Recent Annual Filings for NX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,319,788,000 $1,277,862,000 $1,235,780,000 $24,772,000 $88,812,000 $385,156,000 $44,521,000
2023 $831,143,000 $1,130,583,000 $1,033,537,000 $93,782,000 $147,052,000 $-16,151,000 $3,381,000
2022 $724,617,000 $1,221,502,000 $1,111,739,000 $60,684,000 $97,965,000 $-45,879,000 $15,032,000
2021 $717,323,000 $1,072,149,000 $992,055,000 $68,234,000 $78,588,000 $-71,861,000 $-11,560,000
2020 $691,585,000 $851,573,000 $801,273,000 $39,289,000 $100,796,000 $-55,122,000 $20,753,000
2019 $645,110,000 $893,841,000 $929,795,000 $-49,842,000 $96,372,000 $-71,264,000 $1,865,000
2018 $741,849,000 $889,785,000 $864,332,000 $20,699,000 $104,611,000 $-65,817,000 $11,548,000
2017 $773,879,000 $866,555,000 $841,053,000 $32,372,000 $78,554,000 $-45,412,000 $-8,071,000