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NWPX Infrastructure, Inc. (NWPX) 10-Year Financial Performance & Capital Metrics

NWPX • • Industrial / General
IndustrialsMetal FabricationConstruction & Infrastructure ProductsWater Infrastructure Products
AboutNWPX Infrastructure, Inc., together with its subsidiaries, engages in the manufacture and sale of water-related infrastructure products in North America and Canada. It operates through two segments, Engineered Steel Pressure Pipe (SPP) and Precast Infrastructure and Engineered Systems (Precast). The SPP segment provides large-diameter and high-pressure steel pipeline systems for use in water infrastructure applications, which are primarily related to drinking water systems. Its products are also used for hydroelectric power systems, wastewater systems, seismic resiliency, and other applications. In addition, this segment makes products for industrial plant piping systems and certain structural applications. The Precast segment offers stormwater and wastewater technology products, precast, and reinforced concrete products, including reinforced concrete pipe, manholes, box culverts, vaults and catch basins, pump lift stations, oil water separators, biofiltration units, steel casing pipes, and bar-wrapped concrete cylinder pipes, as well as pipeline system joints, fittings, specialized components, and other environmental and engineered solutions. The company sells its water infrastructure products under the ParkUSA, Geneva Pipe and Precast, Permalok, and Northwest Pipe Company brands primarily to installation contractors. The company was formerly known as Northwest Pipe Company and changed its name to NWPX Infrastructure, Inc. in June 2025. NWPX Infrastructure, Inc. was incorporated in 1966 and is headquartered in Vancouver, Washington.Show more
  • Revenue $493M +10.8%
  • EBITDA $67M +35.5%
  • Net Income $34M +62.3%
  • EPS (Diluted) 3.40 +62.7%
  • Gross Margin 19.37% +10.9%
  • EBITDA Margin 13.67% +22.3%
  • Operating Margin 9.79% +28.5%
  • Net Margin 6.94% +46.4%
  • ROE 9.58% +49.7%
  • ROIC 7.2% +42.1%
  • Debt/Equity 0.37 -23.6%
  • Interest Coverage 8.52 +22.2%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Strong Piotroski F-Score: 9/9
  • ✓Momentum leader: RS Rating 86 (top 14%)
  • ✓High quality earnings: Operating CF exceeds net income
  • ✓Strong 5Y sales CAGR of 12.0%
  • ✓Trading near 52-week high

✗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

10Y2.02%
5Y12.01%
3Y13.9%
TTM7.64%

Profit (Net Income) CAGR

10Y-
5Y4.16%
3Y43.72%
TTM23.94%

EPS CAGR

10Y-
5Y3.59%
3Y43.11%
TTM24.49%

ROCE

10Y Avg-1.65%
5Y Avg4.12%
3Y Avg8.4%
Latest9.49%

Peer Comparison

Water Infrastructure Products
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Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
NWPXNWPX Infrastructure, Inc.665.66M69.2720.3710.85%7.04%9.48%5.15%0.37

Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Sales/Revenue+236.61M156.26M132.78M172.15M279.32M285.91M333.31M457.67M444.36M492.55M
Revenue Growth %-0.41%-0.34%-0.15%0.3%0.62%0.02%0.17%0.37%-0.03%0.11%
Cost of Goods Sold+249.23M159.48M126.96M160.05M232.13M235.39M289.06M371.81M366.71M397.14M
COGS % of Revenue1.05%1.02%0.96%0.93%0.83%0.82%0.87%0.81%0.83%0.81%
Gross Profit+-12.63M-3.23M5.82M12.1M47.18M50.52M44.25M85.86M77.64M95.41M
Gross Margin %-0.05%-0.02%0.04%0.07%0.17%0.18%0.13%0.19%0.17%0.19%
Gross Profit Growth %-1.31%0.74%2.81%1.08%2.9%0.07%-0.12%0.94%-0.1%0.23%
Operating Expenses+22.3M17.18M14.14M16.66M75.87M76.08M28.22M41.03M43.78M47.16M
OpEx % of Revenue0.09%0.11%0.11%0.1%0.27%0.27%0.08%0.09%0.1%0.1%
Selling, General & Admin22.3M17.18M14.14M16.66M18.5M24.95M28.22M41.03M43.78M47.16M
SG&A % of Revenue0.09%0.11%0.11%0.1%0.07%0.09%0.08%0.09%0.1%0.1%
Research & Development0000000000
R&D % of Revenue----------
Other Operating Expenses88K23K0057.38M51.13M0000
Operating Income+-40.21M-13.53M-9.2M-2.97M-28.69M-25.57M16.03M44.82M33.86M48.24M
Operating Margin %-0.17%-0.09%-0.07%-0.02%-0.1%-0.09%0.05%0.1%0.08%0.1%
Operating Income Growth %-208.27%0.66%0.32%0.68%-8.66%0.11%1.63%1.8%-0.24%0.42%
EBITDA+-30.59M-4.24M-2.65M6.35M-15.98M-11.01M29.66M61.92M49.66M67.31M
EBITDA Margin %-0.13%-0.03%-0.02%0.04%-0.06%-0.04%0.09%0.14%0.11%0.14%
EBITDA Growth %-3.13%0.86%0.38%3.4%-3.52%0.31%3.69%1.09%-0.2%0.36%
D&A (Non-Cash Add-back)9.62M9.29M6.55M9.32M12.71M14.55M13.62M17.1M15.81M19.07M
EBIT-39.95M-10.33M-9M17.64M33.11M26.57M16.36M45.05M34.13M48.03M
Net Interest Income+-1.34M-495K-484K-316K-432K-884K-1.2M-3.57M-4.86M-5.66M
Interest Income1K14K6K267K40K49K0000
Interest Expense1.34M509K490K583K472K933K1.2M3.57M4.86M5.66M
Other Income/Expense-1.13M2.69M-283K20.03M61.33M51.2M-874K-3.47M-4.58M-5.87M
Pretax Income+-41.34M-14.02M-9.49M17.06M32.64M25.63M15.16M41.35M29.28M42.37M
Pretax Margin %-0.17%-0.09%-0.07%0.1%0.12%0.09%0.05%0.09%0.07%0.09%
Income Tax+-11.95M-4.76M-1.1M-3.25M4.74M6.58M3.63M10.2M8.21M8.16M
Effective Tax Rate %0.71%0.66%1.07%1.19%0.85%0.74%0.76%0.75%0.72%0.81%
Net Income+-29.39M-9.26M-10.16M20.31M27.9M19.05M11.52M31.15M21.07M34.21M
Net Margin %-0.12%-0.06%-0.08%0.12%0.1%0.07%0.03%0.07%0.05%0.07%
Net Income Growth %-0.64%0.68%-0.1%3%0.37%-0.32%-0.4%1.7%-0.32%0.62%
Net Income (Continuing)-17.81M-6.74M-8.39M20.31M27.9M19.05M11.52M31.15M21.07M34.21M
Discontinued Operations0000000000
Minority Interest0000000000
EPS (Diluted)+-3.07-0.97-1.062.092.851.931.163.112.093.40
EPS Growth %-0.63%0.68%-0.09%2.97%0.36%-0.32%-0.4%1.68%-0.33%0.63%
EPS (Basic)-3.07-0.98-1.072.092.861.951.173.142.113.45
Diluted Shares Outstanding9.56M9.59M9.61M9.73M9.78M9.87M9.93M10.01M10.08M10.07M
Basic Shares Outstanding9.56M9.49M9.54M9.73M9.74M9.79M9.85M9.91M9.99M9.92M
Dividend Payout Ratio----------

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Current Assets+115.28M112.18M140.75M159.51M195.04M191.96M228.23M278.74M272.48M262.49M
Cash & Short-Term Investments10.31M21.83M43.65M6.68M31.01M37.93M3M3.68M4.07M5.01M
Cash Only10.31M21.83M43.65M6.68M31.01M37.93M3M3.68M4.07M5.01M
Short-Term Investments0000000000
Accounts Receivable70.16M69.22M73.49M108.67M129.21M119.67M159.83M193.34M168.16M170.37M
Days Sales Outstanding108.23161.69202.02230.4168.85152.77175.03154.19138.13126.25
Inventory29.48M19.04M17.05M39.38M30.65M29.18M59.65M71.03M91.23M79.77M
Days Inventory Outstanding43.1743.5749.0389.848.245.2475.3269.7390.873.31
Other Current Assets3.71M36.88M0101K0017K10.69M9.03M7.34M
Total Non-Current Assets+144.1M129.38M89.57M111.84M115.21M181.05M319.45M322.6M325.4M327.17M
Property, Plant & Equipment131.85M118.1M78.76M103.45M107.31M141M219.77M226.29M232.11M238.2M
Fixed Asset Turnover1.79x1.32x1.69x1.66x2.60x2.03x1.52x2.02x1.91x2.07x
Goodwill0000022.98M53.68M55.5M55.5M55.5M
Intangible Assets2.92M2.4M1.9M1.55M1.23M10.52M39.38M35.26M31.07M27.04M
Long-Term Investments-20.55M-22.39M-9.4M-1.62M0-12.48M-10.98M-394K326K0
Other Non-Current Assets9.33M8.88M8.91M8.39M6.66M6.55M6.62M-5.47M6.71M6.42M
Total Assets+259.38M241.56M230.32M271.35M310.25M373.01M547.68M601.34M597.88M589.65M
Asset Turnover0.91x0.65x0.58x0.63x0.90x0.77x0.61x0.76x0.74x0.84x
Asset Growth %-0.26%-0.07%-0.05%0.18%0.14%0.2%0.47%0.1%-0.01%-0.01%
Total Current Liabilities+21.57M18.55M17M31.49M41.57M45.9M64.09M90.84M96.19M75.13M
Accounts Payable4.74M5.27M7.52M19.78M15.49M12.99M32.27M26.97M31.14M27.78M
Days Payables Outstanding6.9412.0521.6245.1224.3620.1540.7426.473125.53
Short-Term Debt340K325K0416K07.7M5.18M10.76M10.76M2.99M
Deferred Revenue (Current)520K1000K1000K1000K1000K1000K1000K1000K1000K1000K
Other Current Liabilities12.63M10.32M4.13M4.92M407K10.36M12.7M020.99M6K
Current Ratio5.34x6.05x8.28x5.07x4.69x4.18x3.56x3.07x2.83x3.49x
Quick Ratio3.98x5.02x7.28x3.81x3.95x3.55x2.63x2.29x1.88x2.43x
Cash Conversion Cycle144.46193.2229.43275.08192.69177.86209.61197.45197.94174.03
Total Non-Current Liabilities+20.25M13.79M13.06M21.27M20.52M57.49M200.2M192.23M161.33M140.52M
Long-Term Debt00011.46M05.89M86.76M83.7M54.48M36.15M
Capital Lease Obligations718K602K737K839K6.25M29.27M95.42M89.47M91.04M90.83M
Deferred Tax Liabilities5.12M1.28M941K68K4.26M12.48M10.98M11.4M10.94M8.3M
Other Non-Current Liabilities19.53M13.19M11.38M8.9M10.01M9.85M7.04M7.66M4.86M5.24M
Total Liabilities41.82M32.34M30.06M52.76M62.09M103.39M264.3M283.07M257.52M215.65M
Total Debt+1.06M927K1.05M12.72M8.31M45.43M192.06M188.63M162.94M136.7M
Net Debt-9.25M-20.9M-42.59M6.04M-22.7M7.51M189.07M184.94M158.87M131.69M
Debt / Equity0.00x0.00x0.01x0.06x0.03x0.17x0.68x0.59x0.48x0.37x
Debt / EBITDA---2.00x--6.48x3.05x3.28x2.03x
Net Debt / EBITDA---0.95x--6.38x2.99x3.20x1.96x
Interest Coverage-30.01x-26.59x-18.78x-5.10x-60.78x-27.40x13.34x12.56x6.97x8.52x
Total Equity+217.56M209.21M200.26M218.59M248.16M269.63M283.38M318.27M340.36M374M
Equity Growth %-0.11%-0.04%-0.04%0.09%0.14%0.09%0.05%0.12%0.07%0.1%
Book Value per Share22.7621.8220.8322.4625.3827.3128.5431.7933.7637.16
Total Shareholders' Equity217.56M209.21M200.26M218.59M248.16M269.63M283.38M318.27M340.36M374M
Common Stock96K96K96K97K97K98K99K99K100K99K
Retained Earnings101.18M91.92M81.76M101.19M129.33M148.38M159.9M191.05M212.13M246.33M
Treasury Stock0000000000
Accumulated OCI-1.54M-1.48M-1.45M-1.54M-1.81M-1.87M-1.68M-789K-960K-834K
Minority Interest0000000000

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+55.21M1.52M-7.52M-18.4M42.89M56.09M-5.81M17.54M53.45M55.05M
Operating CF Margin %0.23%0.01%-0.06%-0.11%0.15%0.2%-0.02%0.04%0.12%0.11%
Operating CF Growth %0.58%-0.97%-5.95%-1.45%3.33%0.31%-1.1%4.02%2.05%0.03%
Net Income-29.39M-9.26M-8.39M20.31M27.9M19.05M11.52M31.15M21.07M34.21M
Depreciation & Amortization9.62M9.97M6.55M9.32M12.71M14.55M13.62M17.1M15.81M19.07M
Stock-Based Compensation1.77M1.8M1.2M281K1.71M3.09M3.22M3.7M3.67M5.06M
Deferred Taxes-3.56M-4.75M-341K-3.85M4.17M2.91M180K514K-172K-4.68M
Other Non-Cash Items6.05M-8.87M-855K-22.38M-785K742K193K-286K1.08M728K
Working Capital Changes70.72M12.63M-5.69M-22.09M-2.82M15.75M-34.55M-34.64M12M669K
Change in Receivables26.78M2.12M-4.07M2.22M-11.81M9.67M-33.36M-19.12M29.03M-13.13M
Change in Inventory43.7M10.49M1.54M-13.63M8.65M7.15M-17.65M-11.38M-20.2M11.46M
Change in Payables-9.89M866K2.13M6.59M-4.67M-3.5M16.78M-5.83M4.7M-3.45M
Cash from Investing+3.06M11.65M29.8M-27.9M-6.42M-61.43M-100.15M-23.05M-20.37M-20.74M
Capital Expenditures-8.52M-2.29M-2.85M-3.8M-8.59M-14.34M-13.26M-23.16M-18.29M-20.8M
CapEx % of Revenue0.04%0.01%0.02%0.02%0.03%0.05%0.04%0.05%0.04%0.04%
Acquisitions----------
Investments----------
Other Investing7.27M13.95M32.65M13.12M2.16M1.64M325K106K650K63K
Cash from Financing+-48.48M-1.65M-463K9.33M-12.13M12.26M71.03M6.19M-32.7M-33.38M
Debt Issued (Net)----------
Equity Issued (Net)----------
Dividends Paid0000000000
Share Repurchases----------
Other Financing-1.63M-1.34M-136K-435K-228K13.3M-1.55M-47K-1.95M-1.46M
Net Change in Cash----------
Free Cash Flow+46.69M-773K-10.37M-22.2M34.3M41.74M-19.07M-5.62M35.16M34.25M
FCF Margin %0.2%-0%-0.08%-0.13%0.12%0.15%-0.06%-0.01%0.08%0.07%
FCF Growth %1.25%-1.02%-12.42%-1.14%2.55%0.22%-1.46%0.71%7.26%-0.03%
FCF per Share4.88-0.08-1.08-2.283.514.23-1.92-0.563.493.40
FCF Conversion (FCF/Net Income)-1.88x-0.16x0.74x-0.91x1.54x2.94x-0.50x0.56x2.54x1.61x
Interest Paid846K0258K330K369K599K339K3.17M4.66M5.88M
Taxes Paid-7.74M0-153K170K01.4M2.48M13.77M5.91M9.02M

Key Ratios

Metric2015201620172018201920202021202220232024
Return on Equity (ROE)-12.69%-4.34%-4.96%9.7%11.96%7.36%4.17%10.35%6.4%9.58%
Return on Invested Capital (ROIC)-12.03%-5.12%-3.99%-1.17%-9.56%-7.63%3.21%6.89%5.07%7.2%
Gross Margin-5.34%-2.06%4.39%7.03%16.89%17.67%13.28%18.76%17.47%19.37%
Net Margin-12.42%-5.93%-7.65%11.8%9.99%6.66%3.46%6.81%4.74%6.94%
Debt / Equity0.00x0.00x0.01x0.06x0.03x0.17x0.68x0.59x0.48x0.37x
Interest Coverage-30.01x-26.59x-18.78x-5.10x-60.78x-27.40x13.34x12.56x6.97x8.52x
FCF Conversion-1.88x-0.16x0.74x-0.91x1.54x2.94x-0.50x0.56x2.54x1.61x
Revenue Growth-41.33%-33.96%-15.02%29.65%62.25%2.36%16.58%37.31%-2.91%10.85%

Revenue by Segment

201220132014
Water Transmission269.2M226.43M238.54M
Water Transmission Growth--15.89%5.35%
Tubular Goods255.3M-164.75M
Tubular Goods Growth---
Public Utilities Inventory Tubular Goods-249.13M-
Public Utilities Inventory Tubular Goods Growth---
Foreign Tax Authority473.4M--
Foreign Tax Authority Growth---
All Others51.1M--
All Others Growth---

Revenue by Geography

201220132014
UNITED STATES--383.34M
UNITED STATES Growth---
Non Us--19.95M
Non Us Growth---
U S-441.78M-
U S Growth---

Frequently Asked Questions

Valuation & Price

NWPX Infrastructure, Inc. (NWPX) has a price-to-earnings (P/E) ratio of 20.4x. This is roughly in line with market averages.

Growth & Financials

NWPX Infrastructure, Inc. (NWPX) reported $520.0M in revenue for fiscal year 2024. This represents a 2% increase from $511.7M in 2011.

NWPX Infrastructure, Inc. (NWPX) grew revenue by 10.8% over the past year. This is steady growth.

Yes, NWPX Infrastructure, Inc. (NWPX) is profitable, generating $36.6M in net income for fiscal year 2024 (6.9% net margin).

Dividend & Returns

NWPX Infrastructure, Inc. (NWPX) has a return on equity (ROE) of 9.6%. This is below average, suggesting room for improvement.

NWPX Infrastructure, Inc. (NWPX) generated $48.2M in free cash flow for fiscal year 2024. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

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