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Quanex Building Products Corporation

Quanex Building Products Corporation
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Sep 15
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Sep 15
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KPI highlights

FY25
Revenue $1.84B YoY +43.8%
Operating income $-194M margin -10.6%
Net income $-251M YoY -858.7%
EPS $-5.43 YoY -696.7%
P/E
ROE -34.5% Equity ratio 37% Typical equity ratios vary a lot by industry. Banks, brokerages, and other financial companies tend to run lower ratios because leverage (using other people's capital) is core to their business model — a low ratio there isn't a sign of financial weakness.

Company news

Ownership over time

Share of total shares outstanding (disclosed major holdings + undisclosed)(2013–2026)

機関投資家 16.8%未開示 83.2%20132015201720192021202320252026
機関投資家 16.8%未開示 83.2%13Q114Q215Q316Q418Q119Q220Q321Q423Q124Q225Q426Q1
機関投資家その他未開示・浮動株

「国内機関」は信託銀行の名義口座(年金・パッシブ・一部海外資本を含む)を集計し、実質保有者へは分解していません。分類は開示名称からの推定です。

Top shareholders — rank & share

AMERIPRISE FINANCI 5.7%AMERIPRISE FINANCIAL INCSEGALL BRYANT & HA 2.6%SEGALL BRYANT & HAMILL, LLCGEODE CAPITAL MANA 2.3%GEODE CAPITAL MANAGEMENT, LLCIES Holdings, Inc. 1.8%IES Holdings, Inc.LSV ASSET MANAGEME 1.7%LSV ASSET MANAGEMENTRussell Investment 1.2%Russell Investments Group, Ltd.Bank of New York M 0.6%Bank of New York Mellon Corp20132015201720192021202320252026
AMERIPRISE FINANCI 5.7%AMERIPRISE FINANCIAL INCSEGALL BRYANT & HA 2.6%SEGALL BRYANT & HAMILL, LLCGEODE CAPITAL MANA 2.3%GEODE CAPITAL MANAGEMENT, LLCIES Holdings, Inc. 1.8%IES Holdings, Inc.LSV ASSET MANAGEME 1.7%LSV ASSET MANAGEMENTRussell Investment 1.2%Russell Investments Group, Ltd.Bank of New York M 0.6%Bank of New York Mellon Corp13Q114Q215Q316Q418Q119Q220Q321Q423Q124Q225Q426Q1

Top shareholders — actual figures (as of 2026)

Holder Shares held Ratio Source
AMERIPRISE FINANCIAL INC 2,698,477 5.7% 13F
SEGALL BRYANT & HAMILL, LLC 1,227,485 2.6% 13F
GEODE CAPITAL MANAGEMENT, LLC 1,099,728 2.3% 13F
IES Holdings, Inc. 861,169 1.8% 13F
LSV ASSET MANAGEMENT 794,348 1.7% 13F
Russell Investments Group, Ltd. 545,439 1.2% 13F
Bank of New York Mellon Corp 263,630 0.6% 13F
WEDGE CAPITAL MANAGEMENT L L P/NC 157,282 0.3% 13F
Quantbot Technologies LP 56,123 0.1% 13F
SYSTEMATIC FINANCIAL MANAGEMENT LP 45,175 0.1% 13F
CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM 39,155 0.1% 13F
NEW YORK STATE TEACHERS RETIREMENT SYSTEM 32,946 0.1% 13F
MetLife Investment Management, LLC 24,415 0.1% 13F
NISA INVESTMENT ADVISORS, LLC 19,989 0.0% 13F
Police & Firemen's Retirement System of New Jersey 13,133 0.0% 13F
YOUSIF CAPITAL MANAGEMENT, LLC 12,417 0.0% 13F
BNP PARIBAS FINANCIAL MARKETS 9,445 0.0% 13F
KLP KAPITALFORVALTNING AS 8,950 0.0% 13F
PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO 7,501 0.0% 13F
Sterling Capital Management LLC 1,527 0.0% 13F
LOS ANGELES CAPITAL MANAGEMENT LLC 112 0.0% 13F
DANSKE BANK A/S 100 0.0% 13F
NBC SECURITIES, INC. 90 0.0% 13F
FARMERS & MERCHANTS INVESTMENTS INC 22 0.0% 13F
Covestor Ltd 6 0.0% 13F

Source:SEC EDGAR(DEF 14A・13D/G・13F) Classification inferred from disclosed names

F-Score (Piotroski)

4/9 1 of 9 items lack data

Checks financial health against 9 criteria and shows how many are met as a fraction (more ✓ marks is healthier). Items with no data are shown as “—” — they're simply excluded from judgment, not counted against the score.

Positive ROA ROA -12.7%
Positive operating cash flow $165M
ROA improved YoY 1.4% → -12.7%
Operating CF exceeds net income (accrual quality) OCF $165M / net income $-251M
Equity ratio improved* Substitute for the original “decrease in long-term debt” 43.6% → 36.9%
Current ratio improved 2.24× → 2.04×
No dilution (shares outstanding did not increase) 47,252,070 → 45,674,726
Gross margin improved No data
Asset turnover improved 0.55× → 0.93×

This score is reference information based on our own financial metrics. It is NOT a credit rating issued by a credit rating agency under Article 66-27 of the Financial Instruments and Exchange Act, and is NOT investment advice or a recommendation. Make investment decisions at your own responsibility.

Fact checklist

FY25
Equity ratio 36.9%
Current ratio 2.0×
Years of positive operating CF 12 of last 12 yrs
Payout ratio
Latest fiscal year result Loss (net loss $251M)

Performance history

Last 10 years
$0.0B$0.5B$0.9B$1.4B$1.8B FY16FY17FY18FY19FY20FY21FY22FY23FY24FY25

Income & assets

Unit: $1M
Item FY16FY17FY18FY19FY20FY21FY22FY23FY24FY25
Revenue 9288678908948521,0721,2221,1311,2781,838
Operating income 36.433.935.7-26.455.381.911111154.8-194
Ordinary income
Net income -1.8618.726.6-46.738.557.088.382.533.1-251
Total assets 7807747436456927177258312,3201,968
Equity 3694083953303564204655461,011726

A “—” means data wasn't available for that period — it's not a display error or an unusual value.

Indicators & cash flow

Unit: $1M
Item FY16FY17FY18FY19FY20FY21FY22FY23FY24FY25
EPS $-0.05$0.55$0.76$-1.42$1.18$1.72$2.67$2.51$0.91$-5.43
ROE -0.5%4.6%6.7%-14.2%10.8%13.6%19.0%15.1%3.3%-34.5%
Operating CF 87.379.810596.410178.698.014788.8165
Investing CF -282-32.6-26.1-23.6-25.2-18.7-33.0-128-421-62.0
Financing CF 195-55.1-65.8-71.3-55.1-71.9-45.9-16.2385-127
FCF

A “—” means data wasn't available for that period — it's not a display error or an unusual value.

Source: SEC EDGAR (10-K, etc.) (fetched 2026-07-03) *Some metrics supplemented from additional sources

Sector positioning

Relative standing within the sector

Data provided by Twelve Data