RPM International
NYSE:RPM
$ 98,37
$-0,47 (-0,48%)
98,37 $
$-0,47 (-0,48%)
End-of-day quote: 03/26/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$5,30
Earnings Per Share
$57,43
Revenue Per Share
41,38%
Gross Margin %
$12,60 B
Market Cap
$2,62 B
Long-Term Debt
Earnings Per Share
$5,30
Revenue Per Share
$57,43
Gross Margin %
41,38%
Market Cap
$12,60 B
Long-Term Debt
$2,62 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $5,30 $4,94 $4,30 $3,66 $4,16 $3,07 $2,71 $2,92 $2,47 $2,63 $2,38 $2,18 $1,82 $1,64 $1,45 $1,45 $1,05 $1,81 $1,57 $1,35
Earnings Earnings $680,41M $636,27M $554,92M $472,18M $539,84M $398,67M $351,43M $389,76M $330,07M $350,13M $317,56M $291,05M $241,81M $216,32M $190,12M $188,53M $135,37M $235,63M $190,25M $160,42M
RPS Revenue Per Share $57,43 $56,95 $56,23 $51,99 $47,05 $42,41 $42,91 $39,87 $37,10 $36,16 $34,43 $32,78 $30,70 $28,64 $25,79 $26,25 $26,13 $27,99 $27,55 $25,32
Revenue Revenue $7,37B $7,34B $7,26B $6,71B $6,11B $5,51B $5,56B $5,32B $4,96B $4,81B $4,59B $4,38B $4,08B $3,78B $3,38B $3,41B $3,37B $3,64B $3,34B $3,01B
OCF Operating Cash Flow $768,19M $1,12B $577,11M $178,73M $766,16M $549,92M $292,94M $390,38M $386,13M $474,71M $330,45M $278,15M $368,45M $294,87M $238,17M $203,94M $267,00M $0,00M $213,93M $0,00M
FCF Free Cash Flow $538,26M $908,34M $322,67M $-43,67M $608,96M $402,16M $156,18M $275,76M $260,02M $357,52M $245,09M $184,36M $277,09M $223,26M $198,34M $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 12,44% 12,07% 10,50% 9,77% 11,93% 10,31% 9,58% 10,44% 10,48% 11,46% 10,64% 11,10% 9,88% 10,23% 10,12% 9,53% 8,22% 10,42% 10,17% 9,93%
GM % Gross Margin % 41,38% 41,10% 37,87% 36,27% 39,41% 38,37% 37,75% 38,60% 43,68% 43,36% 42,25% 42,86% 41,84% 40,83% 41,42% 42,06% 40,17% 41,13% 40,75% 41,46%
FCFS Free Cash Flow Per Share $4,22 $7,11 $2,53 $-0,34 $4,75 $3,13 $1,20 $2,10 $1,99 $2,76 $1,89 $1,42 $2,15 $1,74 $1,56 $1,42 $1,68 $1,36 $1,12 $1,06
LT Debt Long-Term Debt $2,61B $1,98B $2,51B $2,08B $2,38B $2,46B $1,97B $2,17B $1,84B $1,64B $1,65B $1,35B $1,38B $1,12B $1,13B $925,72M $784,03M $1,07B $886,42M $870,42M
Sha. Stocks 128,38M 128,8M 129,05M 129,01M 129,77M 129,86M 129,68M 133,48M 133,63M 133,13M 133,43M 133,51M 132,86M 131,9M 131,12M 130,02M 128,92M 130,18M 121,18M 118,83M
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