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RPM International Inc. is a global industrial company that operates in the specialty coatings, roofing, and consumer products segments. Its stock is listed on the New York Stock Exchange (NYSE) under the ticker symbol RPM.
RPM International has a market capitalization of over $24 billion, indicating a strong presence in the global market. The company's revenue has consistently grown over the years, reaching $6.4 billion in 2020.
RPM International's financial performance is characterized by stable earnings and a strong cash flow generation. The company has a debt-to-equity ratio of 0.56, indicating manageable debt levels.
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Financial Performance
RPM International's revenue in 2024 was $7.34 billion, a 1.09% increase from the previous year.
The company's earnings were $585.77 million, a significant increase of 22.92% compared to the previous year.
RPM International's current share price is $126.45, which is a 1.86% increase in the last month.
The 52-week high for RPM International's share price was $141.79, while the 52-week low was $103.63.
Here's a breakdown of RPM International's performance over the past few years:
This impressive growth is a testament to the company's strong performance and strategic management.
Stock Performance
RPM stock has shown a remarkable performance over the years, with a 5-year change of 73.60%. This is a testament to the company's strong fundamentals and ability to adapt to changing market conditions.
The 1-year change in RPM stock price is 16.85%, which is a significant increase compared to the previous year. This suggests that the company's financial performance has been improving, leading to an increase in its stock price.
RPM's current share price is $126.45, which is 25.1% below its estimated fair value. This indicates that the stock may be undervalued, making it an attractive option for investors.
Here are the key performance metrics for RPM stock over the past few years:
RPM's stock price has been volatile in the short term, with a 1-month change of 1.86% and a 3-month change of -1.79%. However, the company's long-term performance has been consistently strong, making it a great option for investors looking for a stable and growing stock.
Valuation and Liquidity
The valuation of RPM stock is a crucial aspect to consider when making investment decisions. RPM's current P/E ratio is 25.28.
The stock's price to sales ratio is 1.961, indicating that investors are willing to pay a premium for each dollar of sales generated by the company. This ratio can be useful for comparing RPM's valuation to that of its peers.
RPM's enterprise value to EBITDA ratio is 15.766, which may be considered high by some investors. This ratio can help investors assess the stock's value relative to its earnings.
Liquidity
Liquidity is a crucial aspect of valuation, as it directly affects the price of an asset. Liquidity refers to the ease with which an asset can be converted into cash without significantly affecting its price.
High liquidity is often associated with assets that are widely traded, such as stocks and bonds. This is because they can be easily bought or sold on public markets.
Low liquidity, on the other hand, is often found in illiquid assets like real estate or art, which can take time to sell and may result in a lower price.
A company's liquidity can be measured by its current ratio, which is calculated by dividing its current assets by its current liabilities.
Valuation
Valuation is a crucial aspect of understanding a company's financial health and potential. The current P/E ratio of RPM is 25.28.
This ratio can be influenced by various factors, including the company's growth prospects and industry trends. The P/E ratio without extraordinary items is 24.561.
A lower P/E ratio may indicate that the stock is undervalued, while a higher ratio may suggest overvaluation. The price to sales ratio of RPM is 1.961.
This ratio provides insight into how much investors are willing to pay for each dollar of sales generated by the company. The price to book ratio is 5.743.
A higher price to book ratio may indicate that investors are willing to pay more for each dollar of equity. The price to cash flow ratio of RPM is 12.819.
This ratio can be useful in comparing the company's valuation to its cash flow generation.
Shareholder Returns
RPM stock has had a mixed performance in the short term, with a 7-day return of -0.06%.
RPM's 1-year return of 16.8% is a significant improvement over the US Chemicals industry, which returned 5.5% over the same period.
The US Market, however, has outperformed RPM, with a 1-year return of 24.9%.
Here's a quick comparison of RPM's performance with the US Chemicals industry and the US Market over the past year:
Frequently Asked Questions
Is RPM a good stock to buy?
RPM is considered a good stock to buy, with a strong Zacks Rank and forecasted earnings growth of 12.6% year-over-year. Further analysis is recommended to confirm its potential as a solid investment opportunity.
What is the rating of RPM International?
RPM International's Long-Term Issuer Default Rating is 'BBB', indicating a stable investment grade. This upgrade reflects a positive assessment of the company's creditworthiness.
Is RPM International a public company?
Yes, RPM International is a publicly traded company, listed on the New York Stock Exchange under the symbol RPM.
What sector is RPM?
RPM International operates in the industrial and specialty materials sector, with a diverse portfolio of coatings, sealants, and building materials. Its products serve various industries, including construction, consumer goods, and industrial manufacturing.
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