Rpm International IncRpm International Inc
Rpm International Inc

Rpm International Inc

RPM
Materials·Chemicals

RPM International, Inc. engages in the manufacture, marketing, and sale of coatings, sealants, building materials, and related services. It operates through the following segments: Construction Products Group (CPG), Performance Coatings Group (PCG), and Consumer Group. The CPG segment refers to construction sealants and adhesives, coatings and chemicals, roofing systems, concrete admixture and repair products, building envelope solutions, insulated cladding, flooring systems, and weatherproofing solutions. The PCG segment focuses on flooring solutions, corrosion control and fireproofing coatings, infrastructure repair systems, fiberglass reinforced plastic gratings and drainage systems. The Consumer Group segment includes rust-preventative, special purpose, and decorative paints, caulks, sealants, primers, cement cleaners, floor sealers and woodcare coatings, sandpaper and other abrasives, and other branded consumer products. The company was founded by Frank C. Sullivan in May 1947 and is headquartered in Medina, OH.

Ohio; U.S.A
Market cap
No dataNo data
Revenue
$7.9B+6.7% YoY
Net income
$661.4M−4.0% YoY
Free cash flow
$675.2M+25.4% YoY

Market

Listed stock
RPMPriceNYSE
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Financial performance

Revenue
$7.9B+6.7% YoY
Operating income
$778M+8.3% YoY
Net income
$661.4M−4.0% YoY
Free cash flow
$675.2M+25.4% YoY

Revenue, profit & cash trend

Revenue
Operating income
Net income
Free cash flow
Reference
Revenue: 2022 $6.7B, 2023 $7.3B, 2024 $7.3B, 2025 $7.4B, 2026 $7.9B. Operating income: 2022 $452.6M, 2023 $530.8M, 2024 $598.7M, 2025 $718.1M, 2026 $778M. Net income: 2022 $491.5M, 2023 $478.7M, 2024 $588.4M, 2025 $688.7M, 2026 $661.4M. Free cash flow: 2022 $-43.7M, 2023 $322.7M, 2024 $908.3M, 2025 $538.3M, 2026 $675.2M. Reference line: Reference at $0.

Growth & profitability

Revenue growth
6.7%+615 bps YoY
Gross margin
No dataNo data
Operating margin
No dataNo data
FCF margin
No dataNo data

Earnings power over time

Operating income
Net income
Free cash flow
Operating income: 2022-05-31 $452.6M, 2023-05-31 $530.8M, 2024-05-31 $598.7M, 2025-05-31 $718.1M, 2026-05-31 $778M. Net income: 2022-05-31 $491.5M, 2023-05-31 $478.7M, 2024-05-31 $588.4M, 2025-05-31 $688.7M, 2026-05-31 $661.4M. Free cash flow: 2022-05-31 $-43.7M, 2023-05-31 $322.7M, 2024-05-31 $908.3M, 2025-05-31 $538.3M, 2026-05-31 $675.2M

Growth heatmap

2023202420252026CAGR
Revenue
+8.2%
+1.1%
+0.5%
+6.7%
+4.1%
Gross profit
+12.9%
+9.7%
+1.2%
+6.8%
+7.6%
Operating income
+17.3%
+12.8%
+19.9%
+8.3%
+14.5%
Free cash flow
+838.8%
+181.5%
-40.7%
+25.4%
No data

Earnings quality

Operating cash flow
$898.7M+17.0% YoY
Net income
$661.4M−4.0% YoY
Free cash flow
$675.2M+25.4% YoY
Diluted EPS
No dataNo data

Cash conversion quality

Operating cash flow
Free cash flow
Net income = 100%
Operating cash flow: 2026-05-31 136%, 2025-05-31 112%, 2024-05-31 191%, 2023-05-31 121%, 2022-05-31 36%. Free cash flow: 2026-05-31 102%, 2025-05-31 78%, 2024-05-31 154%, 2023-05-31 67%, 2022-05-31 -9%. Reference line: Net income = 100% at 100%.

Per-share economics

Diluted EPS
Latest
No data
FCF / share
Latest
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Diluted shares
Latest
No data

Financial flexibility

Cash & equivalents
No dataNo data
Total debt
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Net debt
No dataNo data
Current ratio
No dataNo data

Cash Coverage of Debt

Cash / Total debt
No data

Returns

Return on equity
No dataNo data
Return on assets
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Return on invested capital
No dataNo data
Asset turnover
No dataNo data

Return on capital

No data

Valuation

Price to earnings
No dataNo data
Price to sales
No dataNo data
EV / EBITDA
No dataNo data
Free cash flow yield
No dataNo data

Valuation vs its own 5Y history

Metric
Own five-year range
Current
Own 5Y median
Position in own range
Price to earnings
No data
No data
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Price to sales
No data
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EV / EBITDA
No data
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Free cash flow yield
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