Annual CFF
$385.16 M
+$401.31 M+2484.72%
October 31, 2024
Summary
- As of February 8, 2025, NX annual cash flow from financing activities is $385.16 million, with the most recent change of +$401.31 million (+2484.72%) on October 31, 2024.
- During the last 3 years, NX annual CFF has risen by +$457.02 million (+635.97%).
- NX annual CFF is now at all-time high.
Performance
NX Cash From Financing Chart
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Quarterly CFF
$410.61 M
+$414.18 M+11604.96%
October 31, 2024
Summary
- As of February 8, 2025, NX quarterly cash flow from financing activities is $410.61 million, with the most recent change of +$414.18 million (+11604.96%) on October 31, 2024.
- Over the past year, NX quarterly CFF has increased by +$453.45 million (+1058.52%).
- NX quarterly CFF is now at all-time high.
Performance
NX Quarterly CFF Chart
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TTM CFF
$385.16 M
+$453.45 M+663.97%
October 31, 2024
Summary
- As of February 8, 2025, NX TTM cash flow from financing activities is $385.16 million, with the most recent change of +$453.45 million (+663.97%) on October 31, 2024.
- Over the past year, NX TTM CFF has increased by +$401.31 million (+2484.72%).
- NX TTM CFF is now at all-time high.
Performance
NX TTM CFF Chart
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Cash From Financing Formula
CFF = Cash Inflows from Financing Activities − Cash Outflows from Financing Activities
NX Cash From Financing Trends
PeriodPeriod | AnnualAnnual | QuarterlyQuarterly | TTMTTM |
---|---|---|---|
1 y1 year | +2484.7% | +1058.5% | +2484.7% |
3 y3 years | +636.0% | +1546.8% | +636.0% |
5 y5 years | +640.5% | +1108.5% | +576.8% |
NX Cash From Financing Highs & Lows
PeriodPeriod | Annual vs highAnnual vs high | Annual vs lowAnnual vs low | Quarter. vs highQuarter. vs high | Quarter. vs lowQuarter. vs low | TTM vs highTTM vs high | TTM vs lowTTM vs low | |
---|---|---|---|---|---|---|---|
3 y | 3-year | at high | +636.0% | at high | +1058.5% | at high | +454.7% |
5 y | 5-year | at high | +636.0% | at high | +607.5% | at high | +369.5% |
alltime | all time | at high | +572.4% | at high | +596.3% | at high | +303.4% |
Quanex Building Products Cash From Financing History
Date | Annual | Quarterly | TTM |
---|---|---|---|
Oct 2024 | $385.16 M(-2484.7%) | $410.61 M(<-9900.0%) | $385.16 M(-664.0%) |
Jul 2024 | - | -$3.57 M(-72.1%) | -$68.29 M(-26.0%) |
Apr 2024 | - | -$12.77 M(+40.1%) | -$92.35 M(-14.9%) |
Jan 2024 | - | -$9.12 M(-78.7%) | -$108.58 M(+572.3%) |
Oct 2023 | -$16.15 M(-64.8%) | -$42.84 M(+55.1%) | -$16.15 M(+1186.9%) |
Jul 2023 | - | -$27.63 M(-4.7%) | -$1.25 M(-84.4%) |
Apr 2023 | - | -$29.00 M(-134.8%) | -$8.07 M(-148.7%) |
Jan 2023 | - | $83.31 M(-398.2%) | $16.58 M(-136.1%) |
Oct 2022 | -$45.88 M(-36.2%) | -$27.94 M(-18.9%) | -$45.88 M(-0.9%) |
Jul 2022 | - | -$34.44 M(+690.8%) | -$46.32 M(+49.0%) |
Apr 2022 | - | -$4.36 M(-120.9%) | -$31.09 M(-38.4%) |
Jan 2022 | - | $20.86 M(-173.5%) | -$50.44 M(-29.8%) |
Oct 2021 | -$71.86 M(+30.4%) | -$28.38 M(+47.8%) | -$71.86 M(-11.5%) |
Jul 2021 | - | -$19.21 M(-19.0%) | -$81.21 M(-43.2%) |
Apr 2021 | - | -$23.70 M(+4080.8%) | -$142.91 M(+135.3%) |
Jan 2021 | - | -$567.00 K(-98.5%) | -$60.73 M(+10.2%) |
Oct 2020 | -$55.12 M(-22.7%) | -$37.73 M(-53.4%) | -$55.12 M(-5.1%) |
Jul 2020 | - | -$80.91 M(-238.4%) | -$58.11 M(+399.5%) |
Apr 2020 | - | $58.48 M(+1060.7%) | -$11.63 M(-85.6%) |
Jan 2020 | - | $5.04 M(-112.4%) | -$80.79 M(+13.4%) |
Oct 2019 | -$71.26 M(+8.3%) | -$40.72 M(+18.3%) | -$71.26 M(+10.8%) |
Jul 2019 | - | -$34.43 M(+222.5%) | -$64.33 M(+33.9%) |
Apr 2019 | - | -$10.68 M(-173.3%) | -$48.05 M(+2.5%) |
Jan 2019 | - | $14.56 M(-143.1%) | -$46.88 M(-28.8%) |
Oct 2018 | -$65.82 M(+19.4%) | -$33.78 M(+86.1%) | -$65.82 M(+0.4%) |
Jul 2018 | - | -$18.16 M(+91.0%) | -$65.58 M(-2.0%) |
Apr 2018 | - | -$9.51 M(+117.2%) | -$66.92 M(+9.2%) |
Jan 2018 | - | -$4.38 M(-87.0%) | -$61.26 M(+11.1%) |
Oct 2017 | -$55.13 M(-128.2%) | -$33.54 M(+72.1%) | -$55.13 M(-1.1%) |
Jul 2017 | - | -$19.50 M(+407.3%) | -$55.72 M(+11.2%) |
Apr 2017 | - | -$3.84 M(-319.6%) | -$50.10 M(-16.2%) |
Jan 2017 | - | $1.75 M(-105.1%) | -$59.77 M(-130.6%) |
Oct 2016 | $195.45 M(-4366.5%) | -$34.13 M(+146.0%) | $195.45 M(+0.8%) |
Jul 2016 | - | -$13.88 M(+2.8%) | $193.92 M(-33.2%) |
Apr 2016 | - | -$13.51 M(-105.3%) | $290.31 M(-2.1%) |
Jan 2016 | - | $256.96 M(-820.6%) | $296.54 M(-6573.3%) |
Oct 2015 | -$4.58 M(-81.3%) | -$35.66 M(-143.2%) | -$4.58 M(-162.6%) |
Jul 2015 | - | $82.51 M(-1234.9%) | $7.31 M(-109.6%) |
Apr 2015 | - | -$7.27 M(-83.5%) | -$76.31 M(+13.2%) |
Jan 2015 | - | -$44.16 M(+85.8%) | -$67.43 M(+175.7%) |
Oct 2014 | -$24.46 M(+402.3%) | -$23.77 M(+2033.6%) | -$24.46 M(+3561.5%) |
Jul 2014 | - | -$1.11 M(-169.3%) | -$668.00 K(-94.0%) |
Apr 2014 | - | $1.61 M(-235.7%) | -$11.04 M(+165.9%) |
Jan 2014 | - | -$1.18 M(-5247.8%) | -$4.15 M(-14.7%) |
Oct 2013 | -$4.87 M(+24.0%) | $23.00 K(-100.2%) | -$4.87 M(-14.5%) |
Jul 2013 | - | -$11.49 M(-235.2%) | -$5.70 M(-201.8%) |
Apr 2013 | - | $8.50 M(-547.2%) | $5.59 M(-264.7%) |
Jan 2013 | - | -$1.90 M(+135.7%) | -$3.40 M(-13.5%) |
Oct 2012 | -$3.93 M | -$806.00 K(+313.3%) | -$3.93 M(-60.7%) |
Jul 2012 | - | -$195.00 K(-60.8%) | -$10.00 M(-30.3%) |
Date | Annual | Quarterly | TTM |
---|---|---|---|
Apr 2012 | - | -$497.00 K(-79.5%) | -$14.36 M(-3.6%) |
Jan 2012 | - | -$2.43 M(-64.7%) | -$14.90 M(-0.1%) |
Oct 2011 | -$14.91 M(+59.2%) | -$6.88 M(+51.1%) | -$14.91 M(+28.2%) |
Jul 2011 | - | -$4.55 M(+338.2%) | -$11.63 M(+7.4%) |
Apr 2011 | - | -$1.04 M(-57.4%) | -$10.84 M(+1.3%) |
Jan 2011 | - | -$2.44 M(-32.2%) | -$10.69 M(+14.1%) |
Oct 2010 | -$9.37 M(-189.2%) | -$3.60 M(-4.0%) | -$9.37 M(+62.4%) |
Jul 2010 | - | -$3.75 M(+319.3%) | -$5.77 M(+186.3%) |
Apr 2010 | - | -$895.00 K(-20.1%) | -$2.02 M(+79.9%) |
Jan 2010 | - | -$1.12 M(-107.9%) | -$1.12 M(-107.9%) |
Oct 2009 | $10.51 M(-116.5%) | - | - |
Jan 2009 | - | $14.26 M(-306.7%) | $14.26 M(-170.8%) |
Oct 2008 | -$63.66 M(+216.3%) | - | - |
Oct 2007 | -$20.13 M(-70.7%) | -$6.90 M(+264.3%) | -$20.13 M(+6.0%) |
Jul 2007 | - | -$1.89 M(-73.3%) | -$19.00 M(-69.3%) |
Apr 2007 | - | -$7.09 M(+67.0%) | -$61.92 M(+12.1%) |
Jan 2007 | - | -$4.25 M(-26.4%) | -$55.22 M(-19.6%) |
Oct 2006 | -$68.72 M(>+9900.0%) | -$5.77 M(-87.1%) | -$68.72 M(-26.6%) |
Jul 2006 | - | -$44.82 M(>+9900.0%) | -$93.66 M(-28.8%) |
Apr 2006 | - | -$394.00 K(-97.8%) | -$131.58 M(-30.5%) |
Jan 2006 | - | -$17.74 M(-42.2%) | -$189.36 M(>+9900.0%) |
Oct 2005 | -$462.00 K(-100.4%) | -$30.71 M(-62.9%) | -$462.00 K(-98.6%) |
Jul 2005 | - | -$82.73 M(+42.2%) | -$32.37 M(-254.9%) |
Apr 2005 | - | -$58.17 M(-134.0%) | $20.89 M(-68.6%) |
Jan 2005 | - | $171.16 M(-373.3%) | $66.44 M(-38.7%) |
Oct 2004 | $108.48 M(-241.8%) | -$62.62 M(+112.5%) | $108.48 M(-10.1%) |
Jul 2004 | - | -$29.47 M(+133.5%) | $120.67 M(-11.5%) |
Apr 2004 | - | -$12.62 M(-105.9%) | $136.36 M(-10.2%) |
Jan 2004 | - | $213.19 M(-522.7%) | $151.85 M(-298.5%) |
Oct 2003 | -$76.52 M(+1932.3%) | -$50.43 M(+266.0%) | -$76.52 M(-540.0%) |
Jul 2003 | - | -$13.78 M(-579.4%) | $17.39 M(+5.2%) |
Apr 2003 | - | $2.87 M(-118.9%) | $16.53 M(-219.4%) |
Jan 2003 | - | -$15.18 M(-134.9%) | -$13.85 M(+267.8%) |
Oct 2002 | -$3.77 M(-84.9%) | $43.48 M(-397.0%) | -$3.77 M(-94.2%) |
Jul 2002 | - | -$14.64 M(-46.8%) | -$64.99 M(+18.7%) |
Apr 2002 | - | -$27.51 M(+439.6%) | -$54.77 M(+70.5%) |
Jan 2002 | - | -$5.10 M(-71.3%) | -$32.12 M(<-9900.0%) |
Oct 2001 | - | -$17.75 M(+302.4%) | $0.00(-100.0%) |
Jul 2001 | - | -$4.41 M(-9.1%) | -$3.88 M(-80.2%) |
Apr 2001 | - | -$4.85 M(-118.0%) | -$19.57 M(-183.9%) |
Jan 2001 | - | $27.02 M(-224.9%) | $23.33 M(>+9900.0%) |
Oct 2000 | - | -$21.63 M(+7.6%) | $0.00(-100.0%) |
Jul 2000 | - | -$20.10 M(-152.8%) | $21.63 M(-48.2%) |
Apr 2000 | - | $38.05 M(+932.7%) | $41.73 M(+1032.7%) |
Jan 2000 | - | $3.68 M | $3.68 M |
Oct 1998 | -$24.93 M(-36.7%) | - | - |
Oct 1997 | -$39.37 M(-139.6%) | - | - |
Oct 1996 | $99.30 M(-221.8%) | - | - |
Oct 1995 | -$81.54 M(+530.4%) | - | - |
Oct 1994 | -$12.94 M | - | - |
FAQ
- What is Quanex Building Products annual cash flow from financing activities?
- What is the all time high annual CFF for Quanex Building Products?
- What is Quanex Building Products annual CFF year-on-year change?
- What is Quanex Building Products quarterly cash flow from financing activities?
- What is the all time high quarterly CFF for Quanex Building Products?
- What is Quanex Building Products quarterly CFF year-on-year change?
- What is Quanex Building Products TTM cash flow from financing activities?
- What is the all time high TTM CFF for Quanex Building Products?
- What is Quanex Building Products TTM CFF year-on-year change?
What is Quanex Building Products annual cash flow from financing activities?
The current annual CFF of NX is $385.16 M
What is the all time high annual CFF for Quanex Building Products?
Quanex Building Products all-time high annual cash flow from financing activities is $385.16 M
What is Quanex Building Products annual CFF year-on-year change?
Over the past year, NX annual cash flow from financing activities has changed by +$401.31 M (+2484.72%)
What is Quanex Building Products quarterly cash flow from financing activities?
The current quarterly CFF of NX is $410.61 M
What is the all time high quarterly CFF for Quanex Building Products?
Quanex Building Products all-time high quarterly cash flow from financing activities is $410.61 M
What is Quanex Building Products quarterly CFF year-on-year change?
Over the past year, NX quarterly cash flow from financing activities has changed by +$453.45 M (+1058.52%)
What is Quanex Building Products TTM cash flow from financing activities?
The current TTM CFF of NX is $385.16 M
What is the all time high TTM CFF for Quanex Building Products?
Quanex Building Products all-time high TTM cash flow from financing activities is $385.16 M
What is Quanex Building Products TTM CFF year-on-year change?
Over the past year, NX TTM cash flow from financing activities has changed by +$401.31 M (+2484.72%)