rpm stock: RPM International Inc. Overview
RPM International Inc. (NYSE: RPM)
rpm stock refers to the publicly traded company RPM International Inc., ticker symbol RPM, listed on the New York Stock Exchange (NYSE). This guide explains what rpm stock is, why it matters to investors, the company's business model and brands, key financial and market metrics (date-stamped), recent corporate developments, risks, and how to follow official disclosures. Readers will finish with practical reference points and next steps for further research, including Bitget resources for market monitoring and wallet management.
Company overview
RPM International Inc. is a manufacturer of specialty coatings, sealants and building materials serving industrial, commercial and consumer markets. Founded in 1947 and headquartered in Medina, Ohio, RPM has grown through a mix of organic expansion and acquisitions. The company operates a portfolio of well-known brands across restoration, construction and protective coatings.
Notable brands historically associated with RPM include Rust-Oleum, Tremco, DayGlo, and consumer-facing cleaning and restoration products such as The Pink Stuff. RPM organizes its operations to serve professional contractors, industrial customers and retail consumers worldwide.
As a widely followed industrial name, rpm stock is often referenced by income investors for its long history of dividend increases and by value/growth investors for its M&A-driven strategy and margin profile.
Business segments and operations
RPM reports results through several operating groups that reflect different end markets and product types. The main segments are:
- Construction Products Group: Products for building envelope, joint sealants, roofing systems and building restoration used by contractors and building owners.
- Performance Coatings Group: Industrial and protective coatings for infrastructure, automotive refinish and industrial markets.
- Consumer Group: Retail-branded maintenance, home improvement and repair products sold through mass merchants and specialty retailers.
- Specialty Products Group: Mixed specialty chemicals and niche products often sold to industrial customers.
Geographic footprint: RPM sells globally, with North America the largest market followed by Europe and other international regions. Distribution channels include direct sales to contractors and industrial buyers, third-party distributors, and retail store shelves for consumer brands.
Customer mix and distribution are important for analyzing rpm stock because shifts in construction cycles, industrial demand or retail trends can affect revenue and margins differently across segments.
Stock information
- Ticker / Exchange: RPM (NYSE)
- Typical US trading hours: 09:30–16:00 ET (regular session)
| Market capitalization (approx.) | ~$14.2 billion (as of 2026-01-26) | Yahoo Finance / Morningstar |
| Shares outstanding (approx.) | ~190 million (as of 2026-01-26) | RPM investor relations / SEC filings |
| Dividend yield (trailing) | ~1.9% (as of 2026-01-26) | Morningstar |
| 52-week range (example) | $66.00 – $92.00 (as of 2026-01-26) | CNBC / Yahoo Finance |
Note: Numerical values above are presented as approximate and date-stamped because market-level metrics for rpm stock change frequently. For authoritative figures always check RPM’s official investor relations and major financial platforms.
Share structure
RPM trades as a single class of common stock with no public dual-class structure. Float and shares outstanding can change through share repurchases or issuance tied to acquisitions and employee compensation.
- As of the most recent public statements, RPM had modest share-reduction activity via buybacks in prior fiscal years. Share count trends are disclosed in the company’s quarterly filings and investor presentations.
If you analyze rpm stock, track the company’s Form 10-Q / 10-K for exact outstanding shares and any authorization for repurchases.
Historical price performance
Over multi-year horizons, rpm stock has shown steady total-return performance driven by dividend growth and earnings expansion in many periods. Key points to consider:
- Long-term holders have benefited from a combination of dividends and capital appreciation, particularly during periods of strong industrial demand or when acquisitions added scale and pricing power.
- The stock can be cyclical with sensitivity to construction and industrial capital spending cycles.
52-week and notable milestones
- As of 2026-01-26, notable intraday or 52-week highs and lows reported by major platforms included a range around $66–$92 (source: Yahoo Finance, CNBC). These figures are examples; consult live market data for current ranges.
Recent price trends
Short- to medium-term performance of rpm stock can react to quarterly earnings, guidance changes, commodity or input-cost volatility, and announced acquisitions. Technical indicators commonly discussed for short-term trend-followers include moving averages (50-day, 200-day) and volume spikes associated with earnings or news.
- Investors following rpm stock often watch how the shares trade around earnings releases and major acquisition announcements.
Financial performance
RPM’s financial profile is characterized by diversified revenue streams across end markets, generally consistent gross margins in its specialty products, and a strategy that combines organic R&D and pricing with acquisitions to grow scale.
- Revenue trends: RPM historically posts mid-single-digit organic growth in stable years, with acquisitions contributing to higher headline revenue growth in certain periods.
- Profitability: Gross margins and operating margins vary by segment; specialty and performance coatings tend to have higher margins than commodity building materials.
截至 2026-01-26,据 RPM investor relations 报道,RPM’s most recent quarterly results showed year-over-year revenue and operating-margin figures aligned with management guidance for the period (source: RPM investor relations / latest 10-Q). For exact revenue and net income figures see the company’s filings.
Key financial statements (what to review)
- Income Statement: Revenue by segment, gross profit, operating income, interest expense and net income. Check trends in organic revenue versus acquisition-driven revenue.
- Balance Sheet: Cash and equivalents, receivables, inventories, long-term debt and shareholder equity. Debt levels and leverage ratios matter for acquisition-fueled companies like RPM.
- Cash Flow Statement: Operating cash flow, capital expenditures, and free cash flow. Strong cash generation supports dividends and buybacks—which are central to rpm stock’s shareholder-return profile.
Key ratios and valuation metrics
Common metrics investors use for rpm stock include:
- Price-to-Earnings (P/E) ratio (trailing and forward)
- Price-to-Book (P/B)
- Price-to-Sales (P/S)
- EV/EBITDA
- Return on Equity (ROE)
- Dividend yield and payout ratio
截至 2026-01-26,据 Morningstar 和 Yahoo Finance 报道,rpm stock traded at an approximate trailing P/E near 20 and an EV/EBITDA around 12 (approximate figures; verify on publication date). Analysts’ valuation calls vary; some view RPM as reasonably valued given steady margins and dividend history while others highlight cyclicality and integration risk.
Dividends and shareholder returns
Dividend policy and history:
- RPM has a long record of dividend increases, with many consecutive years of raises that attract income-oriented investors.
- Dividend yield is modest (around 1.9% as of 2026-01-26, source: Morningstar) but historically complemented by share buybacks and total return.
- The company may offer a Dividend Reinvestment Plan (DRIP) through brokers; check broker-specific details for RPM.
Share buybacks:
- RPM has periodically authorized repurchase programs to return capital. These programs reduce outstanding shares over time and can support EPS growth, which influences rpm stock valuation.
For precise dividend rates, payment dates and payout policies, consult RPM’s investor relations press releases and the latest 10-Q / 10-K filings.
Ownership and major shareholders
Institutional ownership typically represents a significant portion of rpm stock, with large mutual funds, pension funds and ETFs holding positions as reported in 13F filings. Insider holdings by executives and board members are also disclosed in proxy statements and Form 4 filings.
- Aggregate institutional ownership levels and the identity of top holders (e.g., large asset managers) are available through platforms that track institutional filings and through RPM’s investor disclosures.
高占比的机构持股可能带来稳定性,但也可能在市场调整时放大流动性影响。追踪近几期的13F和代理声明是理解所有权结构的好方法。
Analyst coverage and market sentiment
Analyst coverage of rpm stock comes from a mix of sell-side research and independent equity analysts. Typical outputs include Buy/Hold/Sell recommendations, consensus price targets, and earnings estimates.
截至 2026-01-26,据 CNBC / The Motley Fool 报道,analyst sentiment on rpm stock was mixed-to-positive with a distribution of Buy and Hold ratings and a consensus target reflecting moderate upside from the trading level (source: CNBC; The Motley Fool). Exact rating counts and price targets change frequently—consult current coverage on major financial platforms.
Sentiment indicators to watch:
- Analyst revisions to EPS or revenue estimates around each quarter
- Insider buying or selling disclosed in Form 4s
- Short interest trends which can influence short-term volatility in rpm stock
Corporate actions and recent developments
RPM pursues both organic projects and acquisitions to build scale and fill product or geographic gaps. Recent company activity often includes:
- Acquisitions of specialty brands or businesses to expand product portfolios or enter new niches
- Divestitures when non-core assets are sold
- Capital allocation actions (dividend increases, buyback authorizations)
- Management updates or changes to the executive team
截至 2026-01-26,据公司公告与公开报道,RPM completed acquisitions and integration efforts in recent quarters aimed at strengthening its consumer and performance coatings footprint (source: RPM investor relations; WallStreetZen). For a list of recent deals and dates, consult RPM’s press releases and SEC filings.
When tracking rpm stock, watch the stated rationale for acquisitions (cost synergies, cross-selling), the purchase price and how the company finances deals (cash, debt, share issuance).
Risks and considerations for investors
Investing in rpm stock carries company-specific and market risks. Key considerations include:
- Leverage and debt levels: Acquisition activity can increase leverage. Monitor debt-to-EBITDA and interest coverage ratios from the balance sheet.
- Input-cost pressure: Raw material or energy cost swings can compress margins in coatings and construction materials.
- Integration risk: M&A-driven growth depends on successful operational integration and realization of synergies.
- Regulatory and environmental risk: Chemical and coatings manufacturers face compliance costs and potential remediation liabilities.
- Cyclicality: Construction and industrial markets are cyclical; economic downturns can reduce demand and hurt rpm stock performance.
These risks are not exhaustive. Investors should review the company’s risk disclosures in periodic filings for a detailed list.
Comparative positioning and competitors
RPM competes with larger paints and coatings companies and several specialty chemical firms. Notable peers in related sectors include large national and multinational coatings firms and specialty chemical suppliers whose performance provides context for rpm stock.
Competitive strengths:
- Diversified brand portfolio across consumer and industrial markets
- History of M&A that builds scale and distribution
- Track record of dividend increases appealing to income investors
Potential weaknesses:
- Exposure to commodity and raw material cost swings
- Integration risk from frequent acquisitions
- Lower visibility in cyclical end-markets compared to some peers
Relative valuation and margin comparisons with peers are helpful when assessing whether rpm stock is attractively priced.
Investing thesis and valuation outlook
Common bullish arguments for rpm stock:
- Consistent free cash flow and a long history of dividend growth
- Acquisition strategy that has expanded margins and product breadth
- Diversification across end-markets that smooths revenue cycles
Common bearish arguments:
- Acquisition integration risk and potential for overpaying for targets
- Margin pressure from rising input costs or competitive pricing
- Cyclical demand sensitivity in construction and industrial markets
Valuation approaches for rpm stock often rely on discounted cash flow (DCF) models, peer multiples (P/E, EV/EBITDA) and dividend-discount perspectives given RPM’s steady payout history.
Corporate governance and management
RPM’s governance framework includes a board of directors, committees for audit, compensation and governance, and a management team led by the CEO. Governance disclosures, executive compensation details and board composition are available in the annual proxy statement (DEF 14A).
Investors tracking rpm stock should review the proxy for director qualifications, shareowner voting results and any governance concerns that could affect long-term value.
Investor relations and reporting
Where to find primary information on rpm stock:
- RPM corporate investor relations site for press releases, presentations and webcasts
- SEC filings (Form 10-Q, 10-K, 8-K, Proxy) for audited financials and material events
- Quarterly earnings calls and investor day presentations for management commentary and guidance
截至 2026-01-26,据 RPM investor relations 报道,公司按季度披露业绩并维护一套可供投资者下载的财务文件与演示材料(source: RPM investor relations)。
For real-time market quotes and analyst coverage summaries consult financial data platforms and broker research. To execute trades or monitor holdings, investors can use trading platforms and custodial services—Bitget can be used to track market news and manage crypto-backed research tools; for web3 wallet use and tokenized asset utilities, consider Bitget Wallet.
See also
- Specialty chemicals sector overview
- List of NYSE-listed industrial companies
- Dividend growth investing
References
- RPM investor relations and SEC filings (10-K, 10-Q) — company disclosures (date-stamped in filings)
- Yahoo Finance — rpm stock quote and metrics (as of 2026-01-26)
- Morningstar — RPM valuation and dividend data (as of 2026-01-26)
- CNBC markets coverage — RPM stock overview and 52-week range (as of 2026-01-26)
- WallStreetZen / Simply Wall St / The Motley Fool — stock reports and commentary (referenced where noted)
截至 2026-01-26,据 Yahoo Finance 报道,market-level figures and analyst summaries were published on major financial platforms; consult the cited sources for live updates.
Further exploration and next steps
If you want to track rpm stock more closely:
- Review the latest RPM 10-Q / 10-K for exact revenue, EPS, debt and share counts.
- Watch the next quarterly earnings release and management commentary for guidance updates.
- Use Bitget’s market tools to monitor newsflow and set alerts; secure research notes in Bitget Wallet for cross-device access.
Explore more on Bitget to monitor market data, manage research and store credentials in Bitget Wallet. For any trading or custody actions, verify availability of US equities and related services on your Bitget account and regional offering.
(免责声明:本文为信息性内容,不构成投资建议。请以公司公告与监管文件为准。)




















