美股市場個股詳情

Quanex Building Products (NX)

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  • 19.310
  • +0.120+0.63%
交易中 05/14 09:30 (美東)
8.87億總市值-3.71市盈率TTM

Quanex Building Products (NX) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2026/01/31
(FY)2025/10/31
(Q4)2025/10/31
(Q3)2025/07/31
(Q2)2025/04/30
(Q1)2025/01/31
(FY)2024/10/31
(Q4)2024/10/31
(Q3)2024/07/31
(Q2)2024/04/30
經營活動現金流量(間接法)
持續經營活動現金淨額
-61.53%-2,020.8萬
85.67%1.65億
1,510.77%8,825.4萬
30.76%6,065.6萬
-13.88%2,849.7萬
-424.60%-1,251萬
-39.61%8,881.2萬
-87.69%547.9萬
-27.63%4,638.8萬
-6.32%3,309.1萬
持續經營淨收入
72.65%-407.1萬
-858.66%-2.51億
240.63%1,957.1萬
-1,188.79%-2.76億
33.41%2,051.5萬
-338.20%-1,488.5萬
-59.93%3,305.9萬
-150.83%-1,391.7萬
-20.03%2,535萬
-28.52%1,537.7萬
持續經營損益
----
105.23%61.3萬
----
----
----
----
-4,319.42%-1,173萬
---253萬
----
----
折舊和攤銷
-1.98%2,424.9萬
71.47%1.03億
-6.22%2,563萬
209.34%3,388.2萬
76.17%1,919.2萬
121.84%2,474萬
40.74%6,032.8萬
144.14%2,732.9萬
3.37%1,095.3萬
4.19%1,089.4萬
遞延稅費
-36.58%180.8萬
-20.86%-1,853.5萬
160.74%790.5萬
-1,178.39%-2,769萬
-24.01%-160.1萬
150.97%285.1萬
-397.96%-1,533.6萬
-361.87%-1,301.5萬
-2,807.50%-216.6萬
-1,474.39%-129.1萬
其他非現金項目
-78.94%130萬
46.60%1,167.5萬
-65.07%247.2萬
170.72%196萬
165.72%107萬
244.86%617.3萬
420.86%796.4萬
891.72%707.8萬
-49.76%72.4萬
-208.92%-162.8萬
營運資金變化
-38.30%-4,466萬
8.31%1,253.7萬
12,123.17%3,114萬
26.88%2,529萬
-229.53%-1,160.2萬
-89.32%-3,229.1萬
-5.20%1,157.5萬
-129.77%-25.9萬
0.40%1,993.3萬
175.85%895.7萬
-應收款項(增)減
-38.20%1,874.3萬
-806.89%-687.8萬
49.21%-515.1萬
-2,599.65%-704.9萬
-241.87%-2,500.8萬
67.14%3,033萬
-86.04%97.3萬
-1,833.50%-1,014.1萬
108.23%28.2萬
31.58%-731.5萬
-存貨(增)減
-58.90%-1,366.9萬
-29.66%2,355.3萬
-45.67%1,829.2萬
133.42%659.4萬
26.46%726.9萬
1.76%-860.2萬
11.52%3,348.4萬
446.54%3,366.7萬
-68.84%282.5萬
-59.39%574.8萬
-應付款項及應計費用(減)增
13.55%-3,820.7萬
123.31%476.4萬
178.04%1,436.6萬
85.10%2,468.8萬
-6.54%990.3萬
-70.23%-4,419.3萬
17.83%-2,043.5萬
-333.54%-1,840.8萬
-1.99%1,333.8萬
1,607.25%1,059.6萬
-其他流動資產變化
21.61%-704.3萬
-185.01%-365.3萬
34.85%357.5萬
-78.34%60萬
108.09%115.7萬
-434.82%-898.5萬
328.56%429.7萬
283.97%265.1萬
111.94%277萬
276.51%55.6萬
-其他流動負債變化
----
34.41%-469.3萬
108.93%70.2萬
25.07%87.3萬
-614.23%-602.1萬
-128.99%-24.7萬
-1,147.58%-715.5萬
-10,724.32%-786.2萬
158.22%69.8萬
-342.94%-84.3萬
-其他營運資本變化
-433.17%-448.4萬
-235.28%-55.6萬
-287.95%-64.4萬
-2,180.00%-41.6萬
525.58%134.5萬
-345.91%-84.1萬
-67.97%41.1萬
36.64%-16.6萬
-95.98%2萬
-52.85%21.5萬
非持續經營活動現金淨額
經營活動現金淨額
-61.53%-2,020.8萬
85.67%1.65億
1,510.77%8,825.4萬
30.76%6,065.6萬
-13.88%2,849.7萬
-424.60%-1,251萬
-39.61%8,881.2萬
-87.69%547.9萬
-27.63%4,638.8萬
-6.32%3,309.1萬
投資活動現金流量
持續投資活動現金淨額
1.89%-1,123.9萬
85.26%-6,200.8萬
94.62%-2,137.3萬
-132.22%-1,446.7萬
-95.11%-1,471.3萬
-19.96%-1,145.5萬
-227.47%-4.21億
-2,571.65%-3.97億
14.59%-623萬
-11.04%-754.1萬
資本性支出
2.84%-1,129.4萬
-68.91%-6,264.2萬
-58.57%-2,164.6萬
-131.16%-1,445.2萬
-96.24%-1,492萬
-21.34%-1,162.4萬
0.81%-3,708.6萬
8.63%-1,365.1萬
15.24%-625.2萬
-1.48%-760.3萬
固定資產交易的淨現金流
-67.46%5.5萬
-95.79%63.4萬
-98.17%27.3萬
-168.18%-1.5萬
233.87%20.7萬
445.16%16.9萬
5,847.04%1,504.6萬
21,230.00%1,493.1萬
-73.17%2.2萬
1,966.67%6.2萬
業務交易的淨現金流
----
--0
----
----
----
----
-336.52%-3.99億
---3.99億
--0
----
非持續投資活動現金淨額
投資活動現金淨額
1.89%-1,123.9萬
85.26%-6,200.8萬
94.62%-2,137.3萬
-132.22%-1,446.7萬
-95.11%-1,471.3萬
-19.96%-1,145.5萬
-227.47%-4.21億
-2,571.65%-3.97億
14.59%-623萬
-11.04%-754.1萬
融資活動現金流量
持續融資活動現金淨額
172.46%1,592萬
-133.10%-1.27億
-109.77%-4,010.1萬
-1,498.74%-5,705.9萬
34.63%-834.8萬
-141.00%-2,197.2萬
2,484.72%3.85億
1,058.52%4.11億
87.08%-356.9萬
55.97%-1,277萬
債務發行/償還的淨現金流
249.98%1,991.2萬
-119.52%-7,904.5萬
-107.90%-3,333.3萬
-5,365.81%-5,132.4萬
283.82%1,888.8萬
-133.77%-1,327.6萬
71,536.33%4.05億
1,138.92%4.22億
96.34%-93.9萬
50.43%-1,027.5萬
普通股發行/償還的淨現金流
--0
-5,710.12%-3,214.6萬
---311.2萬
-10,910.53%-205.4萬
-15,357.14%-2,349.6萬
-971.00%-348.4萬
113.09%57.3萬
--0
-97.09%1.9萬
102.75%15.4萬
現金股利支付
4.56%-363.8萬
-24.37%-1,488.9萬
9.26%-365.6萬
-38.96%-368.1萬
-41.19%-374萬
-44.12%-381.2萬
-12.53%-1,197.2萬
-49.94%-402.9萬
-0.65%-264.9萬
0.38%-264.9萬
其他融資活動的淨現金流額
74.71%-35.4萬
83.51%-140萬
--0
--0
--0
-17.35%-140萬
-1,397.18%-848.9萬
---729.6萬
--0
--0
非持續融資活動現金淨額
融資活動現金淨額
172.46%1,592萬
-133.10%-1.27億
-109.77%-4,010.1萬
-1,498.74%-5,705.9萬
34.63%-834.8萬
-141.00%-2,197.2萬
2,484.72%3.85億
1,058.52%4.11億
87.08%-356.9萬
55.97%-1,277萬
現金淨流量
期初現金流
-24.15%7,811.8萬
76.14%1.03億
-27.71%6,792.6萬
15.40%6,479.7萬
24.87%5,546.8萬
76.14%1.03億
6.14%5,847.4萬
28.28%9,396.6萬
29.09%5,614.9萬
3.18%4,442.2萬
當期現金流變化
66.20%-1,552.7萬
-146.07%-2,459.1萬
42.32%2,678萬
-129.71%-1,087萬
-57.46%543.6萬
-210.13%-4,593.7萬
2,067.91%5,337.4萬
242.39%1,881.7萬
25.39%3,658.9萬
2,836.62%1,278萬
利率變動影響
229.06%205.2萬
96.77%-28.6萬
-69.47%-1,658.8萬
1,039.98%1,399.9萬
469.71%389.3萬
-309.21%-159萬
-1,063.33%-885.3萬
-526.23%-978.8萬
112.82%122.8萬
-215.97%-105.3萬
期末現金流
16.54%6,464.3萬
-24.15%7,811.8萬
-24.15%7,811.8萬
-27.71%6,792.6萬
15.40%6,479.7萬
24.87%5,546.8萬
76.14%1.03億
76.14%1.03億
28.28%9,396.6萬
29.09%5,614.9萬
自由現金流
-30.53%-3,150.2萬
97.69%1.02億
915.08%6,660.8萬
15.12%4,620.4萬
-46.73%1,357.7萬
-321.48%-2,413.4萬
-52.83%5,172.6萬
-127.65%-817.2萬
-29.24%4,013.6萬
-8.43%2,548.8萬
貨幣單位
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會計準則
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審計意見
--
無保留意見
--
--
--
--
無保留意見
--
--
--
(Q1)2026/01/31(FY)2025/10/31(Q4)2025/10/31(Q3)2025/07/31(Q2)2025/04/30(Q1)2025/01/31(FY)2024/10/31(Q4)2024/10/31(Q3)2024/07/31(Q2)2024/04/30
經營活動現金流量(間接法)
持續經營活動現金淨額 -61.53%-2,020.8萬85.67%1.65億1,510.77%8,825.4萬30.76%6,065.6萬-13.88%2,849.7萬-424.60%-1,251萬-39.61%8,881.2萬-87.69%547.9萬-27.63%4,638.8萬-6.32%3,309.1萬
持續經營淨收入 72.65%-407.1萬-858.66%-2.51億240.63%1,957.1萬-1,188.79%-2.76億33.41%2,051.5萬-338.20%-1,488.5萬-59.93%3,305.9萬-150.83%-1,391.7萬-20.03%2,535萬-28.52%1,537.7萬
持續經營損益 ----105.23%61.3萬-----------------4,319.42%-1,173萬---253萬--------
折舊和攤銷 -1.98%2,424.9萬71.47%1.03億-6.22%2,563萬209.34%3,388.2萬76.17%1,919.2萬121.84%2,474萬40.74%6,032.8萬144.14%2,732.9萬3.37%1,095.3萬4.19%1,089.4萬
遞延稅費 -36.58%180.8萬-20.86%-1,853.5萬160.74%790.5萬-1,178.39%-2,769萬-24.01%-160.1萬150.97%285.1萬-397.96%-1,533.6萬-361.87%-1,301.5萬-2,807.50%-216.6萬-1,474.39%-129.1萬
其他非現金項目 -78.94%130萬46.60%1,167.5萬-65.07%247.2萬170.72%196萬165.72%107萬244.86%617.3萬420.86%796.4萬891.72%707.8萬-49.76%72.4萬-208.92%-162.8萬
營運資金變化 -38.30%-4,466萬8.31%1,253.7萬12,123.17%3,114萬26.88%2,529萬-229.53%-1,160.2萬-89.32%-3,229.1萬-5.20%1,157.5萬-129.77%-25.9萬0.40%1,993.3萬175.85%895.7萬
-應收款項(增)減 -38.20%1,874.3萬-806.89%-687.8萬49.21%-515.1萬-2,599.65%-704.9萬-241.87%-2,500.8萬67.14%3,033萬-86.04%97.3萬-1,833.50%-1,014.1萬108.23%28.2萬31.58%-731.5萬
-存貨(增)減 -58.90%-1,366.9萬-29.66%2,355.3萬-45.67%1,829.2萬133.42%659.4萬26.46%726.9萬1.76%-860.2萬11.52%3,348.4萬446.54%3,366.7萬-68.84%282.5萬-59.39%574.8萬
-應付款項及應計費用(減)增 13.55%-3,820.7萬123.31%476.4萬178.04%1,436.6萬85.10%2,468.8萬-6.54%990.3萬-70.23%-4,419.3萬17.83%-2,043.5萬-333.54%-1,840.8萬-1.99%1,333.8萬1,607.25%1,059.6萬
-其他流動資產變化 21.61%-704.3萬-185.01%-365.3萬34.85%357.5萬-78.34%60萬108.09%115.7萬-434.82%-898.5萬328.56%429.7萬283.97%265.1萬111.94%277萬276.51%55.6萬
-其他流動負債變化 ----34.41%-469.3萬108.93%70.2萬25.07%87.3萬-614.23%-602.1萬-128.99%-24.7萬-1,147.58%-715.5萬-10,724.32%-786.2萬158.22%69.8萬-342.94%-84.3萬
-其他營運資本變化 -433.17%-448.4萬-235.28%-55.6萬-287.95%-64.4萬-2,180.00%-41.6萬525.58%134.5萬-345.91%-84.1萬-67.97%41.1萬36.64%-16.6萬-95.98%2萬-52.85%21.5萬
非持續經營活動現金淨額
經營活動現金淨額 -61.53%-2,020.8萬85.67%1.65億1,510.77%8,825.4萬30.76%6,065.6萬-13.88%2,849.7萬-424.60%-1,251萬-39.61%8,881.2萬-87.69%547.9萬-27.63%4,638.8萬-6.32%3,309.1萬
投資活動現金流量
持續投資活動現金淨額 1.89%-1,123.9萬85.26%-6,200.8萬94.62%-2,137.3萬-132.22%-1,446.7萬-95.11%-1,471.3萬-19.96%-1,145.5萬-227.47%-4.21億-2,571.65%-3.97億14.59%-623萬-11.04%-754.1萬
資本性支出 2.84%-1,129.4萬-68.91%-6,264.2萬-58.57%-2,164.6萬-131.16%-1,445.2萬-96.24%-1,492萬-21.34%-1,162.4萬0.81%-3,708.6萬8.63%-1,365.1萬15.24%-625.2萬-1.48%-760.3萬
固定資產交易的淨現金流 -67.46%5.5萬-95.79%63.4萬-98.17%27.3萬-168.18%-1.5萬233.87%20.7萬445.16%16.9萬5,847.04%1,504.6萬21,230.00%1,493.1萬-73.17%2.2萬1,966.67%6.2萬
業務交易的淨現金流 ------0-----------------336.52%-3.99億---3.99億--0----
非持續投資活動現金淨額
投資活動現金淨額 1.89%-1,123.9萬85.26%-6,200.8萬94.62%-2,137.3萬-132.22%-1,446.7萬-95.11%-1,471.3萬-19.96%-1,145.5萬-227.47%-4.21億-2,571.65%-3.97億14.59%-623萬-11.04%-754.1萬
融資活動現金流量
持續融資活動現金淨額 172.46%1,592萬-133.10%-1.27億-109.77%-4,010.1萬-1,498.74%-5,705.9萬34.63%-834.8萬-141.00%-2,197.2萬2,484.72%3.85億1,058.52%4.11億87.08%-356.9萬55.97%-1,277萬
債務發行/償還的淨現金流 249.98%1,991.2萬-119.52%-7,904.5萬-107.90%-3,333.3萬-5,365.81%-5,132.4萬283.82%1,888.8萬-133.77%-1,327.6萬71,536.33%4.05億1,138.92%4.22億96.34%-93.9萬50.43%-1,027.5萬
普通股發行/償還的淨現金流 --0-5,710.12%-3,214.6萬---311.2萬-10,910.53%-205.4萬-15,357.14%-2,349.6萬-971.00%-348.4萬113.09%57.3萬--0-97.09%1.9萬102.75%15.4萬
現金股利支付 4.56%-363.8萬-24.37%-1,488.9萬9.26%-365.6萬-38.96%-368.1萬-41.19%-374萬-44.12%-381.2萬-12.53%-1,197.2萬-49.94%-402.9萬-0.65%-264.9萬0.38%-264.9萬
其他融資活動的淨現金流額 74.71%-35.4萬83.51%-140萬--0--0--0-17.35%-140萬-1,397.18%-848.9萬---729.6萬--0--0
非持續融資活動現金淨額
融資活動現金淨額 172.46%1,592萬-133.10%-1.27億-109.77%-4,010.1萬-1,498.74%-5,705.9萬34.63%-834.8萬-141.00%-2,197.2萬2,484.72%3.85億1,058.52%4.11億87.08%-356.9萬55.97%-1,277萬
現金淨流量
期初現金流 -24.15%7,811.8萬76.14%1.03億-27.71%6,792.6萬15.40%6,479.7萬24.87%5,546.8萬76.14%1.03億6.14%5,847.4萬28.28%9,396.6萬29.09%5,614.9萬3.18%4,442.2萬
當期現金流變化 66.20%-1,552.7萬-146.07%-2,459.1萬42.32%2,678萬-129.71%-1,087萬-57.46%543.6萬-210.13%-4,593.7萬2,067.91%5,337.4萬242.39%1,881.7萬25.39%3,658.9萬2,836.62%1,278萬
利率變動影響 229.06%205.2萬96.77%-28.6萬-69.47%-1,658.8萬1,039.98%1,399.9萬469.71%389.3萬-309.21%-159萬-1,063.33%-885.3萬-526.23%-978.8萬112.82%122.8萬-215.97%-105.3萬
期末現金流 16.54%6,464.3萬-24.15%7,811.8萬-24.15%7,811.8萬-27.71%6,792.6萬15.40%6,479.7萬24.87%5,546.8萬76.14%1.03億76.14%1.03億28.28%9,396.6萬29.09%5,614.9萬
自由現金流 -30.53%-3,150.2萬97.69%1.02億915.08%6,660.8萬15.12%4,620.4萬-46.73%1,357.7萬-321.48%-2,413.4萬-52.83%5,172.6萬-127.65%-817.2萬-29.24%4,013.6萬-8.43%2,548.8萬
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會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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