Balance Sheet - Quanex Building Products CORP (NX)
$(Billion, Million)| Oct-25 | Oct-24 | Oct-23 | Oct-22 | Oct-21 | Oct-20 | Oct-19 | Oct-18 | Oct-17 | Oct-16 | Oct-15 | Oct-14 | Oct-13 | Oct-12 | Oct-11 | Oct-10 | Oct-09 | Oct-08 | Oct-07 | Oct-06 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Total cash and short-term investments | 76.02 | 97.74 | 58.47 | 55.09 | 40.06 | 51.62 | 30.87 | 29.00 | 17.46 | 25.53 | 23.13 | 120.38 | 49.74 | 71.26 | 89.62 | 187.18 | 123.63 | 67.41 | 217.59 | 105.71 |
| Accounts receivable, net | 205.38 | 203.63 | 105.61 | 96.02 | 108.31 | 88.29 | 82.95 | 84.01 | 79.41 | 83.63 | 64.08 | 55.19 | 98.83 | 85.64 | 81.97 | 87.01 | 80.17 | 101.21 | 189.75 | 184.31 |
| Inventories | 254.12 | 275.55 | 97.96 | 120.89 | 92.53 | 61.18 | 67.16 | 69.37 | 87.53 | 84.34 | 63.03 | 57.36 | 58.32 | 65.90 | 55.84 | 45.20 | 46.53 | 63.85 | 152.19 | 142.79 |
| Other current assets | 38.25 | 34.35 | 11.56 | 8.66 | 8.15 | 6.22 | 18.71 | 14.59 | 14.81 | 10.49 | 16.58 | 27.49 | 34.10 | 28.07 | 17.64 | 19.24 | 31.05 | 23.41 | 16.97 | 17.80 |
| Total current assets | 573.78 | 611.27 | 273.60 | 280.67 | 249.05 | 207.31 | 190.33 | 189.68 | 191.80 | 203.97 | 172.25 | 260.43 | 236.28 | 250.87 | 245.07 | 338.62 | 276.21 | 249.64 | 576.50 | 450.61 |
| Total non-current assets | 1,394.46 | 1,708.52 | 557.54 | 443.95 | 468.28 | 484.28 | 454.78 | 552.17 | 582.08 | 576.38 | 399.78 | 256.68 | 335.53 | 338.67 | 339.86 | 252.63 | 267.40 | 431.20 | 758.33 | 751.54 |
| Total assets | 1,968.23 | 2,319.79 | 831.14 | 724.62 | 717.32 | 691.59 | 645.11 | 741.85 | 773.88 | 780.35 | 572.03 | 517.11 | 571.82 | 589.54 | 584.93 | 591.25 | 543.60 | 680.85 | 1,334.82 | 1,202.15 |
| Total current liabilities | 281.55 | 272.87 | 134.66 | 139.84 | 158.00 | 130.24 | 109.75 | 102.36 | 106.46 | 114.13 | 88.25 | 74.28 | 121.87 | 127.81 | 104.75 | 114.79 | 97.66 | 118.19 | 349.30 | 208.41 |
| Total non-current liabilities | 960.51 | 1,036.18 | 150.93 | 119.94 | 139.54 | 205.59 | 205.17 | 245.34 | 260.58 | 298.39 | 88.49 | 21.92 | 33.75 | 39.90 | 42.95 | 35.03 | 23.41 | 14.83 | 102.37 | 235.22 |
| Total liabilities | 1,242.05 | 1,309.04 | 285.59 | 259.78 | 297.54 | 335.83 | 314.92 | 347.70 | 367.03 | 412.52 | 176.74 | 96.19 | 155.62 | 167.71 | 147.70 | 149.82 | 121.07 | 133.02 | 451.67 | 443.64 |
| Total stockholders' equity | 726.18 | 1,010.75 | 545.55 | 464.84 | 419.78 | 355.76 | 330.19 | 394.15 | 406.85 | 367.83 | 395.30 | 420.92 | 416.19 | 421.83 | 437.23 | 441.43 | 422.53 | 547.83 | 883.15 | 758.52 |
| Common shares outstanding | 46 | 37 | 33 | 33 | 33 | 33 | 33 | 35 | 35 | 34 | 35 | 38 | 37 | 37 | 38 | 38 | 37 | 39 | 40 | 40 |
Show Quarterly Balance Sheet
Balance Sheet - Quanex Building Products CORP (NX)
$(Billion, Million)| Apr-26 | Jan-26 | Oct-25 | Jul-25 | Apr-25 | Jan-25 | Oct-24 | Jul-24 | Apr-24 | Jan-24 | Oct-23 | Jul-23 | Apr-23 | Jan-23 | Oct-22 | Jul-22 | Apr-22 | Jan-22 | Oct-21 | Jul-21 | Apr-21 | Jan-21 | Oct-20 | Jul-20 | Apr-20 | Jan-20 | Oct-19 | Jul-19 | Apr-19 | Jan-19 | Oct-18 | Jul-18 | Apr-18 | Jan-18 | Oct-17 | Jul-17 | Apr-17 | Jan-17 | Oct-16 | Jul-16 | Apr-16 | Jan-16 | Oct-15 | Jul-15 | Apr-15 | Jan-15 | Oct-14 | Jul-14 | Apr-14 | Jan-14 | Oct-13 | Jul-13 | Apr-13 | Jan-13 | Oct-12 | Jul-12 | Apr-12 | Jan-12 | Oct-11 | Jul-11 | Apr-11 | Jan-11 | Oct-10 | Jul-10 | Apr-10 | Jan-10 | Oct-09 | Jul-09 | Apr-09 | Jan-09 | Oct-08 | Jul-08 | Apr-08 | Jan-08 | Oct-07 | Jul-07 | Apr-07 | Jan-07 | Oct-06 | Jul-06 | Apr-06 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Total cash and short-term investments | 63.67 | 62.31 | 76.02 | 66.27 | 62.63 | 49.98 | 97.74 | 93.97 | 56.15 | 44.42 | 58.47 | 73.25 | 43.50 | 43.06 | 55.09 | 50.03 | 38.90 | 31.72 | 40.06 | 43.66 | 49.26 | 43.43 | 51.62 | 41.07 | 80.25 | 23.11 | 30.87 | 10.65 | 20.26 | 17.46 | 29.00 | 12.40 | 10.10 | 13.76 | 17.46 | 15.79 | 14.51 | 14.07 | 25.53 | 32.18 | 29.00 | 27.75 | 23.13 | 27.01 | 60.03 | 63.92 | 120.38 | 134.23 | 126.98 | 25.81 | 49.74 | 16.07 | 9.63 | 4.56 | 71.26 | 62.29 | 54.15 | 81.72 | 89.62 | 62.42 | 57.73 | 182.47 | 187.18 | 168.74 | 153.00 | 127.42 | 123.63 | 99.90 | 85.40 | 75.36 | 67.41 | 53.93 | 40.45 | 215.10 | 217.59 | 143.67 | 103.96 | 157.51 | 105.71 | 61.15 | 62.31 |
| Accounts receivable, net | 217.21 | 189.24 | 205.38 | 201.84 | 201.37 | 169.63 | 197.69 | 89.00 | 93.13 | 87.71 | 105.61 | 96.20 | 94.04 | 84.67 | 96.02 | 109.47 | 118.20 | 99.36 | 108.31 | 98.29 | 96.52 | 82.54 | 88.29 | 84.48 | 66.89 | 64.04 | 82.95 | 82.30 | 80.65 | 71.68 | 84.01 | 80.24 | 76.59 | 62.12 | 79.41 | 78.05 | 79.74 | 62.75 | 83.63 | 83.09 | 83.73 | 65.76 | 64.08 | 62.52 | 50.21 | 39.33 | 55.19 | 55.97 | 52.34 | 72.46 | 59.46 | 99.05 | 95.58 | 78.00 | 85.64 | 88.35 | 81.62 | 59.85 | 81.97 | 100.83 | 99.29 | 49.39 | 87.01 | 79.54 | 80.20 | 56.67 | 80.17 | 71.35 | 52.60 | 40.49 | 101.21 | 99.08 | 85.83 | 172.80 | 80.10 | 204.15 | 211.69 | 160.09 | 184.31 | 184.41 | 194.59 |
| Inventories | 278.05 | 270.60 | 254.12 | 272.22 | 279.48 | 280.58 | 275.55 | 99.13 | 101.45 | 107.48 | 97.96 | 105.37 | 114.02 | 127.74 | 120.89 | 138.24 | 130.38 | 117.38 | 92.53 | 93.49 | 80.37 | 76.08 | 61.18 | 63.94 | 75.07 | 78.12 | 67.16 | 84.76 | 86.58 | 81.44 | 69.37 | 87.11 | 92.93 | 95.84 | 87.53 | 94.37 | 91.68 | 92.23 | 84.34 | 92.25 | 97.34 | 97.14 | 63.03 | 72.95 | 62.99 | 59.83 | 57.36 | 55.28 | 54.99 | 74.50 | 58.32 | 67.84 | 77.21 | 84.56 | 65.90 | 62.94 | 65.38 | 64.15 | 55.84 | 65.30 | 68.57 | 56.10 | 45.20 | 54.13 | 50.90 | 48.72 | 46.53 | 40.11 | 36.90 | 58.57 | 63.85 | 59.85 | 56.65 | 169.50 | 152.19 | 152.18 | 164.13 | 139.44 | 142.79 | 156.42 | 155.91 |
| Other current assets | 45.51 | 46.52 | 38.25 | 42.99 | 45.00 | 47.43 | 40.29 | 19.31 | 12.78 | 13.39 | 11.56 | 12.76 | 12.21 | 11.15 | 8.66 | 8.65 | 11.44 | 11.62 | 8.15 | 9.13 | 8.36 | 7.21 | 6.22 | 7.93 | 9.60 | 7.93 | 18.71 | 16.54 | 16.92 | 14.56 | 14.59 | 17.27 | 17.05 | 14.90 | 14.81 | 16.24 | 16.22 | 15.76 | 10.49 | 23.80 | 11.83 | 21.91 | 22.02 | 35.66 | 29.12 | 30.38 | 27.49 | 23.28 | 30.64 | 32.12 | 85.41 | 31.09 | 32.74 | 35.33 | 28.07 | 28.35 | 27.65 | 24.28 | 17.64 | 22.13 | 25.33 | 22.58 | 19.24 | 19.24 | 20.10 | 25.71 | 26.02 | 14.20 | 16.00 | 17.84 | 17.17 | 7.02 | 12.25 | 16.80 | 441.07 | 19.41 | 18.22 | 18.56 | 17.80 | 16.61 | 18.92 |
| Total current assets | 604.43 | 568.67 | 573.78 | 583.32 | 588.48 | 547.62 | 611.27 | 301.40 | 263.50 | 253.00 | 273.60 | 287.59 | 263.76 | 266.61 | 280.67 | 306.39 | 298.92 | 260.08 | 249.05 | 244.58 | 234.51 | 209.25 | 207.31 | 197.42 | 231.82 | 173.20 | 190.33 | 185.99 | 195.95 | 177.86 | 189.68 | 188.38 | 188.15 | 179.17 | 191.80 | 196.33 | 194.03 | 176.93 | 203.97 | 219.42 | 221.90 | 201.61 | 172.25 | 189.57 | 202.35 | 193.47 | 260.43 | 262.79 | 259.88 | 204.89 | 236.28 | 214.05 | 215.16 | 202.45 | 250.87 | 241.94 | 228.80 | 229.99 | 245.07 | 250.67 | 250.91 | 310.53 | 338.62 | 321.64 | 304.20 | 258.52 | 276.21 | 225.56 | 190.90 | 192.25 | 249.64 | 219.88 | 195.18 | 574.20 | 576.50 | 519.41 | 498.00 | 475.58 | 450.61 | 418.60 | 431.73 |
| Total non-current assets | 1,388.74 | 1,409.49 | 1,394.46 | 1,389.35 | 1,719.79 | 1,672.87 | 1,708.52 | 571.05 | 573.71 | 560.43 | 557.54 | 560.22 | 558.35 | 560.42 | 443.95 | 437.22 | 441.57 | 458.19 | 468.28 | 474.62 | 481.07 | 485.02 | 484.28 | 489.37 | 481.07 | 494.00 | 454.78 | 494.08 | 511.10 | 547.88 | 552.17 | 563.15 | 576.62 | 587.86 | 582.08 | 588.73 | 588.42 | 573.39 | 576.38 | 602.07 | 629.52 | 628.26 | 399.78 | 403.21 | 258.54 | 259.54 | 256.68 | 275.46 | 272.07 | 336.16 | 335.53 | 357.51 | 359.50 | 359.85 | 338.67 | 337.24 | 339.24 | 335.91 | 339.86 | 343.66 | 349.17 | 250.09 | 252.63 | 257.18 | 259.50 | 261.87 | 267.40 | 284.67 | 294.30 | 324.31 | 431.20 | 444.62 | 449.08 | 745.80 | 758.33 | 770.24 | 780.67 | 741.23 | 751.54 | 745.45 | 742.81 |
| Total assets | 1,993.18 | 1,978.16 | 1,968.23 | 1,972.68 | 2,308.27 | 2,220.49 | 2,319.79 | 872.45 | 837.21 | 813.42 | 831.14 | 847.81 | 822.11 | 827.03 | 724.62 | 743.61 | 740.49 | 718.27 | 717.32 | 719.19 | 715.57 | 694.27 | 691.59 | 686.79 | 712.89 | 667.20 | 645.11 | 680.06 | 707.04 | 725.74 | 741.85 | 751.52 | 764.77 | 767.03 | 773.88 | 785.06 | 782.45 | 750.32 | 780.35 | 821.49 | 851.42 | 829.86 | 572.03 | 592.78 | 460.89 | 453.01 | 517.11 | 538.25 | 531.94 | 541.04 | 571.82 | 571.56 | 574.66 | 562.30 | 589.54 | 579.17 | 568.04 | 565.91 | 584.93 | 594.33 | 600.08 | 560.61 | 591.25 | 578.83 | 563.70 | 520.38 | 543.60 | 510.23 | 485.20 | 516.57 | 680.85 | 664.49 | 644.26 | 1,320.00 | 1,334.82 | 1,289.65 | 1,278.67 | 1,216.82 | 1,202.15 | 1,164.05 | 1,174.54 |
| Total current liabilities | 265.12 | 245.84 | 281.55 | 264.69 | 244.37 | 228.78 | 272.87 | 127.87 | 118.53 | 111.45 | 134.66 | 135.37 | 118.65 | 119.99 | 139.84 | 158.73 | 146.59 | 131.63 | 158.00 | 142.35 | 135.72 | 112.21 | 130.24 | 106.94 | 79.04 | 90.58 | 109.75 | 86.63 | 84.35 | 71.65 | 102.36 | 95.09 | 97.52 | 92.86 | 106.46 | 109.68 | 102.69 | 88.93 | 114.13 | 127.08 | 102.52 | 87.32 | 88.25 | 87.58 | 62.51 | 54.13 | 74.28 | 72.69 | 74.57 | 97.14 | 121.87 | 124.21 | 117.89 | 105.23 | 127.81 | 122.37 | 112.04 | 94.94 | 104.75 | 113.54 | 124.52 | 84.42 | 114.79 | 110.03 | 102.10 | 73.46 | 97.66 | 80.99 | 64.90 | 57.82 | 118.19 | 109.12 | 101.13 | 314.20 | 349.30 | 217.62 | 240.20 | 204.20 | 208.41 | 234.13 | 240.39 |
| Total non-current liabilities | 1,000.70 | 1,001.97 | 960.51 | 990.59 | 1,062.24 | 1,019.60 | 1,036.18 | 150.45 | 152.56 | 146.94 | 150.93 | 186.49 | 210.74 | 231.35 | 119.94 | 134.74 | 157.73 | 162.15 | 139.54 | 171.45 | 184.75 | 204.35 | 205.59 | 239.91 | 309.89 | 246.69 | 205.17 | 232.08 | 261.80 | 264.29 | 245.34 | 232.67 | 246.93 | 251.21 | 260.58 | 282.71 | 306.33 | 293.11 | 298.39 | 321.35 | 358.88 | 361.75 | 88.49 | 118.16 | 18.13 | 17.58 | 21.92 | 21.20 | 21.36 | 31.64 | 33.75 | 34.08 | 49.70 | 41.97 | 39.90 | 38.07 | 40.17 | 44.02 | 42.95 | 40.63 | 39.81 | 40.71 | 35.03 | 33.80 | 34.20 | 24.22 | 23.41 | 19.38 | 18.40 | 16.14 | 14.83 | 16.84 | 17.74 | 118.70 | 102.37 | 226.54 | 232.66 | 236.30 | 235.22 | 208.62 | 214.45 |
| Total liabilities | 1,265.82 | 1,247.81 | 1,242.05 | 1,255.29 | 1,306.60 | 1,248.37 | 1,309.04 | 278.31 | 271.09 | 258.39 | 285.59 | 321.85 | 329.39 | 351.34 | 259.78 | 293.47 | 304.32 | 293.77 | 297.54 | 313.80 | 320.48 | 316.56 | 335.83 | 346.85 | 388.93 | 337.27 | 314.92 | 318.71 | 346.15 | 335.94 | 347.70 | 327.76 | 344.45 | 344.08 | 367.03 | 392.39 | 409.02 | 382.04 | 412.52 | 448.43 | 461.40 | 449.07 | 176.74 | 205.74 | 80.64 | 71.70 | 96.19 | 93.89 | 95.93 | 128.78 | 155.62 | 158.29 | 167.58 | 147.20 | 167.71 | 160.44 | 152.21 | 138.96 | 147.70 | 154.17 | 164.33 | 125.14 | 149.82 | 143.84 | 136.30 | 97.68 | 121.07 | 100.36 | 83.30 | 73.97 | 133.02 | 125.96 | 118.87 | 432.90 | 451.67 | 444.15 | 472.86 | 440.50 | 443.64 | 442.75 | 454.84 |
| Total stockholders' equity | 727.36 | 730.35 | 726.18 | 717.39 | 1,001.66 | 972.12 | 1,010.75 | 594.14 | 566.12 | 555.03 | 545.55 | 525.96 | 492.73 | 475.69 | 464.84 | 450.14 | 436.17 | 424.50 | 419.78 | 405.39 | 395.10 | 377.71 | 355.76 | 339.94 | 323.96 | 329.93 | 330.19 | 361.35 | 360.89 | 389.80 | 394.15 | 423.76 | 420.33 | 422.96 | 406.85 | 392.67 | 373.43 | 368.28 | 367.83 | 373.07 | 390.01 | 380.79 | 395.30 | 387.04 | 380.25 | 381.31 | 420.92 | 444.36 | 436.01 | 412.26 | 416.19 | 413.27 | 407.07 | 415.10 | 421.83 | 418.74 | 415.83 | 426.95 | 437.23 | 440.17 | 435.75 | 435.48 | 441.43 | 434.99 | 427.40 | 423.69 | 422.53 | 409.87 | 401.90 | 442.60 | 547.83 | 538.53 | 525.39 | 887.10 | 883.15 | 845.50 | 805.81 | 776.31 | 758.52 | 721.30 | 719.71 |
| Common shares outstanding | 46 | 45 | 46 | 46 | 47 | 47 | 47 | 33 | 33 | 33 | 33 | 33 | 33 | 33 | 33 | 33 | 33 | 33 | 33 | 34 | 34 | 33 | 33 | 33 | 33 | 33 | 33 | 33 | 33 | 33 | 35 | 35 | 35 | 35 | 35 | 35 | 35 | 34 | 35 | 34 | 34 | 34 | 34 | 34 | 34 | 35 | 35 | 38 | 38 | 37 | 37 | 37 | 37 | 37 | 37 | 37 | 37 | 37 | 37 | 38 | 37 | 37 | 37 | 38 | 38 | 38 | 37 | 38 | 37 | 37 | 37 | 38 | 37 | 40 | 37 | 40 | 39 | 39 | 38 | 40 | 40 |