Symbols / NWPX Stock $110.80 -2.40% NWPX Infrastructure, Inc.

Basic Materials • Steel • United States • NMS
NWPX (Stock) Chart
O: — H: — L: — C: — V: —
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Stock Fundamentals
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Index EQUITY
Sector Basic Materials
Industry Steel
CEO Mr. Scott J. Montross
Exch · Country NMS · United States
Market Cap 1.07B
Enterprise Value 1.16B
Income 41.98M
Sales 548.14M
FCF (ttm) 53.82M
Book/sh 41.89
Cash/sh 1.49
Employees 1,318
Insider 10d
IPO Nov 30, 1995
Div forward ($/yr)
Div TTM ($/yr)
Dividend Yield
Ex-Div Date
5Y Avg Yield
Yield vs 5Y Avg
Payout 0.00%
P/E 26.07
Forward P/E 22.73
PEG 2.51
P/S 1.95
P/B 2.64
P/C
EV/EBITDA 15.25
EV/Sales 2.12
Quick Ratio 2.01
Current Ratio 2.68
Debt/Eq 27.38
LT Debt/Eq
EPS (ttm) 4.25
EPS next Y 4.88
EPS Growth 176.90%
Revenue Growth 19.10%
EPS Gr Q/Q 165.70%
Rev Gr Q/Q
Earnings (next) 2026-04-29
Earnings (prior) 2026-04-29
ROA 5.81%
ROE 10.73%
ROIC
Gross Margin 20.24%
Oper. Margin 9.16%
Profit Margin 7.66%
Shs Outstand 9.64M
Shs Float 9.32M
Insider Own 3.22%
Instit Own 88.30%
Short Float 2.90%
Short Ratio 1.77
Short Interest 239.59K
52W High 114.27
vs 52W High -3.04%
52W Low 37.99
vs 52W Low 191.66%
Beta 1.06
Impl. Vol. 59.17%
Rel Volume 0.76
Avg Volume 134.69K
Volume 102.39K
Target (mean) $99.00
Tgt Median $99.00
Tgt Low $90.00
Tgt High $108.00
# Analysts 2
Recom Hold
Prev Close $113.53
Price $110.80
Change -2.40%
About

NWPX Infrastructure, Inc., together with its subsidiaries, manufactures and sells water-related infrastructure products in the United States and Canada. It operates through two segments, Water Transmission Systems (WTS); and Precast Infrastructure and Engineered Systems (Precast). The WTS segment manufactures large-diameter, 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. Its products are also used for hydroelectric power systems, wastewater systems, seismic resiliency, and other 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, and other environmental and engineered solutions. It provides its products under the NWPX Geneva and NWPX Park brand names; and manufactures engineered water transmission systems and produces steel casing pipe, bar-wrapped concrete cylinder pipe, and pipeline system joints and fittings under the Northwest Pipe Company brand. In addition, the company provides solution-based products for various markets, including reinforced precast concrete products, lined precast sanitary sewer system structures, water distribution and management equipment including pump lift stations, wastewater pretreatment, and stormwater quality products. Further, it sells water infrastructure products 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.

Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus Mean price target
2. Current target Latest analyst target
3. DCF / Fair value Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$110.80
Low
$90.00
High
$108.00
Mean
$99.00

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2026-03-02 main DA Davidson Buy → Buy $90
2025-10-31 main DA Davidson Buy → Buy $70
2025-01-03 main Northland Capital Markets Market Perform → Market Perform $55
2024-11-01 down Northland Capital Markets Outperform → Market Perform $50
2024-08-02 main Northland Capital Markets Outperform → Outperform $50
2024-03-06 main DA Davidson Buy → Buy $40
2023-01-23 init Northland Capital Markets — → Outperform $55
2021-05-05 main Northland Capital Markets — → Outperform $38
2019-11-01 main DA Davidson — → Buy $37
2019-09-26 init Northland Capital Markets — → Outperform $35
2016-02-04 main Jefferies — → Hold $10
2015-05-07 main Jefferies — → Hold $23
2015-01-12 main Jefferies — → Hold $27
2014-12-10 main Jefferies — → Hold $31
2014-10-17 main DA Davidson — → Buy $48
2014-03-19 main Jefferies — → Hold $35
2013-11-06 main Jefferies — → Hold $33
2013-06-07 main Jefferies — → Hold $29
2013-03-18 main Jefferies — → Hold $30
2013-01-30 main Jefferies — → Hold $22
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2026-03-31 STOKES ERIC Officer 8,947
2026-03-31 KENDRICK MEGAN A Officer 5,904
2026-03-31 WRAY MICHAEL Officer 8,795
2026-03-31 TANGUIS JESUS Officer 2,093
2026-03-31 MONTROSS SCOTT J. Chief Executive Officer 28,372
2026-03-31 WILKINS AARON Chief Financial Officer 10,332
2026-03-31 BRITTAIN MILES Officer 10,332
2026-03-30 MONTROSS SCOTT J. Chief Executive Officer 2,056 $76.85 $158,004
2026-03-20 BRITTAIN MILES Officer 3,300 $70.89 $233,941
2026-03-16 MONTROSS SCOTT J. Chief Executive Officer 2,500 $71.44 $178,600
Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
526.00
+6.79%
492.55
+10.85%
444.36
-2.91%
457.67
Operating Revenue
526.00
+6.79%
492.55
+10.85%
444.36
-2.91%
457.67
Cost Of Revenue
422.37
+6.35%
397.14
+8.30%
366.71
-1.37%
371.81
Reconciled Cost Of Revenue
422.37
+6.35%
397.14
+8.30%
366.71
-1.37%
371.81
Gross Profit
103.64
+8.63%
95.41
+22.88%
77.64
-9.57%
85.86
Operating Expense
52.77
+11.89%
47.16
+7.71%
43.78
+6.70%
41.03
Selling General And Administration
52.77
+11.89%
47.16
+7.71%
43.78
+6.70%
41.03
Total Expenses
475.13
+6.94%
444.30
+8.24%
410.50
-0.57%
412.84
Operating Income
50.87
+5.44%
48.24
+42.49%
33.86
-24.46%
44.82
Total Operating Income As Reported
50.87
+5.44%
48.24
+42.49%
33.86
-24.46%
44.82
EBITDA
68.53
+2.12%
67.10
+34.37%
49.94
-19.48%
62.02
Normalized EBITDA
68.53
+2.12%
67.10
+34.37%
49.94
-19.48%
62.02
Reconciled Depreciation
19.44
+1.92%
19.07
+20.66%
15.81
-7.58%
17.10
EBIT
49.09
+2.20%
48.03
+40.71%
34.13
-24.01%
44.92
Net Income
35.41
+3.52%
34.21
+62.33%
21.07
-32.35%
31.15
Pretax Income
46.48
+9.69%
42.37
+44.71%
29.28
-29.19%
41.35
Net Non Operating Interest Income Expense
-2.61
+53.90%
-5.66
-16.58%
-4.86
-36.07%
-3.57
Interest Expense Non Operating
2.61
-53.90%
5.66
+16.58%
4.86
+36.07%
3.57
Net Interest Income
-2.61
+53.90%
-5.66
-16.58%
-4.86
-36.07%
-3.57
Interest Expense
2.61
-53.90%
5.66
+16.58%
4.86
+36.07%
3.57
Interest Income Non Operating
Interest Income
Other Income Expense
-1.78
-737.09%
-0.21
-177.17%
0.28
+184.54%
0.10
Other Non Operating Income Expenses
-1.78
-737.09%
-0.21
-177.17%
0.28
+184.54%
0.10
Tax Provision
11.07
+35.54%
8.16
-0.51%
8.21
-19.55%
10.20
Tax Rate For Calcs
0.00
+23.32%
0.00
-31.07%
0.00
+13.50%
0.00
Tax Effect Of Unusual Items
0.00
0.00
0.00
0.00
Net Income Including Noncontrolling Interests
35.41
+3.52%
34.21
+62.33%
21.07
-32.35%
31.15
Net Income From Continuing Operation Net Minority Interest
35.41
+3.52%
34.21
+62.33%
21.07
-32.35%
31.15
Net Income From Continuing And Discontinued Operation
35.41
+3.52%
34.21
+62.33%
21.07
-32.35%
31.15
Net Income Continuous Operations
35.41
+3.52%
34.21
+62.33%
21.07
-32.35%
31.15
Normalized Income
35.41
+3.52%
34.21
+62.33%
21.07
-32.35%
31.15
Net Income Common Stockholders
35.41
+3.52%
34.21
+62.33%
21.07
-32.35%
31.15
Diluted EPS
3.56
+4.71%
3.40
+62.68%
2.09
-32.80%
3.11
Basic EPS
3.62
+4.93%
3.45
+63.51%
2.11
-32.80%
3.14
Basic Average Shares
9.77
-1.43%
9.92
-0.75%
9.99
+0.78%
9.91
Diluted Average Shares
9.94
-1.28%
10.07
-0.15%
10.08
+0.69%
10.01
Diluted NI Availto Com Stockholders
35.41
+3.52%
34.21
+62.33%
21.07
-32.35%
31.15
Line Item Trend 2023-12-31
Total Assets
597.88
Current Assets
272.48
Cash Cash Equivalents And Short Term Investments
4.07
Cash And Cash Equivalents
4.07
Receivables
168.16
Accounts Receivable
47.65
Gross Accounts Receivable
47.77
Allowance For Doubtful Accounts Receivable
-0.12
Other Receivables
120.52
Inventory
91.23
Raw Materials
70.41
Work In Process
8.91
Finished Goods
11.91
Prepaid Assets
Other Current Assets
9.03
Total Non Current Assets
325.40
Net PPE
232.11
Gross PPE
358.47
Accumulated Depreciation
-126.36
Properties
0.00
Land And Improvements
25.06
Buildings And Improvements
54.04
Machinery Furniture Equipment
155.28
Construction In Progress
24.23
Other Properties
96.67
Leases
3.18
Goodwill And Other Intangible Assets
86.58
Goodwill
55.50
Other Intangible Assets
31.07
Other Non Current Assets
6.71
Total Liabilities Net Minority Interest
257.52
Current Liabilities
96.19
Payables And Accrued Expenses
59.05
Payables
31.14
Accounts Payable
31.14
Other Payable
Current Accrued Expenses
27.91
Pensionand Other Post Retirement Benefit Plans Current
Current Debt And Capital Lease Obligation
15.69
Current Debt
10.76
Other Current Borrowings
10.76
Current Capital Lease Obligation
4.93
Current Deferred Liabilities
21.45
Current Deferred Revenue
21.45
Other Current Liabilities
Total Non Current Liabilities Net Minority Interest
161.33
Long Term Debt And Capital Lease Obligation
139.77
Long Term Debt
54.48
Long Term Capital Lease Obligation
85.28
Non Current Deferred Liabilities
10.94
Non Current Deferred Taxes Liabilities
10.94
Other Non Current Liabilities
10.62
Stockholders Equity
340.36
Common Stock Equity
340.36
Capital Stock
0.10
Common Stock
0.10
Preferred Stock
0.00
Share Issued
9.99
Ordinary Shares Number
9.99
Treasury Shares Number
0.00
Additional Paid In Capital
129.09
Retained Earnings
212.12
Gains Losses Not Affecting Retained Earnings
-0.96
Other Equity Adjustments
-0.96
Total Equity Gross Minority Interest
340.36
Total Capitalization
394.85
Working Capital
176.29
Invested Capital
405.60
Total Debt
155.46
Net Debt
61.17
Capital Lease Obligations
90.22
Net Tangible Assets
253.78
Tangible Book Value
253.78
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
67.28
+22.22%
55.05
+2.99%
53.45
+204.76%
17.54
Cash Flow From Continuing Operating Activities
67.28
+22.22%
55.05
+2.99%
53.45
+204.76%
17.54
Net Income From Continuing Operations
35.41
+3.52%
34.21
+62.33%
21.07
-32.35%
31.15
Depreciation Amortization Depletion
19.44
+1.92%
19.07
+20.66%
15.81
-7.58%
17.10
Depreciation
15.40
+2.44%
15.04
+29.46%
11.62
-8.28%
12.66
Amortization Cash Flow
4.03
+0.00%
4.03
-3.75%
4.19
-5.61%
4.44
Depreciation And Amortization
19.44
+1.92%
19.07
+20.66%
15.81
-7.58%
17.10
Amortization Of Intangibles
4.03
+0.00%
4.03
-3.75%
4.19
-5.61%
4.44
Other Non Cash Items
7.65
+12.87%
6.78
-3.17%
7.00
+2548.60%
-0.29
Pension And Employee Benefit Expense
1.45
0.00
0.00
Stock Based Compensation
5.56
+9.94%
5.06
+37.83%
3.67
-0.81%
3.70
Deferred Tax
4.28
+191.40%
-4.68
-2623.26%
-0.17
-133.46%
0.51
Deferred Income Tax
4.28
+191.40%
-4.68
-2623.26%
-0.17
-133.46%
0.51
Operating Gains Losses
1.45
Change In Working Capital
-6.52
-21.03%
-5.38
-188.64%
6.07
+117.53%
-34.64
Change In Receivables
-2.39
+81.77%
-13.13
-145.22%
29.03
+251.83%
-19.12
Changes In Account Receivables
-12.38
+38.02%
-19.97
-183.99%
23.77
+222.89%
-19.35
Change In Inventory
5.48
-52.15%
11.46
+156.73%
-20.20
-77.54%
-11.38
Change In Prepaid Assets
2.45
+50.64%
1.63
+339.21%
-0.68
-120.14%
3.38
Change In Payables And Accrued Expense
-7.11
-3237.09%
-0.21
-107.52%
2.83
+137.67%
-7.52
Change In Accrued Expense
-1.07
-133.12%
3.23
+272.94%
-1.87
-10.13%
-1.70
Change In Payable
-6.04
-75.14%
-3.45
-173.28%
4.70
+180.74%
-5.83
Change In Account Payable
-6.04
-75.14%
-3.45
-173.28%
4.70
+180.74%
-5.83
Change In Other Current Liabilities
-4.95
+3.49%
-5.13
-4.50%
-4.91
Investing Cash Flow
-20.15
+2.85%
-20.74
-1.79%
-20.37
+11.62%
-23.05
Cash Flow From Continuing Investing Activities
-20.15
+2.85%
-20.74
-1.79%
-20.37
+11.62%
-23.05
Net PPE Purchase And Sale
-20.18
+2.99%
-20.80
-13.71%
-18.29
+19.88%
-22.83
Purchase Of PPE
-20.18
+2.99%
-20.80
-13.71%
-18.29
+19.88%
-22.83
Capital Expenditure
-20.18
+2.99%
-20.80
-13.71%
-18.29
+21.01%
-23.16
Net Business Purchase And Sale
0.00
0.00
+100.00%
-2.73
0.00
Purchase Of Business
0.00
0.00
+100.00%
-2.73
0.00
Net Intangibles Purchase And Sale
0.00
0.00
+100.00%
-0.33
Purchase Of Intangibles
0.00
0.00
+100.00%
-0.33
Net Other Investing Changes
0.03
-50.79%
0.06
-90.31%
0.65
+513.21%
0.11
Financing Cash Flow
-49.87
-49.42%
-33.38
-2.08%
-32.70
-627.87%
6.19
Cash Flow From Continuing Financing Activities
-49.87
-49.42%
-33.38
-2.08%
-32.70
-627.87%
6.19
Net Issuance Payments Of Debt
-29.06
-5.74%
-27.48
+8.50%
-30.04
-523.41%
7.09
Issuance Of Debt
155.77
-11.28%
175.57
+12.98%
155.40
-17.51%
188.39
Repayment Of Debt
-184.83
+8.97%
-203.06
-9.50%
-185.44
-2.28%
-181.30
Long Term Debt Issuance
155.77
-11.28%
175.57
+12.98%
155.40
-17.51%
188.39
Long Term Debt Payments
-184.83
+8.97%
-203.06
-9.50%
-185.44
-2.28%
-181.30
Net Long Term Debt Issuance
-29.06
-5.74%
-27.48
+8.50%
-30.04
-523.41%
7.09
Short Term Debt Issuance
Short Term Debt Payments
Net Short Term Debt Issuance
Net Common Stock Issuance
-18.35
-314.34%
-4.43
-526.45%
-0.71
0.00
Common Stock Payments
-18.35
-314.34%
-4.43
-526.45%
-0.71
0.00
Repurchase Of Capital Stock
-18.35
-314.34%
-4.43
-526.45%
-0.71
0.00
Net Other Financing Charges
-2.46
-67.96%
-1.46
+25.00%
-1.95
-116.89%
-0.90
Changes In Cash
-2.73
-391.16%
0.94
+142.64%
0.39
-43.42%
0.68
Beginning Cash Position
5.01
+23.08%
4.07
+10.51%
3.68
+22.82%
3.00
End Cash Position
2.27
-54.60%
5.01
+23.08%
4.07
+10.51%
3.68
Free Cash Flow
47.11
+37.53%
34.25
-2.59%
35.16
+726.14%
-5.62
Interest Paid Supplemental Data
2.47
-58.05%
5.88
+26.14%
4.66
+47.00%
3.17
Income Tax Paid Supplemental Data
9.02
+52.65%
5.91
-57.09%
13.77
SEC Filings

Recent 10-K, 10-Q, 8-K, and Form 4 (insider) filings.

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