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Nextpower Inc. (NXT) 10-Year Financial Performance & Capital Metrics

NXT • • Industrial / General
TechnologyConsumer ElectronicsDisplay & Component ManufacturingControl Systems & Components
AboutNextracker Inc., an energy solutions company, provides solar tracker solutions for PV projects. The company offers solar trackers, such as Bifacial PV modules for large-scale solar; NX Horizon for solar power plants; NX Gemini two-in-portrait solar tracker that optimizes lifetime value and performance of power plants for project developers and asset owners; and NX Horizon XTR, an all-terrain solar tracker. It also provides TrueCapture, an intelligent and self-adjusting tracker control system for PV power plants; and NX Navigator, an operational control and risk mitigation software. The company was incorporated in 2013 and is based in Fremont, California. Nextracker Inc. operates as a subsidiary of Flex Ltd.Show more
  • Revenue $2.96B +18.4%
  • EBITDA $653M +10.3%
  • Net Income $509M +66.3%
  • EPS (Diluted) 3.47 +3.0%
  • Gross Margin 34.09% +23.2%
  • EBITDA Margin 22.05% -6.8%
  • Operating Margin 21.6% -8.0%
  • Net Margin 17.21% +40.5%
  • ROE 38.87% -6.3%
  • ROIC 61.38% -18.4%
  • Debt/Equity 0.02 -85.9%
  • Interest Coverage 48.80 +14.9%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Company is almost debt free
  • ✓Excellent 3Y average ROE of 34.8%
  • ✓Strong 5Y profit CAGR of 33.9%
  • ✓Strong Piotroski F-Score: 7/9
  • ✓FCF machine: 21.0% free cash flow margin
  • ✓Momentum leader: RS Rating 87 (top 13%)

✗Weaknesses

No significant weaknesses identified

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y-
5Y20.37%
3Y26.62%
TTM20.37%

Profit (Net Income) CAGR

10Y-
5Y33.91%
3Y115.45%
TTM19.12%

EPS CAGR

10Y-
5Y2.48%
3Y46.22%
TTM14.24%

ROCE

10Y Avg29.38%
5Y Avg31.68%
3Y Avg34.38%
Latest33.76%

Peer Comparison

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Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
NXTNextpower Inc.14.64B98.6528.4318.38%17.08%29.01%4.25%0.02
UEICUniversal Electronics Inc.53.46M4.00-2.16-6.08%-5.64%-15.08%11.96%0.32
BWNBBabcock & Wilcox Enterprises, I2.38B25.00-30.49-1.37%-20.07%
BWSNBabcock & Wilcox Enterprises, I2.4B25.18-30.71-1.37%-20.07%

Profit & Loss

Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Sales/Revenue+660.74M1.17B1.2B1.46B1.9B2.5B2.96B
Revenue Growth %-0.77%0.02%0.22%0.3%0.31%0.18%
Cost of Goods Sold+604.21M958.38M963.64M1.31B1.62B1.81B1.95B
COGS % of Revenue0.91%0.82%0.81%0.9%0.85%0.72%0.66%
Gross Profit+56.53M212.91M231.98M147.03M286.97M691.64M1.01B
Gross Margin %0.09%0.18%0.19%0.1%0.15%0.28%0.34%
Gross Profit Growth %-2.77%0.09%-0.37%0.95%1.41%0.46%
Operating Expenses+55.37M64M73.45M81.12M118.49M104.53M369.71M
OpEx % of Revenue0.08%0.05%0.06%0.06%0.06%0.04%0.12%
Selling, General & Admin46.8M55.36M60.44M54.01M95.43M183.57M290.32M
SG&A % of Revenue0.07%0.05%0.05%0.04%0.05%0.07%0.1%
Research & Development8.56M8.64M13.01M14.18M21.62M42.36M79.39M
R&D % of Revenue0.01%0.01%0.01%0.01%0.01%0.02%0.03%
Other Operating Expenses00012.94M1.44M-121.41M0
Operating Income+1.17M148.91M158.53M65.91M168.49M587.12M639.11M
Operating Margin %0%0.13%0.13%0.05%0.09%0.23%0.22%
Operating Income Growth %-126.6%0.06%-0.58%1.56%2.48%0.09%
EBITDA+19.67M166.6M175.34M77.11M173.11M591.48M652.52M
EBITDA Margin %0.03%0.14%0.15%0.05%0.09%0.24%0.22%
EBITDA Growth %-7.47%0.05%-0.56%1.25%2.42%0.1%
D&A (Non-Cash Add-back)18.5M17.7M16.81M11.2M4.63M4.36M13.41M
EBIT1.17M148.91M158.53M78.85M169.93M587.12M639.11M
Net Interest Income+00000-13.82M-13.1M
Interest Income0000000
Interest Expense0000013.82M13.1M
Other Income/Expense-407K24K-502K-799K598K20.88M8.9M
Pretax Income+760K148.93M158.03M65.11M169.08M608M648.02M
Pretax Margin %0%0.13%0.13%0.04%0.09%0.24%0.22%
Income Tax+2.35M30.67M33.68M14.2M47.75M111.78M130.77M
Effective Tax Rate %-2.09%0.79%0.79%0.78%0.7%0.5%0.79%
Net Income+-1.59M118.26M124.35M50.91M118.89M306.24M509.17M
Net Margin %-0%0.1%0.1%0.03%0.06%0.12%0.17%
Net Income Growth %-75.37%0.05%-0.59%1.34%1.58%0.66%
Net Income (Continuing)-1.59M118.26M124.35M50.91M121.33M496.21M517.25M
Discontinued Operations0000000
Minority Interest00003.56B31.02M0
EPS (Diluted)+-0.043.073.231.110.013.373.47
EPS Growth %-75.33%0.05%-0.66%-0.99%-0.03%
EPS (Basic)-0.043.073.231.110.023.973.55
Diluted Shares Outstanding38.54M38.54M38.54M45.87M145.85M147.28M149.28M
Basic Shares Outstanding38.54M38.54M38.54M45.87M45.89M77.07M143.54M
Dividend Payout Ratio--2.67%----

Balance Sheet

Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Total Current Assets+232.83M302.8M583.25M708.76M872.26M1.77B2.16B
Cash & Short-Term Investments14.37M2.95M217.99M29.07M130.01M474.05M766.1M
Cash Only14.37M2.95M190.59M29.07M130.01M474.05M766.1M
Short-Term Investments0027.4M0000
Accounts Receivable187.84M222.82M268.21M460.71M569.12M905.23M1.09B
Days Sales Outstanding103.7669.4381.88115.37109.21132.17134.93
Inventory27.55M73.19M84.47M181.51M167.36M201.74M209.43M
Days Inventory Outstanding16.6427.873250.5537.8240.7239.19
Other Current Assets3.08M3.85M12.58M37.47M5.78M187.22M88.48M
Total Non-Current Assets+324.61M316.36M297.72M308.53M547.41M750.55M1.03B
Property, Plant & Equipment5.35M3.94M5.03M11.78M10.59M9.24M60.4M
Fixed Asset Turnover123.57x297.51x237.60x123.71x179.58x270.66x49.00x
Goodwill265.15M265.15M265.15M265.15M265.15M265.15M371.02M
Intangible Assets40.39M25.51M10.99M2.53M1.32M1.55M53.24M
Long-Term Investments0000000
Other Non-Current Assets13.72M21.76M16.54M29.06M13.25M36.34M51.1M
Total Assets+557.44M619.16M880.97M1.02B1.42B2.52B3.19B
Asset Turnover1.19x1.89x1.36x1.43x1.34x0.99x0.93x
Asset Growth %-0.11%0.42%0.15%0.4%0.77%0.27%
Total Current Liabilities+179.49M362.86M391.35M473.37M507.43M891.49M1.03B
Accounts Payable105.5M175.47M231.46M305.91M223.59M456.64M585.3M
Days Payables Outstanding63.7366.8387.6785.250.5392.18109.54
Short-Term Debt01.4M01.8M1.9M3.75M8.5M
Deferred Revenue (Current)1000K1000K1000K1000K1000K1000K1000K
Other Current Liabilities56.54M94.06M18.09M82.3M90.26M123.15M95.59M
Current Ratio1.30x0.83x1.49x1.50x1.72x1.98x2.09x
Quick Ratio1.14x0.63x1.27x1.11x1.39x1.76x1.89x
Cash Conversion Cycle56.6730.4826.280.7296.580.7264.59
Total Non-Current Liabilities+18.61M25.24M33.57M42.78M427.39M635.27M530.87M
Long-Term Debt0000147.15M143.97M0
Capital Lease Obligations04M02.7M1.5M025.6M
Deferred Tax Liabilities0000000
Other Non-Current Liabilities18.61M21.24M18.77M10.48M242.95M421.97M408.63M
Total Liabilities198.1M388.1M424.92M516.16M934.82M1.53B1.56B
Total Debt+05.4M04.5M150.55M147.72M34.1M
Net Debt-14.37M2.45M-190.59M-24.57M20.54M-326.34M-732M
Debt / Equity-0.02x-0.01x0.31x0.15x0.02x
Debt / EBITDA-0.03x-0.06x0.87x0.25x0.05x
Net Debt / EBITDA-0.73x0.01x-1.09x-0.32x0.12x-0.55x-1.12x
Interest Coverage-----42.48x48.80x
Total Equity+359.34M231.06M456.05M501.13M484.86M992.03M1.63B
Equity Growth %--0.36%0.97%0.1%-0.03%1.05%0.64%
Book Value per Share9.326.0011.8310.933.326.7410.91
Total Shareholders' Equity359.34M231.06M456.05M501.13M-3.08B961.01M1.63B
Common Stock359.34M00015K14K15K
Retained Earnings359.34M231.06M0-3.04M-3.08B-3.07B-2.56B
Treasury Stock0000000
Accumulated OCI0000017K-298K
Minority Interest00003.56B31.02M0

Cash Flow

Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Cash from Operations+-13.92M241M94.27M-147.11M107.67M428.97M655.79M
Operating CF Margin %-0.02%0.21%0.08%-0.1%0.06%0.17%0.22%
Operating CF Growth %-18.32%-0.61%-2.56%1.73%2.98%0.53%
Net Income-1.59M118.26M124.35M50.91M121.33M306.24M517.25M
Depreciation & Amortization18.5M17.95M16.81M11.15M4.63M4.36M13.41M
Stock-Based Compensation7.9M4.24M4.31M3.05M31.99M56.78M118.88M
Deferred Taxes-8.28M-5.81M-2.85M-5.34M25.99M-37.99M-8.74M
Other Non-Cash Items97.06M3.4M3.9M184K3M192.33M16.02M
Working Capital Changes-35.7M102.97M-52.24M-207.07M-79.27M-92.76M-1.02M
Change in Receivables-7.09M-16.79M-6.13M-45.46M-160.26M-113.95M-148.5M
Change in Inventory-1.84M-35.74M-23.29M-87.74M25.06M-60.98M-2.97M
Change in Payables-37.97M69.95M55.56M35.82M-37.03M245.37M102.91M
Cash from Investing+-4.13M-1.66M-2.96M-5.75M-3.16M-6.66M-186.1M
Capital Expenditures-4.52M-1.66M-2.96M-5.92M-3.18M-6.16M-33.92M
CapEx % of Revenue0.01%0%0%0%0%0%0.01%
Acquisitions-------
Investments-------
Other Investing-1.6M0000-500K0
Cash from Financing+11.62M-250.76M96.33M-8.66M-3.57M-78.27M-177.65M
Debt Issued (Net)-------
Equity Issued (Net)-------
Dividends Paid00-331.4M0000
Share Repurchases-------
Other Financing11.62M-250.76M427.73M-8.66M-153.65M473.74M-27.65M
Net Change in Cash-------
Free Cash Flow+-18.44M239.34M91.31M-153.03M104.49M422.31M621.87M
FCF Margin %-0.03%0.2%0.08%-0.1%0.05%0.17%0.21%
FCF Growth %-13.98%-0.62%-2.68%1.68%3.04%0.47%
FCF per Share-0.486.212.37-3.340.722.874.17
FCF Conversion (FCF/Net Income)8.75x2.04x0.76x-2.89x0.91x1.40x1.29x
Interest Paid0000000
Taxes Paid0000000

Key Ratios

Metric2019202020212022202320242025
Return on Equity (ROE)-0.44%40.06%36.19%10.64%24.12%41.47%38.87%
Return on Invested Capital (ROIC)0.25%38.61%47.66%13.32%25.74%75.2%61.38%
Gross Margin8.56%18.18%19.4%10.09%15.09%27.67%34.09%
Net Margin-0.24%10.1%10.4%3.49%6.25%12.25%17.21%
Debt / Equity-0.02x-0.01x0.31x0.15x0.02x
Interest Coverage-----42.48x48.80x
FCF Conversion8.75x2.04x0.76x-2.89x0.91x1.40x1.29x
Revenue Growth-77.27%2.08%21.91%30.5%31.42%18.38%

Revenue by Segment

2025
Reportable2.96B
Reportable Growth-

Frequently Asked Questions

Valuation & Price

Nextpower Inc. (NXT) has a price-to-earnings (P/E) ratio of 28.4x. This suggests investors expect higher future growth.

Growth & Financials

Nextpower Inc. (NXT) reported $3.37B in revenue for fiscal year 2025. This represents a 411% increase from $660.7M in 2019.

Nextpower Inc. (NXT) grew revenue by 18.4% over the past year. This is strong growth.

Yes, Nextpower Inc. (NXT) is profitable, generating $576.1M in net income for fiscal year 2025 (17.2% net margin).

Dividend & Returns

Nextpower Inc. (NXT) has a return on equity (ROE) of 38.9%. This is excellent, indicating efficient use of shareholder capital.

Nextpower Inc. (NXT) generated $603.6M in free cash flow for fiscal year 2025. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

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