Quanex Building Products Corporation

NYSE:NX

27.52 (USD) • At close September 13, 2024
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Operationele Activiteiten:
Nettowinst 82.50188.33656.9838.496-46.7326.32818.683-1.85916.09329.234-11.703-16.5349.07824.201-137.09121.579134.622160.313177.23357.59942.88755.48228.822-10.02339.07847.19427.71830.36831.83918.852
Afschrijvingen & Amortisatie 42.86640.10942.73247.22949.58651.82257.49553.14635.2236.9160.50437.6663428.283215.34635.11177.30871.65765.98750.60346.41543.98743.9148.44545.88342.437.86538.41632.43328.535
Uitgestelde Inkomstenbelasting 5.1472.0971.785-0.1893.26-5.631-0.112-8.4695.20414.246-8.288-9.8433.36112.294-43.6082.984-5.9227.084-0.4380.5518.9922.332.3575.48310.156.0597.5452.6026.914.786
Aandelen Gebaseerde Vergoedingen 9.3135.8327.21.1663.9651.8745.1896.0894.2663.9254.915.6044.8524.4563.42926.37800000000000000
Verandering in Werkkapitaal 12.21-36.882-30.04412.69210.70329.161-5.7228.7047.151-25.051-4.3618.405-4.05421.622.415-27.41312.067-53.3655.01516.4375.069-14.9059.411-22.525-2.338-9.93814.886-10.171-2.85-4.327
Vorderingen 6.9696.945-19.017-5.7660.574-5.555.3780.7962.6680.484-9.204-4.2513.761-6.36514.422-25.1700000000000000
Voorraden 30.024-32.035-31.3826.1193.79717.53-3.245.3469.805-25.6512.791-10.288-0.533.14216.494-10.398-7.828-9.753-8.847-6.99311.434-5.24920.808-12.4746.485-10.9948.898-16.773-2.876-4.901
Crediteuren -11.611-3.0477.09715.9228.1248.325-4.893-2.273-2.86212.842-5.90314.92-13.3494.572-12.30611.40600000000000000
Overig Werkkapitaal -13.172-8.74513.258-3.583-1.7928.856-2.9674.835-2.46-12.727-2.0458.023-3.93620.2513.805-3.25119.895-43.61213.86223.43-6.365-9.656-11.397-10.051-8.8231.0565.9886.6020.0260.574
Overige Niet-Contante Posten 1.8072.0145.1651.68977.5081.0573.02128.807-0.847-38.4862.4591.185.639-1.70206.3956.0364.5821.323-0.953-0.523-5.7830.4556.49-15.085-21.645-8.5862.899-1.21-1.83
Kasstroom uit Operationele Activiteiten 147.05297.96578.588100.79696.372104.61178.55486.41867.08720.77843.52126.47852.87689.13260.49165.034224.074190.271249.12124.237102.8481.11184.9577.8777.68864.0779.42864.11467.12246.016
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -37.39-33.121-24.008-25.726-24.883-26.484-34.564-37.243-29.982-33.779-37.931-42.871-25.312-14.72-16.153-15.815-34.396-72.262-50.792-19.542-28.693-34.271-55.575-42.327-60.848-58.513-72.784-44.26-26.601-42.457
Netto Overnames -91.3020.1595.30.5021.3240.432-8.497-245.904-131.689102.27-22.0960-110.845-1.59033-58.4935.683-188.84-191.3080-17.283-17.922-35.451021.86124.741-123.26400
Aankoop van Beleggingen 0000000000000000-105.235000000000000-6.415
Verkoop/verval van Beleggingen 000000000000000061.150000000000000
Overige Investeringsactiviteiten 0.2530.1595.30.5021.3240.4321.9371.0441.5275.6330.341.1670.790.5251.34335.20301.04-1.105-2.246.19321.746-3.597-1.809-1.832-3.168-1.55-5.1252.1927.585
Kasstroom uit Investeringsactiviteiten -128.439-32.962-18.708-25.224-23.559-26.052-41.124-282.103-160.14474.124-59.687-41.704-135.367-15.785-14.8152.388-136.974-65.539-240.737-213.09-22.5-29.808-77.094-79.587-62.68-39.82-49.593-172.64425.591-41.287
Financieringsactiviteiten:
Schuldaflossingen -0.567-26.747-65.68-155.027-137.526-298.048-101.597-425.06-68.02-0.175-24.057-0.264-0.34-0.323-0.36300-2.51900-55-83.343-21.215-9.586-8.799-18.624-41.828-44.667-80.458-0.295
Uitgifte van Gewone Aandelen 1.2150.68916.2723.6263.2874.7467.9533.45.1093.2492.58300.7010.502005.04511.09414.29511.6655.16333.9482.4731.0021.5673.1838.357000
Terugkoop van Gewone Aandelen -5.593-8.013-11.182-7.233-9.551-32.03453.5634.8-52.719-22.28123.5-1.284-10.08-4.274000-58.32600-13.5150-2.226-17.1851.03500000
Uitgekeerde Dividenden -10.639-10.598-10.779-10.534-10.644-7.02-5.516-5.47-5.515-5.992-5.931-5.891-5.979-5.275-4.519-2.258-20.776-18.362-14.296-11.53-10.865-9.637-8.621-8.884-9.124-9.059-8.422-8.115-12.383-13.406
Overige Financieringsactiviteiten -0.567-0.521-0.492114.04683.17266.5390.248-11.299116.5640.74-0.9643.5110.392-0.66515.39-61.397-4.397-0.603-0.461108.343-2.298-3.56128.89732.838-0.06-0.4292.525152.08411.30.766
Kasstroom uit Financieringsactiviteiten -16.151-45.879-71.861-55.122-71.264-65.817-45.412196.371-4.581-24.459-4.869-3.928-15.306-9.3710.508-63.655-20.128-68.716-0.462108.478-76.515-62.593-0.692-1.815-15.381-24.929-39.36899.302-81.541-12.935
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.919-4.0920.4210.3030.316-1.194-0.0891.7150.3790.207-0.4840.79-0.2220.0270.032-0.2020.1580.0110.0170.010000.067-0.0320.1070.422000
Netto Kasstroomverandering 3.38115.032-11.5620.7531.86511.548-8.0712.401-97.25970.65-21.519-18.364-97.55963.67956.22165.63567.1356.0277.93819.6353.825-11.297.164-3.465-0.405-0.572-9.111-9.22811.172-8.206
Kaspositie aan het Einde van de Periode 58.47455.09340.06151.62130.86829.00317.45525.52623.125120.38449.73671.25589.619187.178123.63467.413172.838105.70849.68141.74322.10818.28329.57322.40925.87426.27926.85135.98545.21334.041