Educational research only—not investment advice or a recommendation. Scores and estimates may use delayed, incomplete, restated, or corrected market and filing data. Independently verify information before making an investment decision.
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RPM International Inc. provides specialty chemicals for the construction, industrial, specialty, and consumer markets. It operates in four segments: CPG, PCG, Consumer, and SPG. The company offers waterproofing, coating, and traditional roofing systems; sealants, air barriers, tapes, and foams; residential home weatherization systems; roofing and building maintenance services; sealing and bonding, subfloor preparation, flooring, and glazing solutions; resin flooring systems, polyurethane, MMA waterproof, epoxy floor paint and coatings, concrete repair, and protection products; fire stopping and intumescent steel coating, and manufacturing industry solutions; and rolled asphalt roofing materials and chemical admixtures.
Product / operating segments
Construction Products Group SegmentUSD 3.07B
Consumer SegmentUSD 2.66B
Performance Coatings Group SegmentUSD 2.13B
Geographic revenue
UNITED STATESUSD 5.52B
EuropeUSD 1.22B
CANADAUSD 513.73M
Latin AmericaUSD 304.98M
Asia PacificUSD 178.92M
Other Foreign CountryUSD 121.93M
Wall Street Score
Overall investment score · Quality, value, risk and opportunity
41
Weak
PoorElite
View category scores →
Company Quality
How good is the actual business—regardless of today’s stock price?
72
Strong
Financial Strength
70
Business Quality / Moat
76
Management
90
Growth Quality
34
Risk / Durability
86
Great Company · Expensive Stock
Uses financial strength, moat, management, growth quality and durability. It excludes share price, P/E, market cap, intrinsic value and margin of safety.
Opportunity
Opportunity Score · How does the current price compare with estimated value?
40
Avoid
Based on current valuation, company quality, recent trends, and available market signals.
View score details →
Model Outlook
12-month model · What does the model think happens next?
50/100
Building Historical Record
Model Score 50/100 — estimates relative performance potential, distinct from the overall Wall Street Score and the separate Company Quality score.
Probability unavailable — the model has not produced a calibrated probability yet.
Click for full breakdown →
WSS View
The quick read
The overall Wall Street Score is low across its combined quality, valuation and risk inputs. This can reflect an expensive share price, business weaknesses, or both; check Company Quality and the category breakdown before drawing a conclusion.
At today’s price, the WSS valuation framework currently reads as less attractive based on the available valuation and market data.
The model outlook is currently cautious.
What we like
•Recent buyback activity is present
What to watch
•M&A headline · Oct 1, 2026
•M&A headline · Sep 23, 2026
•Valuation is a weaker part of the current profile
•Revenue fundamentals are weak
Company-specific research
Questions worth answering for RPM
Research inputs 100% complete
These questions are generated from this company's current financial and score data so the page adds context instead of treating the headline score as a stand-alone conclusion.
•Can RPM maintain its current revenue growth rate and improve the amount of that revenue that turns into earnings and cash?
•Is RPM's positive free cash flow repeatable, or is the current level being helped by temporary working-capital or spending changes?
•Is RPM's debt load manageable relative to cash generation, interest costs and upcoming maturities?
•What future growth or profitability would be needed to justify RPM's current valuation?
Two different market-behavior signals. Momentum measures direction and trend strength. Volatility measures how large and unstable the price moves are, regardless of direction.
A high momentum score means price has been trending upward with confirming short- and medium-term strength. A low score means downward or weakening momentum.
Volatility = How violently is it moving?
A high volatility score means larger, less stable price swings. It can happen while a stock is rising or falling, so high volatility is not automatically bullish or bearish.
Important: the volatility score above is based on realized price volatility. Implied volatility (IV) comes from options prices and represents the market's expected future movement. Wall Street Score will keep IV separate and will only display it when a verified options-chain feed is available.
Notices for RPM
Detected from reported data — verify before acting.
Dividend history reported
The provider reports a dividend yield. Confirm the latest declaration before treating it as a current payment.
Historical repurchase activity
Reported cash flows or share-count measures indicate past repurchase activity. This does not verify an active buyback authorization or future purchases.
M&A headline · Oct 1, 2026
RPM Completes Acquisition of Volteco — This is a provider-linked headline, not an independently confirmed event. Check the article and company filings for the subject, proposed/completed status, and subsequent updates.
RPM Announces Acquisition of Volteco — This is a provider-linked headline, not an independently confirmed event. Check the article and company filings for the subject, proposed/completed status, and subsequent updates.
+Growth opportunities may come from revenue expansion, margin improvement, new products, market-share gains, and stronger cash flow.
+Positive free cash flow may provide capacity to invest in growth.
Potential downside factors
−Key risks may include competition, margin pressure, debt levels, valuation risk, and changes in demand within the Chemicals - Specialty industry.
These research factors come from saved company research and financial data, not community votes. They are starting points to verify against filings, not buy or sell recommendations.
Create a free account to make a call.
Scores
Click any score for full breakdown
Wall Street Score
Weak41/ 100
Weak (0–50)Fair (51–71)Strong (72+)
Debt
Strong
70
Debt Cost3.9%
Debt Reduction YoY3.0%
Debt / Equity0.87x
Tap for breakdown →
Revenue
Poor
19
Revenue YoY1.3%
Revenue CAGR3.5%
Net Margin8.7%
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Asset
Fair
50
Asset Growth YoY7.3%
Liquidation/Share$27.29
Net Assets/MCap0.60x
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Capital
Poor
34
Earnings Yield5.5%
Buyback Yield0.6%
Debt Cost3.9%
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Management
Elite
90
ROIC18.0%
ROE19.8%
ROA8.4%
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Moat
Strong
76
EPS Growth7.0%
FCF/Share Growth17.6%
Rev/Share Growth5.5%
Tap for breakdown →
Valuation
Poor
22
Intrinsic Value$75.63
Value Reference$45.38
MOS-0.3%
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Buffett
Fair
56
Revenue19
Moat76
Valuation22
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MOS
Poor
0
MOS %-0.3%
Value Reference$45.38
Deep Discount Reference$30.25
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Financial
Poor
32
Interest Coverage8.3x
ROIC18.0%
FCF Yield5.4%
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Master
Poor
33
Financial32
Valuation22
Debt70
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Resilience
Fair
50
Survival Years0.3 yrs
Current Ratio1.68x
FCF Margin0.1%
Tap for breakdown →
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Score Changes
5 historical score records available
Previous Score
41
Oct 7, 2026
Change
Unchanged
Current Score
41
Oct 8, 2026
Category Changes
Revenue0
Debt0
Assets0
Capital0
Management0
Moat0
Valuation0
Buffett0
RPM score was unchanged.
Projected Score
Projected Score
46
Projected Change
+5.2%
Preliminary comparable-period financial changes suggest improvement of approximately 5.2 points. This is a projected estimate, not the official WallStreetScore.
Monetary values in USD. Share counts in raw units.
Income StatementBalance SheetCash Flow
AnnualQuarterlyTTM + Annual
All rows
Free includes 3 annual periods plus available TTM; Premium includes up to 10 annual periods. History depends on available company filings. Swipe the table horizontally to see older periods. A dash means unavailable, not zero.
Line Item
TTM
2026
2025
2024
2023
2022
2021
2020
2019
2018
2017
Revenue
$7.97B
$7.86B
$7.37B
$7.34B
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Cost of Revenue
$4.69B
$4.61B
$4.32B
$4.32B
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Gross Profit
$3.28B
$3.26B
$3.05B
$3.01B
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Research & Development
$0.00
$0.00
$94.7M
$92.2M
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SG&A Expenses
$2.28B
$2.29B
$2.04B
$2.04B
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Operating Expenses
$2.28B
$2.33B
$2.14B
$2.13B
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EBITDA
$1.27B
$1.20B
$1.08B
$1.08B
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Operating Income
$995.5M
$923.5M
$906.3M
$883.3M
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Interest Expense
$107.8M
$111.5M
$96.5M
$118.0M
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Income Before Tax
$909.3M
$870.3M
$792.8M
$787.8M
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Income Tax Expense
$219.2M
$207.9M
$102.4M
$198.4M
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Net Income
$690.1M
$661.4M
$688.7M
$588.4M
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Basic EPS
$5.43
$5.19
$5.38
$4.58
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Basic Shares
127M
127M
128M
128M
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Diluted Shares
127M
128M
128M
128M
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Government disclosed trading activity is available on the Smart Money directory. Filings may be delayed and may not represent complete current holdings.
Dividend HistoryShare
Dividend History
A dividend is reported, but detailed payment history is temporarily unavailable or awaiting refresh.
Predictions & Historical PerformanceShare
Conservative Projected Values
3 Years
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Premium
5 Years
$———.——
Premium
10 Years
$———.——
Premium
Conservative Projection Rate
——%
Premium
Conservative Projected Values — price projections derived from actual 10-year adjusted historical returns, conservatively adjusted and capped at 8% annually. These are distinct from the Outperformance Model Score and WallStreetScore.
Conservative Projected Values
Premium unlocks the 3-year, 5-year, and 10-year conservative projected values with full calculation breakdowns based on actual historical returns.