Quanex Building Products (NX) — Financial Flexibility Index

Latest as of April 2026: 0.02x

Quanex Building Products (NX) has a Financial Flexibility Index of 0.02x as of April 2026. Free cash flow of $29.95 Million (operating CF $18.92 Million minus capex $11.03 Million) represents 0% of total liabilities ($1.27 Billion). Check how aggressively does Quanex Building Products reinvest cash to assess the company's total reinvestment commitment from operating cash flow.

Financial Flexibility Index

0.02x
Free Cash Flow / Total Liabilities

Free Cash Flow

$29.95 Million
Operating CF − Capex

Total Liabilities

$1.27 Billion
USD

Capital Expenditures

$11.03 Million
USD

Quanex Building Products Financial Flexibility Index (1994–2025)

Historical Financial Flexibility Index trend for Quanex Building Products across 32 annual periods. For the full cash flow conversion analysis, see how efficiently does Quanex Building Products generate cash.

Annual Financial Flexibility Index for Quanex Building Products (1994–2025)

Year-by-year free cash flow to debt coverage for Quanex Building Products. Explore NX operating cash flow to total debt to assess how comfortably operating cash covers total debt obligations.

Year Flexibility Index Free Cash Flow (USD) Operating CF Total Liabilities YoY Change
2025 0.18x $227.54 Million $164.90 Million $1.24 Billion ▲ +90.5%
2024 0.10x $125.90 Million $88.81 Million $1.31 Billion ▼ -85.1%
2023 0.65x $184.44 Million $147.05 Million $285.59 Million ▲ +28.0%
2022 0.50x $131.09 Million $97.97 Million $259.78 Million ▲ +46.3%
2021 0.34x $102.60 Million $78.59 Million $297.54 Million ▼ -8.5%
2020 0.38x $126.52 Million $100.80 Million $335.83 Million ▼ -2.2%
2019 0.39x $121.25 Million $96.37 Million $314.92 Million ▲ +2.1%
2018 0.38x $131.09 Million $104.61 Million $347.70 Million ▲ +22.3%
2017 0.31x $113.12 Million $78.55 Million $367.03 Million ▲ +2.8%
2016 0.30x $123.66 Million $86.42 Million $412.52 Million ▼ -45.4%
2015 0.55x $97.07 Million $67.09 Million $176.74 Million ▼ -3.2%
2014 0.57x $54.56 Million $20.78 Million $96.19 Million ▲ +8.4%
2013 0.52x $81.45 Million $43.52 Million $155.62 Million ▲ +26.6%
2012 0.41x $69.35 Million $26.48 Million $167.71 Million ▼ -21.9%
2011 0.53x $78.19 Million $52.88 Million $147.70 Million ▼ -23.6%
2010 0.69x $103.85 Million $89.13 Million $149.82 Million ▲ +9.5%
2009 0.63x $76.64 Million $60.49 Million $121.07 Million ▲ +4.2%
2008 0.61x $80.85 Million $65.03 Million $133.02 Million ▲ +6.2%
2007 0.57x $258.47 Million $224.07 Million $451.67 Million ▼ -3.3%
2006 0.59x $262.53 Million $190.27 Million $443.64 Million ▼ -12.5%
2005 0.68x $299.91 Million $249.12 Million $443.47 Million ▲ +101.7%
2004 0.34x $143.78 Million $124.24 Million $428.81 Million ▼ -43.7%
2003 0.60x $131.53 Million $102.84 Million $220.70 Million ▲ +38.3%
2002 0.43x $115.38 Million $81.11 Million $267.75 Million ▲ +28.1%
2001 0.34x $140.53 Million $84.95 Million $417.65 Million ▲ +6.2%
2000 0.32x $120.20 Million $77.87 Million $379.36 Million ▼ -10.9%
1999 0.36x $138.54 Million $77.69 Million $389.38 Million ▲ +16.7%
1998 0.30x $122.58 Million $64.07 Million $402.24 Million ▼ -16.5%
1997 0.37x $152.21 Million $79.43 Million $416.88 Million ▲ +76.4%
1996 0.21x $108.37 Million $64.11 Million $523.53 Million ▼ -16.9%
1995 0.25x $93.72 Million $67.12 Million $376.22 Million ▼ -6.6%
1994 0.27x $88.47 Million $46.02 Million $331.76 Million
Financial Flexibility Index = (Operating CF − Capex) / Total Liabilities = Free Cash Flow / Total Liabilities