Quanex Building Products Corporation
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Quanex Building Products Corporation (NX)

Solvency & Capital Structure

Total Debt

$889.3M

Net Debt

$825.7M

Quanex Building Products Corporation currently has $889.3M in total debt. Net debt is $825.7M after cash offsets.

Financial Fundamentals

NXQuarterly Data • 5Y View

DateTotal Debt ($B)Cash & Inv. ($B)Net Debt ($B)Total AssetsDebt/Assets
2026-04-300.890.060.831.9944.6%
2026-01-310.890.060.831.9845.1%
2025-10-310.850.080.781.9743.4%
2025-07-310.880.070.811.9744.4%
2025-04-300.930.060.862.3140.1%
2025-01-310.880.050.832.2239.6%
2024-10-310.890.100.802.3238.5%
2024-07-310.120.090.030.8713.7%
2024-04-300.120.060.060.8414.4%
2024-01-310.110.040.070.8113.7%
2023-10-310.120.060.060.8314.0%
2023-07-310.160.070.080.8518.4%
2023-04-300.180.040.140.8222.0%
2023-01-310.200.040.160.8324.3%
2022-10-310.090.060.030.7212.1%
2022-07-310.100.050.050.7413.9%
2022-04-300.130.040.090.7417.0%
2022-01-310.130.030.100.7218.0%
2021-10-310.110.040.070.7214.8%
2021-07-310.130.040.090.7217.9%
2021-04-300.150.050.100.7220.3%
2021-01-310.170.040.120.6924.0%
2020-10-310.170.050.120.6924.5%
2020-07-310.200.040.160.6929.5%
2020-04-300.270.080.190.7138.2%
2020-01-310.210.020.190.6731.4%
2019-10-310.160.030.130.6524.4%
2019-07-310.190.010.180.6828.2%
2019-04-300.230.020.210.7131.9%
2019-01-310.230.020.210.7331.8%
2018-10-310.210.030.180.7428.4%
2018-07-310.210.010.200.7527.9%
2018-04-300.230.010.220.7629.7%
2018-01-310.240.010.220.7730.8%
2017-10-310.240.020.220.7730.9%
2017-07-310.260.020.250.7933.7%
2017-04-300.290.010.270.7836.6%
2017-01-310.270.010.260.7536.3%
2016-10-310.270.030.240.7834.5%
2016-07-310.300.030.270.8236.8%
2016-04-300.310.030.280.8536.3%
2016-01-310.320.030.290.8338.7%
2015-10-310.060.020.030.579.8%
2015-07-310.090.030.070.5915.5%
2015-04-300.000.06-0.06Net Cash0.460.1%
2015-01-310.000.06-0.06Net Cash0.450.2%
2014-10-310.000.12-0.12Net Cash0.520.2%
2014-07-310.000.13-0.13Net Cash0.540.2%
2014-04-300.000.13-0.13Net Cash0.530.1%
2014-01-310.000.03-0.02Net Cash0.540.2%
2013-10-310.000.05-0.05Net Cash0.570.2%
2013-07-310.000.02-0.01Net Cash0.570.2%
2013-04-300.010.010.000.572.0%
2013-01-310.000.00-0.00Net Cash0.560.3%
2012-10-310.000.07-0.07Net Cash0.590.2%
2012-07-310.000.06-0.06Net Cash0.580.2%
2012-04-300.000.05-0.05Net Cash0.570.3%
2012-01-310.000.08-0.08Net Cash0.570.3%
2011-10-310.000.09-0.09Net Cash0.580.3%
2011-07-310.000.06-0.06Net Cash0.590.3%
2011-04-300.000.06-0.06Net Cash0.600.3%
2011-01-310.000.18-0.18Net Cash0.560.3%
2010-10-310.000.19-0.19Net Cash0.590.3%
2010-07-310.000.17-0.17Net Cash0.580.3%
2010-04-300.000.15-0.15Net Cash0.560.4%
2010-01-310.000.13-0.13Net Cash0.520.4%
2009-10-310.000.12-0.12Net Cash0.540.4%
2009-07-310.000.10-0.10Net Cash0.510.4%
2009-04-300.000.09-0.08Net Cash0.490.5%
2009-01-310.000.08-0.07Net Cash0.520.5%
2008-10-310.000.07-0.06Net Cash0.680.4%
2008-07-310.000.05-0.05Net Cash0.660.4%
2008-04-300.000.04-0.04Net Cash0.640.4%
2008-01-310.120.22-0.10Net Cash1.329.1%
2007-10-310.130.22-0.09Net Cash1.339.7%
2007-07-310.130.14-0.01Net Cash1.2910.1%
2007-04-300.130.100.031.2810.2%
2007-01-310.130.16-0.02Net Cash1.2211.0%
2006-10-310.130.110.031.2011.1%
2006-07-310.130.060.071.1611.5%
2006-04-300.130.060.071.1711.4%
2006-01-310.140.050.081.1212.2%
2005-10-310.140.050.091.1012.4%
2005-07-310.170.010.161.0815.6%
2005-04-300.250.020.231.1421.9%
2005-01-310.310.030.281.1427.1%
2004-10-310.130.040.090.9314.1%
2004-07-310.190.040.160.9720.0%
2004-04-300.220.010.210.9523.1%
2004-01-310.230.010.220.9224.9%
2003-10-310.020.02-0.00Net Cash0.673.0%
2003-07-310.070.010.060.6810.2%
2003-04-300.080.000.080.6911.9%
2003-01-310.070.010.070.6710.5%
2002-10-310.080.020.060.6911.0%
2002-07-310.090.000.090.7013.1%
2002-04-300.170.000.170.6924.7%
2002-01-310.210.030.190.6831.7%
2001-10-310.220.030.190.7031.5%
2001-07-310.240.030.210.7033.9%
2001-04-300.220.020.200.6733.1%
2001-01-310.220.020.200.6633.6%
2000-10-310.190.020.170.6529.7%
2000-07-310.210.030.180.7130.0%
2000-04-300.250.020.220.7632.5%
2000-01-310.200.020.180.7127.7%