11.43% | 7.40% | 3.30% | 10.77% | 11.95% | 9.89% | 0.90% | 9.10% | 10.40% | 10.65% | 5.11% | 9.14% | 7.56% | 7.77% | 4.90% | 10.59% | 7.16% | 4.07% |
Income Tax Expense | $-5.05M | $-3.62M | $6.69M | $4.31M | $1.64M | $4.44M | $4.10M | $5.55M | $453.00K | $3.33M | $7.80M | $7.88M | $2.42M | $5.76M | $7.47M | $6.45M | $3.42M | $4.91M | $4.34M | $2.13M |
Net Income | $-14.88M | $-13.92M | $25.35M | $15.38M | $6.25M | $27.38M | $31.70M | $21.51M | $1.91M | $24.67M | $25.91M | $26.52M | $11.24M | $20.90M | $13.68M | $14.55M | $7.85M | $22.15M | $10.83M | $5.50M |
Net Income Ratio | -3.72% | -2.83% | 9.04% | 5.78% | 2.61% | 9.27% | 10.58% | 7.86% | 0.73% | 8.02% | 8.00% | 8.21% | 4.21% | 7.16% | 4.89% | 5.38% | 3.41% | 8.67% | 5.11% | 2.93% |
EPS | $-0.32 | $-0.38 | $0.77 | $0.47 | $0.19 | $0.84 | $0.97 | $0.65 | $0.06 | $0.75 | $0.79 | $0.80 | $0.34 | $0.63 | $0.41 | $0.44 | $0.24 | $0.68 | $0.33 | $0.17 |
EPS Diluted | $-0.32 | $-0.38 | $0.77 | $0.46 | $0.19 | $0.83 | $0.96 | $0.65 | $0.06 | $0.75 | $0.78 | $0.80 | $0.34 | $0.62 | $0.41 | $0.43 | $0.24 | $0.68 | $0.33 | $0.17 |
Weighted Average Shares Outstanding | 47.02M | 36.42M | 32.88M | 32.87M | 32.83M | 32.75M | 32.72M | 32.86M | 32.95M | 32.92M | 33.00M | 33.16M | 33.12M | 33.19M | 33.36M | 33.35M | 32.87M | 32.61M | 32.61M | 32.68M |
Weighted Average Shares Outstanding Diluted | 47.02M | 36.65M | 33.11M | 33.10M | 33.04M | 32.99M | 32.92M | 33.02M | 33.14M | 33.08M | 33.17M | 33.29M | 33.30M | 33.45M | 33.65M | 33.64M | 33.21M | 32.81M | 32.74M | 32.79M |
SEC Filing | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source |
Annual Balance Sheet
Breakdown | October 31, 2024 | October 31, 2023 | October 31, 2022 | October 31, 2021 | October 31, 2020 |
---|---|---|---|---|---|
Cash and Cash Equivalents | $97.74M | $58.47M | $55.09M | $40.06M | $51.62M |
Short Term Investments | $- | $- | $- | $- | $- |
Cash and Short Term Investments | $97.74M | $58.47M | $55.09M | $40.06M | $51.62M |
Net Receivables | $197.69M | $105.61M | $96.02M | $108.31M | $88.29M |
Inventory | $275.55M | $97.96M | $120.89M | $92.53M | $61.18M |
Other Current Assets | $40.28M | $11.56M | $17.33M | $16.30M | $12.43M |
Total Current Assets | $611.27M | $273.60M | $280.67M | $249.05M | $207.31M |
Property Plant Equipment Net | $529.18M | $297.28M | $236.40M | $231.34M | $235.93M |
Goodwill | $574.71M | $182.96M | $137.85M | $149.21M | $146.15M |
Intangible Assets | $597.91M | $74.11M | $65.03M | $82.41M | $93.07M |
Goodwill and Intangible Assets | $1.17B | $257.07M | $202.89M | $231.62M | $239.22M |
Long Term Investments | $- | $- | $- | $-21.96M | $-19.12M |
Tax Assets | $3.85M | $- | $22.28M | $21.96M | $19.12M |
Other Non-Current Assets | $2.87M | $3.19M | $-17.61M | $5.32M | $9.13M |
Total Non-Current Assets | $1.71B | $557.54M | $443.95M | $468.28M | $484.28M |
Other Assets | $- | $- | $- | $- | $- |
Total Assets | $2.32B | $831.14M | $724.62M | $717.32M | $691.59M |
Account Payables | $124.40M | $74.37M | $77.91M | $86.77M | $77.33M |
Short Term Debt | $31.60M | $9.59M | $16.50M | $17.24M | $15.61M |
Tax Payables | $6.62M | $384.00K | $1.05M | $6.04M | $6.46M |
Deferred Revenue | $3.56M | $1.02M | $792.00K | $627.00K | $763.00K |
Other Current Liabilities | $110.24M | $49.30M | $43.59M | $47.33M | $30.07M |
Total Current Liabilities | $272.87M | $134.66M | $139.84M | $158.00M | $130.24M |
Long Term Debt | $854.76M | $106.80M | $128.20M | $142.83M | $206.47M |
Deferred Revenue Non-Current | $- | $- | $- | $4.74M | $10.92M |
Deferred Tax Liabilities Non-Current | $162.30M | $- | $22.28M | $21.96M | $19.12M |
Other Non-Current Liabilities | $19.11M | $44.13M | $-8.26M | $-3.29M | $-888.00K |
Total Non-Current Liabilities | $1.04B | $150.93M | $119.94M | $139.54M | $205.59M |
Other Liabilities | $- | $- | $- | $- | $- |
Total Liabilities | $1.31B | $285.59M | $259.78M | $297.54M | $335.83M |
Preferred Stock | $- | $- | $- | $- | $- |
Common Stock | $513.00K | $372.00K | $372.00K | $373.00K | $373.00K |
Retained Earnings | $430.40M | $409.32M | $337.46M | $259.72M | $213.52M |
Accumulated Other Comprehensive Income Loss | $-46.43M | $-38.14M | $-49.42M | $-21.77M | $-33.02M |
Other Total Stockholders Equity | $626.26M | $174.00M | $176.43M | $181.46M | $174.89M |
Total Stockholders Equity | $1.01B | $545.55M | $464.83M | $419.78M | $355.76M |
Total Equity | $1.01B | $545.55M | $464.83M | $419.78M | $355.76M |
Total Liabilities and Stockholders Equity | $2.32B | $831.14M | $724.62M | $717.32M | $691.59M |
Minority Interest | $- | $- | $- | $- | $- |
Total Liabilities and Total Equity | $2.32B | $831.14M | $724.62M | $717.32M | $691.59M |
Total Investments | $- | $-29.13M | $- | $-21.96M | $-19.12M |
Total Debt | $892.98M | $116.39M | $87.69M | $106.50M | $169.75M |
Net Debt | $795.23M | $57.91M | $32.59M | $66.44M | $118.13M |
Balance Sheet Charts
Breakdown | January 31, 2025 | October 31, 2024 | July 31, 2024 | April 30, 2024 | January 31, 2024 | October 31, 2023 | July 31, 2023 | April 30, 2023 | January 31, 2023 | October 31, 2022 | July 31, 2022 | April 30, 2022 | January 31, 2022 | October 31, 2021 | July 31, 2021 | April 30, 2021 | January 31, 2021 | October 31, 2020 | July 31, 2020 | April 30, 2020 |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Cash and Cash Equivalents | $49.98M | $97.74M | $93.97M | $56.15M | $44.42M | $58.47M | $73.25M | $43.50M | $43.05M | $55.09M | $50.03M | $38.90M | $31.72M | $40.06M | $43.66M | $49.26M | $43.43M | $51.62M | $41.07M | $80.25M |
Short Term Investments | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Cash and Short Term Investments | $49.98M | $97.74M | $93.97M | $56.15M | $44.42M | $58.47M | $73.25M | $43.50M | $43.05M | $55.09M | $50.03M | $38.90M | $31.72M | $40.06M | $43.66M | $49.26M | $43.43M | $51.62M | $41.07M | $80.25M |
Net Receivables | $164.35M | $197.69M | $89.00M | $93.13M | $87.70M | $105.61M | $96.20M | $94.04M | $84.67M | $96.02M | $109.47M | $118.19M | $99.36M | $108.31M | $98.29M | $96.52M | $82.54M | $88.29M | $84.48M | $66.89M |
Inventory | $280.58M | $275.55M | $99.13M | $101.45M | $107.48M | $97.96M | $105.37M | $114.02M | $127.73M | $120.89M | $138.24M | $130.38M | $117.38M | $92.53M | $93.49M | $80.36M | $76.08M | $61.18M | $63.94M | $75.07M |
Other Current Assets | $52.71M | $40.28M | $19.30M | $12.78M | $13.39M | $11.56M | $12.76M | $12.21M | $11.15M | $17.33M | $17.30M | $22.88M | $23.24M | $16.30M | $18.27M | $16.72M | $14.43M | $12.43M | $15.86M | $19.20M |
Total Current Assets | $547.62M | $611.27M | $301.40M | $263.50M | $253.00M | $273.60M | $287.59M | $263.76M | $266.61M | $280.67M | $306.38M | $298.92M | $260.08M | $249.05M | $244.57M | $234.50M | $209.25M | $207.31M | $197.42M | $231.82M |
Property Plant Equipment Net | $516.12M | $529.18M | $315.53M | $317.88M | $300.05M | $297.28M | $291.72M | $288.25M | $288.03M | $236.40M | $221.13M | $218.89M | $225.99M | $231.34M | $230.84M | $234.89M | $235.62M | $235.93M | $236.47M | $229.25M |
Goodwill | $569.69M | $574.71M | $186.19M | $184.48M | $185.44M | $182.96M | $186.41M | $185.22M | $184.71M | $137.85M | $141.25M | $143.27M | $147.79M | $149.21M | $150.49M | $150.30M | $149.94M | $146.15M | $146.93M | $143.87M |
Intangible Assets | $580.08M | $597.91M | $66.61M | $68.67M | $72.01M | $74.11M | $78.62M | $80.98M | $83.40M | $65.03M | $69.67M | $73.58M | $78.75M | $82.41M | $86.03M | $88.85M | $91.81M | $93.07M | $96.96M | $98.91M |
Goodwill and Intangible Assets | $1.15B | $1.17B | $252.80M | $253.15M | $257.45M | $257.07M | $265.03M | $266.20M | $268.11M | $202.89M | $210.92M | $216.85M | $226.54M | $231.62M | $236.51M | $239.15M | $241.75M | $239.22M | $243.89M | $242.78M |
Long Term Investments | $- | $- | $- | $-29.28M | $-30.74M | $-29.13M | $-23.74M | $- | $- | $-13.37M | $-21.09M | $-21.52M | $-22.60M | $-12.63M | $-25.25M | $-22.08M | $-21.58M | $- | $-20.51M | $-20.93M |
Tax Assets | $3.71M | $3.85M | $- | $29.28M | $30.74M | $29.13M | $23.74M | $23.40M | $23.25M | $13.37M | $21.09M | $21.52M | $22.60M | $12.63M | $25.25M | $22.08M | $21.58M | $- | $20.51M | $20.93M |
Other Non-Current Assets | $3.27M | $2.87M | $2.72M | $2.69M | $2.93M | $3.19M | $3.48M | $-19.49M | $-18.96M | $4.66M | $-15.91M | $5.83M | $5.66M | $5.32M | $7.26M | $7.03M | $7.65M | $9.13M | $9.01M | $9.05M |
Total Non-Current Assets | $1.67B | $1.71B | $571.05M | $573.71M | $560.42M | $557.54M | $560.22M | $558.35M | $560.42M | $443.95M | $437.22M | $441.57M | $458.19M | $468.28M | $474.62M | $481.07M | $485.02M | $484.28M | $489.37M | $481.07M |
Other Assets | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Total Assets | $2.22B | $2.32B | $872.45M | $837.21M | $813.42M | $831.14M | $847.81M | $822.11M | $827.03M | $724.62M | $743.61M | $740.49M | $718.27M | $717.32M | $719.19M | $715.57M | $694.27M | $691.59M | $686.79M | $712.88M |
Account Payables | $108.37M | $124.40M | $63.95M | $60.62M | $55.11M | $74.37M | $71.46M | $64.48M | $63.09M | $77.91M | $84.53M | $88.96M | $75.46M | $86.77M | $79.17M | $83.08M | $62.55M | $77.33M | $58.68M | $42.23M |
Short Term Debt | $39.10M | $31.60M | $18.25M | $15.50M | $17.24M | $16.81M | $17.05M | $16.92M | $16.42M | $8.77M | $17.01M | $17.27M | $17.43M | $9.04M | $17.38M | $17.20M | $16.18M | $8.15M | $15.30M | $14.04M |
Tax Payables | $- | $6.62M | $- | $- | $- | $384.00K | $- | $- | $1.62M | $1.05M | $13.71M | $7.85M | $7.47M | $6.04M | $1.33M | $2.46M | $3.77M | $6.46M | $6.35M | $2.07M |
Deferred Revenue | $- | $3.15M | $- | $- | $- | $384.00K | $- | $- | $23.25M | $792.00K | $-9.04M | $- | $- | $627.00K | $- | $- | $- | $763.00K | $- | $- |
Other Current Liabilities | $81.30M | $107.09M | $45.67M | $42.42M | $39.11M | $43.09M | $46.85M | $37.25M | $38.85M | $51.32M | $43.48M | $32.51M | $31.27M | $55.53M | $44.48M | $32.98M | $29.71M | $37.53M | $26.61M | $20.71M |
Total Current Liabilities | $228.78M | $272.87M | $127.87M | $118.53M | $111.45M | $134.66M | $135.37M | $118.65M | $119.99M | $139.84M | $158.73M | $146.59M | $131.63M | $158.00M | $142.35M | $135.72M | $112.21M | $130.24M | $106.94M | $79.04M |
Long Term Debt | $840.75M | $854.76M | $110.50M | $171.48M | $101.68M | $51.80M | $185.82M | $210.58M | $138.61M | $78.91M | $132.99M | $158.45M | $163.52M | $97.46M | $167.18M | $185.17M | $204.26M | $161.60M | $237.54M | $300.80M |
Deferred Revenue Non-Current | $- | $- | $- | $59.97M | $40.08M | $- | $- | $- | $- | $- | $4.50M | $- | $4.66M | $4.74M | $10.77M | $10.82M | $10.87M | $10.92M | $11.38M | $11.36M |
Deferred Tax Liabilities Non-Current | $162.85M | $162.30M | $27.44M | $29.28M | $30.74M | $29.13M | $23.74M | $23.40M | $23.25M | $22.28M | $21.09M | $21.52M | $22.60M | $21.96M | $25.25M | $22.08M | $21.58M | $19.12M | $20.51M | $20.93M |
Other Non-Current Liabilities | $16.00M | $19.11M | $12.50M | $-48.20M | $14.52M | $99.13M | $-23.07M | $-23.24M | $69.49M | $18.75M | $-19.34M | $-22.25M | $-23.97M | $42.08M | $-20.98M | $-22.50M | $-21.49M | $43.98M | $-18.14M | $-11.84M |
Total Non-Current Liabilities | $1.02B | $1.04B | $150.44M | $152.56M | $146.94M | $150.93M | $186.49M | $210.74M | $231.35M | $119.94M | $134.74M | $157.73M | $162.15M | $139.54M | $171.45M | $184.75M | $204.35M | $205.59M | $239.91M | $309.89M |
Other Liabilities | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Total Liabilities | $1.25B | $1.31B | $278.31M | $271.09M | $258.39M | $285.59M | $321.85M | $329.38M | $351.34M | $259.78M | $293.47M | $304.32M | $293.77M | $297.54M | $313.80M | $320.48M | $316.56M | $335.83M | $346.85M | $388.93M |
Preferred Stock | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $21.77M | $- | $- | $- | $33.02M | $- | $- |
Common Stock | $512.00K | $513.00K | $371.00K | $371.00K | $371.00K | $372.00K | $372.00K | $372.00K | $372.00K | $372.00K | $373.00K | $373.00K | $373.00K | $373.00K | $373.00K | $373.00K | $373.00K | $373.00K | $373.00K | $373.00K |
Retained Earnings | $411.71M | $430.40M | $448.35M | $425.65M | $412.92M | $409.32M | $384.62M | $355.56M | $336.70M | $337.46M | $315.47M | $292.22M | $268.37M | $259.72M | $241.58M | $230.59M | $218.73M | $213.52M | $193.99M | $185.78M |
Accumulated Other Comprehensive Income Loss | $-62.38M | $-46.43M | $-30.13M | $-34.63M | $-32.06M | $-38.14M | $-31.89M | $-34.97M | $-38.05M | $-49.42M | $-41.37M | $-36.20M | $-24.93M | $-21.77M | $-22.97M | $-23.39M | $-24.42M | $-33.02M | $-28.82M | $-36.16M |
Other Total Stockholders Equity | $622.27M | $626.26M | $175.54M | $174.73M | $173.80M | $174.00M | $172.85M | $171.77M | $176.66M | $176.43M | $175.66M | $179.78M | $180.69M | $181.46M | $186.40M | $187.53M | $183.03M | $174.89M | $174.40M | $173.97M |
Total Stockholders Equity | $972.12M | $1.01B | $594.14M | $566.12M | $555.03M | $545.55M | $525.96M | $492.73M | $475.69M | $464.83M | $450.14M | $436.17M | $424.50M | $419.78M | $405.39M | $395.10M | $377.71M | $355.76M | $339.94M | $323.96M |
Total Equity | $972.12M | $1.01B | $594.14M | $566.12M | $555.03M | $545.55M | $525.96M | $492.73M | $475.69M | $464.83M | $450.14M | $436.17M | $424.50M | $419.78M | $405.39M | $395.10M | $377.71M | $355.76M | $339.94M | $323.96M |
Total Liabilities and Stockholders Equity | $2.22B | $2.32B | $872.45M | $837.21M | $813.42M | $831.14M | $847.81M | $822.11M | $827.03M | $724.62M | $743.61M | $740.49M | $718.27M | $717.32M | $719.19M | $715.57M | $694.27M | $691.59M | $686.79M | $712.88M |
Minority Interest | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Total Liabilities and Total Equity | $2.22B | $2.32B | $872.45M | $837.21M | $813.42M | $831.14M | $847.81M | $822.11M | $827.03M | $724.62M | $743.61M | $740.49M | $718.27M | $717.32M | $719.19M | $715.57M | $694.27M | $691.59M | $686.79M | $712.88M |
Total Investments | $- | $- | $-27.44M | $-29.28M | $-30.74M | $-29.13M | $-23.74M | $- | $- | $-13.37M | $- | $-21.52M | $-22.60M | $-12.63M | $-25.25M | $-22.08M | $-21.58M | $- | $-20.51M | $-20.93M |
Total Debt | $879.85M | $892.98M | $119.63M | $120.58M | $111.55M | $116.39M | $156.19M | $180.88M | $200.62M | $87.69M | $103.27M | $126.12M | $129.24M | $106.50M | $128.92M | $145.16M | $166.62M | $169.75M | $202.80M | $272.60M |
Net Debt | $829.87M | $795.23M | $25.66M | $64.43M | $67.13M | $57.91M | $82.94M | $137.38M | $157.56M | $32.59M | $53.24M | $87.22M | $97.52M | $66.44M | $85.26M | $95.90M | $123.19M | $118.13M | $161.73M | $192.35M |
Annual Cash Flow
Breakdown | October 31, 2024 | October 31, 2023 | October 31, 2022 | October 31, 2021 | October 31, 2020 |
---|---|---|---|---|---|
Net Income | $33.06M | $82.50M | $88.34M | $56.98M | $38.50M |
Depreciation and Amortization | $60.33M | $42.87M | $40.11M | $42.73M | $47.23M |
Deferred Income Tax | $-15.34M | $5.15M | $2.10M | $1.78M | $-189.00K |
Stock Based Compensation | $2.95M | $2.52M | $5.83M | $7.20M | $1.17M |
Change in Working Capital | $11.57M | $12.21M | $-36.88M | $-30.04M | $12.69M |
Accounts Receivables | $973.00K | $6.97M | $6.95M | $-19.02M | $-5.77M |
Inventory | $33.48M | $30.02M | $-32.03M | $-31.38M | $6.12M |
Accounts Payables | $-35.82M | $-11.61M | $-3.05M | $7.10M | $15.92M |
Other Working Capital | $12.94M | $-13.17M | $-8.74M | $13.26M | $-3.58M |
Other Non Cash Items | $-3.77M | $1.81M | $2.01M | $5.17M | $1.69M |
Net Cash Provided by Operating Activities | $88.81M | $147.05M | $97.97M | $78.59M | $100.80M |
Investments in Property Plant and Equipment | $-37.09M | $-37.39M | $-33.12M | $-24.01M | $-25.73M |
Acquisitions Net | $-398.55M | $-91.30M | $159.00K | $5.30M | $502.00K |
Purchases of Investments | $- | $- | $- | $- | $- |
Sales Maturities of Investments | $- | $- | $- | $- | $- |
Other Investing Activities | $15.05M | $253.00K | $159.00K | $5.30M | $502.00K |
Net Cash Used for Investing Activities | $-420.59M | $-128.44M | $-32.96M | $-18.71M | $-25.22M |
Debt Repayment | $405.04M | $-567.00K | $-27.96M | $-65.68M | $-40.53M |
Common Stock Issued | $573.00K | $1.22M | $689.00K | $16.27M | $3.63M |
Common Stock Repurchased | $- | $-5.59M | $-6.60M | $-11.18M | $-7.23M |
Dividends Paid | $-11.97M | $-10.64M | $-10.60M | $-10.78M | $-10.53M |
Other Financing Activities | $-8.49M | $-567.00K | $-1.41M | $-492.00K | $-454.00K |
Net Cash Used Provided by Financing Activities | $385.16M | $-16.15M | $-45.88M | $-71.86M | $-55.12M |
Effect of Forex Changes on Cash | $-8.85M | $919.00K | $-4.09M | $421.00K | $303.00K |
Net Change in Cash | $44.52M | $3.38M | $15.03M | $-11.56M | $20.75M |
Cash at End of Period | $103.00M | $58.47M | $55.09M | $40.06M | $51.62M |
Cash at Beginning of Period | $58.47M | $55.09M | $40.06M | $51.62M | $30.87M |
Operating Cash Flow | $88.81M | $147.05M | $97.97M | $78.59M | $100.80M |
Capital Expenditure | $-37.09M | $-37.39M | $-33.12M | $-24.01M | $-25.73M |
Free Cash Flow | $51.73M | $109.66M | $64.84M | $54.58M | $75.07M |
Cash Flow Charts
Breakdown | January 31, 2025 | October 31, 2024 | July 31, 2024 | April 30, 2024 | January 31, 2024 | October 31, 2023 | July 31, 2023 | April 30, 2023 | January 31, 2023 | October 31, 2022 | July 31, 2022 | April 30, 2022 | January 31, 2022 | October 31, 2021 | July 31, 2021 | April 30, 2021 | January 31, 2021 | October 31, 2020 | July 31, 2020 | April 30, 2020 |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Net Income | $-14.88M | $-13.92M | $25.35M | $15.38M | $6.25M | $27.38M | $31.70M | $21.51M | $1.91M | $24.67M | $25.91M | $26.52M | $11.24M | $20.90M | $13.68M | $14.55M | $7.85M | $22.15M | $10.83M | $5.50M |
Depreciation and Amortization | $24.74M | $27.33M | $10.95M | $10.89M | $11.15M | $11.19M | $10.60M | $10.46M | $10.62M | $9.55M | $9.73M | $10.56M | $10.26M | $10.19M | $10.68M | $10.85M | $11.02M | $11.38M | $11.06M | $11.89M |
Deferred Income Tax | $2.85M | $-13.02M | $-2.17M | $-1.29M | $1.14M | $4.97M | $80.00K | $-82.00K | $179.00K | $1.59M | $-78.00K | $-271.00K | $854.00K | $-3.64M | $3.09M | $414.00K | $1.93M | $-627.00K | $-756.00K | $1.61M |
Stock Based Compensation | $902.00K | $- | $794.00K | $1.49M | $3.16M | $1.68M | $2.47M | $360.00K | $5.49M | $561.00K | $583.00K | $572.00K | $552.00K | $500.00K | $500.00K | $447.00K | $523.00K | $366.00K | $427.00K | $325.00K |
Change in Working Capital | $-32.29M | $-259.00K | $19.93M | $8.96M | $-17.06M | $870.00K | $19.85M | $3.25M | $-11.76M | $12.35M | $14.47M | $-17.93M | $-45.77M | $3.53M | $-9.91M | $4.24M | $-27.90M | $19.04M | $23.23M | $-12.56M |
Accounts Receivables | $30.33M | $- | $282.00K | $-7.32M | $18.15M | $-2.95M | $-1.65M | $-8.94M | $20.50M | $12.25M | $7.70M | $-21.35M | $8.34M | $-10.74M | $-1.55M | $-13.83M | $7.10M | $-3.91M | $-16.53M | $-3.96M |
Inventory | $-8.60M | $33.67M | $2.83M | $5.75M | $-8.76M | $6.16M | $9.06M | $14.15M | $645.00K | $16.25M | $-8.51M | $-14.45M | $-25.32M | $731.00K | $-13.85M | $-4.20M | $-14.06M | $2.57M | $11.92M | $2.29M |
Accounts Payables | $-16.55M | $-26.19M | $2.98M | $6.42M | $-19.04M | $3.86M | $4.35M | $1.55M | $-21.38M | $-5.81M | $-4.62M | $15.77M | $-8.39M | $5.50M | $-3.98M | $20.16M | $-14.58M | $17.80M | $14.93M | $-4.74M |
Other Working Capital | $-37.47M | $-7.74M | $13.84M | $4.10M | $-7.40M | $-6.20M | $8.08M | $-3.52M | $-11.53M | $-10.34M | $486.00K | $2.10M | $-20.40M | $8.04M | $9.47M | $2.11M | $-6.36M | $2.59M | $12.91M | $-6.15M |
Other Non Cash Items | $6.17M | $5.34M | $-8.48M | $16.08M | $1.79M | $-616.00K | $1.44M | $-527.00K | $1.51M | $-633.00K | $1.11M | $316.00K | $1.22M | $-320.00K | $436.00K | $1.86M | $3.19M | $927.00K | $299.00K | $-633.00K |
Net Cash Provided by Operating Activities | $-12.51M | $5.48M | $46.39M | $33.09M | $3.85M | $44.49M | $64.10M | $35.33M | $3.13M | $48.11M | $51.73M | $19.77M | $-21.65M | $31.15M | $18.48M | $32.35M | $-3.40M | $53.23M | $45.09M | $6.13M |
Investments in Property Plant and Equipment | $-11.62M | $-13.65M | $-6.25M | $-7.60M | $-9.58M | $-14.94M | $-7.38M | $-7.49M | $-7.58M | $-13.63M | $-5.70M | $-6.42M | $-7.37M | $-8.00M | $-6.21M | $-4.55M | $-5.25M | $-5.05M | $-4.36M | $-7.00M |
Acquisitions Net | $- | $-398.55M | $- | $62.00K | $31.00K | $70.00K | $82.00K | $698.00K | $-92.00M | $25.00K | $98.00K | $26.00K | $10.00K | $2.16M | $1.47M | $1.60M | $- | $- | $- | $- |
Purchases of Investments | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Sales Maturities of Investments | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Other Investing Activities | $169.00K | $14.93M | $22.00K | $62.00K | $31.00K | $70.00K | $82.00K | $3.00K | $98.00K | $25.00K | $98.00K | $26.00K | $10.00K | $2.16M | $1.47M | $1.60M | $64.00K | $371.00K | $98.00K | $33.00K |
Net Cash Used for Investing Activities | $-11.46M | $-397.27M | $-6.23M | $-7.54M | $-9.55M | $-14.87M | $-7.29M | $-6.79M | $-99.48M | $-13.61M | $-5.61M | $-6.39M | $-7.36M | $-5.84M | $-4.73M | $-2.95M | $-5.18M | $-4.68M | $-4.26M | $-6.97M |
Debt Repayment | $-13.28M | $421.94M | $-939.00K | $-10.28M | $-5.68M | $-40.61M | $-25.65M | $-20.73M | $86.42M | $-25.45M | $-25.87M | $-204.00K | $24.77M | $-20.18M | $-14.90M | $-25.06M | $-5.54M | $-35.24M | $-78.29M | $63.28M |
Common Stock Issued | $214.00K | $- | $19.00K | $154.00K | $400.00K | $462.00K | $654.00K | $- | $99.00K | $187.00K | $329.00K | $118.00K | $55.00K | $- | $149.00K | $6.09M | $10.03M | $672.00K | $- | $-121.00K |
Common Stock Repurchased | $-3.70M | $- | $- | $- | $- | $- | $- | $-5.59M | $- | $- | $-5.03M | $-1.57M | $- | $-5.44M | $-1.77M | $-2.04M | $-1.93M | $-540.00K | $- | $-2.05M |
Dividends Paid | $-3.81M | $-4.03M | $-2.65M | $-2.65M | $-2.65M | $-2.69M | $-2.63M | $-2.66M | $-2.66M | $-2.68M | $-2.66M | $-2.67M | $-2.59M | $-2.76M | $-2.69M | $-2.69M | $-2.64M | $-2.62M | $-2.62M | $-2.63M |
Other Financing Activities | $-1.40M | $-7.30M | $- | $- | $-1.19M | $- | $- | $-22.00K | $-545.00K | $-1.00K | $-1.21M | $-29.00K | $-1.38M | $- | $- | $- | $-492.00K | $- | $- | $- |
Net Cash Used Provided by Financing Activities | $-21.97M | $410.61M | $-3.57M | $-12.77M | $-9.12M | $-42.84M | $-27.63M | $-29.00M | $83.31M | $-27.94M | $-34.44M | $-4.36M | $20.86M | $-28.38M | $-19.21M | $-23.70M | $-567.00K | $-37.73M | $-80.91M | $58.48M |
Effect of Forex Changes on Cash | $-1.59M | $-9.79M | $1.23M | $-1.05M | $760.00K | $-1.56M | $577.00K | $908.00K | $997.00K | $-1.50M | $-561.00K | $-1.84M | $-188.00K | $-534.00K | $-128.00K | $134.00K | $949.00K | $-277.00K | $903.00K | $-500.00K |
Net Change in Cash | $-47.53M | $9.03M | $37.82M | $11.73M | $-14.05M | $-14.78M | $29.76M | $441.00K | $-12.04M | $5.06M | $11.13M | $7.18M | $-8.34M | $-3.60M | $-5.59M | $5.83M | $-8.20M | $10.55M | $-39.18M | $57.14M |
Cash at End of Period | $55.47M | $103.00M | $93.97M | $56.15M | $44.42M | $58.47M | $73.25M | $43.50M | $43.05M | $55.09M | $50.03M | $38.90M | $31.72M | $40.06M | $43.66M | $49.26M | $43.43M | $51.62M | $41.07M | $80.25M |
Cash at Beginning of Period | $103.00M | $93.97M | $56.15M | $44.42M | $58.47M | $73.25M | $43.50M | $43.05M | $55.09M | $50.03M | $38.90M | $31.72M | $40.06M | $43.66M | $49.26M | $43.43M | $51.62M | $41.07M | $80.25M | $23.11M |
Operating Cash Flow | $-12.51M | $5.48M | $46.39M | $33.09M | $3.85M | $44.49M | $64.10M | $35.33M | $3.13M | $48.11M | $51.73M | $19.77M | $-21.65M | $31.15M | $18.48M | $32.35M | $-3.40M | $53.23M | $45.09M | $6.13M |
Capital Expenditure | $-11.62M | $-13.65M | $-6.25M | $-7.60M | $-9.58M | $-14.94M | $-7.38M | $-7.49M | $-7.58M | $-13.63M | $-5.70M | $-6.42M | $-7.37M | $-8.00M | $-6.21M | $-4.55M | $-5.25M | $-5.05M | $-4.36M | $-7.00M |
Free Cash Flow | $-24.13M | $-8.17M | $40.14M | $25.49M | $-5.73M | $29.55M | $56.72M | $27.83M | $-4.45M | $34.48M | $46.03M | $13.36M | $-29.02M | $23.15M | $12.27M | $27.80M | $-8.64M | $48.18M | $40.73M | $-872.00K |
Quanex Building Products Dividends
Explore Quanex Building Products's dividend history, including dividend yield, payout ratio, and historical payments.
Dividend Yield
1.13%
Dividend Payout Ratio
36.21%
Dividend Paid & Capex Coverage Ratio
1.81x
Quanex Building Products Dividend History
Dividend | Adjusted Dividend | Date | Record Date | Payment Date | Declaration Date |
---|---|---|---|---|---|
$0.08 | $0.08 | March 17, 2025 | March 17, 2025 | March 31, 2025 | February 27, 2025 |
$0.08 | $0.08 | December 16, 2024 | December 16, 2024 | December 31, 2024 | December 06, 2024 |
$0.08 | $0.08 | September 16, 2024 | September 16, 2024 | September 30, 2024 | August 30, 2024 |
$0.08 | $0.08 | June 14, 2024 | June 14, 2024 | June 28, 2024 | May 23, 2024 |
$0.08 | $0.08 | March 14, 2024 | March 15, 2024 | March 29, 2024 | February 28, 2024 |
$0.08 | $0.08 | December 18, 2023 | December 19, 2023 | December 29, 2023 | December 13, 2023 |
$0.08 | $0.08 | September 14, 2023 | September 15, 2023 | September 29, 2023 | August 24, 2023 |
$0.08 | $0.08 | June 14, 2023 | June 15, 2023 | June 30, 2023 | May 25, 2023 |
$0.08 | $0.08 | March 14, 2023 | March 15, 2023 | March 31, 2023 | March 01, 2023 |
$0.08 | $0.08 | December 16, 2022 | December 19, 2022 | December 30, 2022 | December 09, 2022 |
$0.08 | $0.08 | September 15, 2022 | September 16, 2022 | September 30, 2022 | August 29, 2022 |
$0.08 | $0.08 | June 14, 2022 | June 15, 2022 | June 30, 2022 | May 26, 2022 |
$0.08 | $0.08 | March 14, 2022 | March 15, 2022 | March 30, 2022 | February 23, 2022 |
$0.08 | $0.08 | December 20, 2021 | December 21, 2021 | December 31, 2021 | December 10, 2021 |
$0.08 | $0.08 | September 15, 2021 | September 16, 2021 | September 30, 2021 | August 27, 2021 |
$0.08 | $0.08 | June 14, 2021 | June 15, 2021 | June 30, 2021 | May 27, 2021 |
$0.08 | $0.08 | March 12, 2021 | March 15, 2021 | March 30, 2021 | March 04, 2021 |
$0.08 | $0.08 | December 15, 2020 | December 16, 2020 | December 30, 2020 | December 03, 2020 |
$0.08 | $0.08 | September 15, 2020 | September 16, 2020 | September 30, 2020 | September 03, 2020 |
$0.08 | $0.08 | June 12, 2020 | June 15, 2020 | June 30, 2020 | June 04, 2020 |
Quanex Building Products News
Read the latest news about Quanex Building Products, including recent articles, headlines, and updates.
NX vs. ROAD: Which Stock Is the Better Value Option?
Investors interested in stocks from the Building Products - Miscellaneous sector have probably already heard of Quanex Building Products (NX) and Construction Partners (ROAD). But which of these two stocks presents investors with the better value opportunity right now?

Quanex Building Products Corporation (NX) Q1 2025 Earnings Call Transcript
Quanex Building Products Corporation (NYSE:NX ) Q1 2025 Earnings Conference Call March 11, 2025 11:00 AM ET Company Participants Scott Zuehlke - SVP, CFO and Treasurer George Wilson - Chairman, President and CEO Conference Call Participants Reuben Garner - Benchmark Steven Ramsey - Thompson Research Group Adam Thalhimer - Thompson Davis Justin Mechetti - Sidoti & Company Operator Good day, and thank you for standing by. Welcome to the First Quarter 2025 Quanex Building Products Corporation Earnings Conference Call.

Quanex Building Products Announces First Quarter 2025 Results and Reaffirms Full Year 2025 Guidance
Margin Expansion Realized on Consolidated Basis Results Lifted by Contribution from Tyman Acquisition Realization of Cost Synergies from Tyman Acquisition Progressing Well $65 Million of Debt Repaid Since Closing Tyman Acquisition

Quanex Building Products Declares Quarterly Dividend
HOUSTON, Feb. 27, 2025 (GLOBE NEWSWIRE) -- Quanex Building Products Corporation (NYSE:NX) (“Quanex” or the “Company”) today announced that its Board of Directors declared a quarterly cash dividend of $0.08 per share on the Company's common stock, payable March 31, 2025, to shareholders of record on March 17, 2025.

Quanex Building Products Announces First Quarter 2025 Earnings Release and Conference Call Schedule
HOUSTON, TEXAS, Feb. 26, 2025 (GLOBE NEWSWIRE) -- Quanex Building Products Corporation (NYSE: NX) (“Quanex” or the “Company”) today announced plans to release its first quarter 2025 results on Monday, March 10, 2025, after trading closes on the New York Stock Exchange.

Reminder to Join Quanex Building Products' Investor and Analyst Day
HOUSTON, TEXAS, Jan. 30, 2025 (GLOBE NEWSWIRE) -- As previously announced, Quanex Building Products Corporation (NYSE:NX) (“Quanex” or the “Company”) will host an Investor and Analyst Day at the New York Stock Exchange, 11 Wall St. New York, NY 1005, on February 6, 2025.

Quanex Building Products Corporation (NX) Q4 2024 Earnings Call Transcript
Quanex Building Products Corporation (NYSE:NX ) Q4 2024 Earnings Call Transcript December 13, 2024 11:00 AM ET Company Participants Scott Zuehlke - SVP, CFO and Treasurer George Wilson - Chairman, President and CEO Conference Call Participants Steven Ramsey - Thompson Research Group Adam Thalhimer - Thompson Davis Reuben Garner - Benchmark Julio Romero - Sidoti & Company Operator Good day, and thank you for standing by. Welcome to the Fourth Quarter and Full Year 2024 Quanex Building Products Corporation Earnings Conference Call.

Quanex Building Products Announces Fourth Quarter and Full Year 2024 Results
Contribution from Tyman Acquisition Boosts Results Margin Expansion Realized on Consolidated Basis for Full Year $53.75 Million of Debt Repaid Since Closing Tyman Acquisition Integration of Transformative Acquisition Progressing Ahead of Schedule Realization of Synergies Ongoing

Quanex Building Products Announces Fourth Quarter and Full Year 2024 Earnings Release and Conference Call Schedule
HOUSTON, TEXAS, Nov. 27, 2024 (GLOBE NEWSWIRE) -- Quanex Building Products Corporation (NYSE: NX) (“Quanex” or the “Company”) today announced plans to release its fourth quarter and full year 2024 results on Thursday, December 12, 2024 after trading closes on the New York Stock Exchange.

Quanex Building Products Corporation (NX) Q3 2024 Earnings Call Transcript
Quanex Building Products Corporation (NYSE:NX ) Q3 2024 Results Conference Call September 6, 2024 11:00 AM ET Company Participants Scott Zuehlke - SVP, CFO & Treasurer George Wilson - Chairman, President & CEO Conference Call Participants Steven Ramsey - TRG Julio Romero - Sidoti & Company Reuben Garner - Benchmark Adam Thalhimer - Thompson Davis Operator Good day, and thank you for standing by, and welcome to the Q3 2024 Quanex Building Products Corporation Earnings Conference Call. At this time, our participants are in the listen-only mode.

Quanex Building Products Announces Third Quarter 2024 Earnings Release and Conference Call Schedule
HOUSTON, TEXAS, Aug. 22, 2024 (GLOBE NEWSWIRE) -- Quanex Building Products Corporation (NYSE: NX) (“Quanex” or the “Company”) today announced plans to release its third quarter 2024 results on Thursday, September 5, 2024 after trading closes on the New York Stock Exchange.

Quanex Building Products Appoints Manish Shah and Amit Singhi to Board of Directors
HOUSTON, TEXAS, Aug. 12, 2024 (GLOBE NEWSWIRE) -- August 12, 2024 – Quanex Building Products Corporation (NYSE: NX) (“Quanex” or the “Company”) today announced the appointment of Manish H. Shah and Amit Singhi to its Board of Directors effective August 12, 2024.

Quanex Building Products' Acquisition of Tyman Approved by Each Companies' Shareholders
HOUSTON, July 12, 2024 (GLOBE NEWSWIRE) -- Quanex Building Products Corporation (NYSE: NX) (“Quanex” or the “Company”) today announced that shareholders of both Quanex and Tyman plc (LSE:TYMN) ("Tyman") have approved Quanex's proposed acquisition of Tyman.

URGENT STOCKHOLDER REMINDER: The M&A Class Action Firm Investigates Merger and Imminent Vote on July 12, 2024, of Quanex Building Products Corporation - NX
NEW YORK , July 11, 2024 /PRNewswire/ -- Monteverde & Associates PC (the "M&A Class Action Firm"), has recovered money for shareholders and is recognized as a Top 50 Firm in the 2018-2022 ISS Securities Class Action Services Report. We are headquartered at the Empire State Building in New York City and are investigating Quanex Building Products Corporation (NYSE: NX ), relating to its proposed merger with Tyman plc.

URGENT ALERT: The M&A Class Action Firm Investigates Merger and Imminent Vote on July 12, 2024, of Quanex Building Products Corporation - NX
NEW YORK , June 10, 2024 /PRNewswire/ -- Monteverde & Associates PC (the "M&A Class Action Firm"), has recovered money for shareholders and is recognized as a Top 50 Firm in the 2018-2022 ISS Securities Class Action Services Report. We are headquartered at the Empire State Building in New York City and are investigating Quanex Building Products Corporation (NYSE: NX), relating to its proposed merger with Tyman plc.

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