RPM INTERNATIONAL INC/DE/ (RPM)

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CIK 0000110621 · NYSE · Paints, Varnishes, Lacquers, Enamels & Allied Prods

  • Sector Manufacturing
  • Incorporated DE
  • Fiscal year ends May 31

In fiscal 2025, RPM INTERNATIONAL INC/DE/ reported revenue of $7.37B, up 0.5% from the prior year. The company was profitable, with a net margin of 9.3% and a gross margin of 41.4%.

Key ratios (FY2025)

41.4%
Gross margin
9.3%
Net margin
23.9%
Return on equity
+0.5%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$7.37B$7.34B$7.26B$6.71B$6.11B$5.51B$5.56B$5.32B$4.96B
Cost of Revenue$4.32B$4.32B$4.51B$4.27B$3.70B$3.41B$3.48B$3.31B$2.79B$2.73B
Gross Profit$3.05B$3.01B$2.75B$2.43B$2.41B$2.09B$2.09B$2.02B$2.17B$2.09B
Net Income$688.69M$588.40M$478.69M$491.48M$502.64M$304.38M$266.56M$337.77M$181.82M$354.73M
EPS (Diluted)$5.35$4.56$3.72$3.79$3.87$2.34$2.01$2.50$1.36$2.63
Total Assets$7.78B$6.59B$6.78B$6.71B$6.25B$5.63B$5.44B$5.27B$5.09B$4.76B
Shareholders' Equity$2.89B$2.51B$2.14B$1.98B$1.74B$1.26B$1.41B$1.63B$1.44B$1.37B
Cash & Equivalents$302.14M$237.38M$215.79M$201.67M$246.70M$233.42M$223.17M$244.42M$350.50M$265.15M
Operating Cash Flow$768.19M$1.12B$577.11M$178.73M$766.16M$549.92M$292.94M$390.38M$386.13M$474.71M
Capital Expenditures$229.93M$213.97M$254.44M$222.40M$157.20M$147.76M$136.76M$114.62M$126.11M$117.18M
Shares Outstanding128.20M128.34M128.82M129.58M128.93M129.97M134.33M137.17M135.16M136.72M
Dividends Per Share$1.26$1.18$1.08