FMP
Apr 3, 2025 3:00 PM - Tony Dante
Image credit: Google Images
RPM International Inc. (NYSE:RPM) is a global leader in specialty coatings, sealants, and building materials. The company operates through various segments, including industrial, consumer, and specialty products. RPM competes with other major players in the industry, such as Sherwin-Williams and PPG Industries. The company is set to release its quarterly earnings on April 8, 2025.
Analysts expect RPM to report earnings per share (EPS) of $0.52, consistent with the same quarter last year. This stability in EPS estimates over the past 30 days suggests confidence in RPM's performance. Such stability is important as changes in earnings estimates can significantly impact investor reactions and short-term stock price movements.
RPM's projected revenue for the quarter is approximately $1.51 billion, a slight decrease of 0.6% from the previous year. Despite this decline, RPM maintains a price-to-earnings (P/E) ratio of 22.05, indicating the price investors are willing to pay for each dollar of earnings. The company's price-to-sales ratio is about 1.97, reflecting the amount investors pay for each dollar of sales.
The enterprise value to sales ratio for RPM is approximately 2.25, showing the company's total valuation relative to its sales. Additionally, the enterprise value to operating cash flow ratio is around 18.77, indicating how many times the operating cash flow can cover the enterprise value. These metrics provide insight into RPM's financial health and valuation.
RPM's earnings yield is approximately 4.54%, representing the return on investment. The company's debt-to-equity ratio is about 0.86, indicating a balanced approach to financing its assets with debt and equity. With a current ratio of approximately 2.23, RPM demonstrates its ability to cover short-term liabilities with short-term assets, highlighting its financial stability.
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