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RPM · Rpm International Inc/De/

Track RPM — free
Market Cap
$12.57B
Shares
127.74M

Price & Indicators

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20d MA 50d MA 200d MA Earnings Filing Insider Congress Investor day
Close$98.37 Open$98.39 Day$97.88–99.08 52W close$93.23–124.06 Avg vol 30d1.4M Short int4.0M · 3.2% float · 2.0d Short vol36% Last earningsJul 22, 2026 DataJan 2020–Sep 2026 Filing10-K · Jul 22

Up next

Next earnings call
Oct 25, 2026 Est · unconfirmed · in 5 wks
filed Jul 22, 2026

Metrics snapshot

Useful current figures from the complete screener profile.

Revenue (TTM)
$7.86B
Trailing 12 months
Net income (TTM)
$660.89M
Trailing 12 months
Revenue growth YoY
+7.2%
Year over year
Operating margin
Trailing 12 months
P / E (TTM)
19.0
Trailing earnings · reciprocal yield 5.3%
FCF yield
5.4%
TTM · current market cap
Return on invested capital
Trailing 12 months
Net cash
Latest balance sheet
Dividend yield
Trailing 12 months
Shares change YoY
-0.5%
Year over year · fewer shares
Price change (1Y)
-20.7%
Trailing year
Short interest
3.2%
Latest settlement · 2.0 days to cover
View all 115 metrics

Equibles Rating

blended score · not investment advice
Overall
Sell
SellHoldBuy
Technical Sell Momentum Very Weak Sentiment Neutral Fundamentals Strong Quant / Vol Moderate
Market backdrop VIX 14.8 · calm Equity put/call 0.58
Technical
price trend
Sell
50 / 200-day cross No cross
Price vs 200-day avg −7%
below
Price vs 50-day avg −8%
below
RSI (14) 33
neutral
MACD trend Negative
52-week position 17%
mid-range
Volume (OBV) Confirms
volume backs price
Momentum
relative strength
Very Weak
1-month return −11%
trailing
6-month return +1%
trailing
YTD return −5%
this year
Relative strength −19%
vs S&P · 6-mo
Sentiment
smart money
Neutral
Trend (MA cross) No cross
50d $107 › 200d $106 — 50d above 200d
Institutional flow Accumulating
+5% holders QoQ · +100 funds added
Insider flow Flat
No net insider activity over 90 days
Short interest Rising
3.16% of float · ▲ +10.0% MoM · 2.0 days cover
Volume signal Normal
Volume near normal
Institution breadth Multi-yr high
798 holders — near 3-yr high, broad support
Squeeze score 44
elevated · 0–100
Fundamentals
Strong
Revenue growth +7%
Y/Y
Gross margin 61%
contracting
EPS growth −3%
Y/Y
Valuation P/E 19
below peers
Buyback $114.8M
remaining
Balance sheet $2.2B
net debt
Quant / Vol
risk profile
Moderate
Volatility 29%
annualized · 1-yr
Max drawdown −25%
past year
ATR 2.7%
of price · 14-day

Blended from price, momentum, positioning, fundamentals & volatility · daily-close · not investment advice. Market backdrop is context, not part of the score.

Guidance & track record

Latest guidance · from the 8-K filed Jul 22, 2026
Consolidated sales · fiscal 2027 Initiated 3% – 7%
Prior guidance period ended · from the Earnings Call filed Jul 26, 2021
Construction Products Group sales · the quarter 9% – 12%
Pricing effect · Q1 5% – 6%
Capital expenditures (CapEx) · fiscal 2022 $220M
MAP to Growth incremental savings · this fiscal 2022 $50M
Non-operating costs per quarter · fiscal '22 $25M – $30M

Guidance from company 8-Ks · delivered figures from as-reported statements · no analyst estimates involved.

Technicals

trend & momentum for long-term holders Sell
3 · 4 · 0
50 / 200-day cross
No cross Neutral
Price vs 200-day avg
−7% Bearish
Price vs 50-day avg
−8% Bearish
RSI (14)
33 Neutral
MACD trend
Negative Bearish
52-week position
17% Neutral
Volume (OBV)
Confirms Neutral
Market signals — smart money & positioning
Bullish · 2 of 6
Trend (MA cross) No cross
50d $107 › 200d $106 — 50d above 200d
Institutional flow Accumulating
+5% holders QoQ · +100 funds added
Insider flow Flat
No net insider activity over 90 days
Short interest Rising
3.16% of float · ▲ +10.0% MoM · 2.0 days cover
Volume signal Normal
Volume near normal
Institution breadth Multi-yr high
798 holders — near 3-yr high, broad support
Price context
position in its 52-week range
Range low $93 Now $98 · 17% Range high $124
vs 200-day avg -7% vs 50-day avg -8%

Illustrative technical + ownership context — a signal mix, not investment advice.

Key metrics

Earlier KPI extraction records exist, but do not meet the current evidence-completeness requirements. No current verified series is available. Earlier figures remain withheld until revalidated; this is not evidence that the company reports no KPIs.

Versus peers

Specialty Chemicals — same industry group
Open screener →
Company Mkt cap YTD Rev growth Y/Y P/E Short % shares
RPM
Rpm International Inc/De/
this stock
$12.57B -5.4% +7.3% 19.0 3.2%
LIN
Linde PLC
$212.24B +8.0% +3.0% 29.7 1.2%
AIQUF
L Air Liquide SA /Fi
$123.17B +0.0% 0.0%
SHW
Sherwin Williams Co
$77.86B -1.0% +2.1% 29.6 2.9%
ECL
Ecolab Inc.
$76.94B +2.6% +2.2% 36.8 1.7%

Peers by industry group · P/E from as-reported trailing EPS · short % is of shares outstanding

At a glance

key data from every section
Ownership
Institutional Holders Accumulating
Holders
798
% held
85.2%
Net QoQ
+2.8M sh
Top holder
BlackRock, Inc.
Held Float
View
Held by Funds
Fund positions
491
View
Short & Settlement
Short Interest Rising
Shares short
4.0M
Days to cover
2.0d
Change
+365.6K sh
View
Short Volume
Short vol %
36%
As of
Sep 21, 2026
Short Total
View
Fails to Deliver
FTD shares
8.2K
Value
$961.2K
As of
Aug 12, 2026
View
Off-Exchange
Off-exchange %
45.5%
Week of
Aug 17, 2026
Off-exch Lit
View
Smart Money
Congressional Trades Buy
Member
David J. Taylor
Amount
$1.0K–$15.0K
Traded
Mar 12, 2026
View
Financials
Financials
Revenue (FY)
$7.9B
Net income (FY)
$661.4M
EPS diluted
$5.17
View
Buybacks
Remaining
$114.8M
View
Filings
SEC Filings
Latest
DEF 14A
Filed
Aug 25, 2026
This year
10
View
Proposed Sales
Value
$379.6K
Shares
3.4K
Filed
Jan 21, 2026
View
Earnings & Events
Earnings Calls
Last call
Jul 22, 2026
View

Performance

5D 20D 120D MTD YTD
RPM -1.8% -10.8% +0.8% -5.5% -5.4%
SPY -0.3% -0.1% +20.1% -0.7% +11.7%
vs SPY -1.5% -10.7% -19.3% -4.8% -17.1%

Capital returns

Buyback program · as of May 31, 2026
Authorized
Spent (derived)
Remaining
$114.80M

Dividends per share over the trailing 365 days by ex-date · buyback figures as last reported in SEC filings ("spent" derived as authorized − remaining; when several programs run concurrently, authorized is their combined total per the newest filing) · components shown separately — trailing-year buyback spend isn't tracked, so no combined shareholder yield is derived.

Key facts CIK 110621 CUSIP 749685103 13F (30d) 19 filings 15 filers Visit website Investor relations