$107.38
+ $0.49 (0.46%)
End-of-day quote: 04/26/2024
NYSE:RPM

RPM International Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$7.26B $6.71B $6.11B $5.51B $5.56B $5.32B $4.96B $4.81B $4.59B $4.38B $4.08B $3.78B $3.38B $3.41B $3.37B $3.64B $3.34B $3.01B $2.56B $2.31B
GM % Gross Margin %
37.87% 36.27% 39.41% 38.37% 37.75% 38.60% 43.68% 43.36% 42.25% 42.86% 41.84% 40.83% 41.42% 42.06% 40.17% 41.13% 40.75% 41.46% 43.16% 44.69%
OM Operating Margin
10.50% 9.77% 11.93% 10.31% 9.58% 10.44% 10.48% 11.46% 10.64% 11.10% 9.88% 10.23% 10.12% 9.53% 8.22% 10.42% 10.17% 9.93% 10.84% 10.68%
EPS Earnings Per Share
$0.00 $4.30 $3.66 $4.16 $3.07 $2.71 $2.92 $2.47 $2.63 $2.38 $2.18 $1.82 $1.64 $1.45 $1.45 $1.05 $1.81 $1.57 $1.35 $1.25 $1.22
Div. Dividends
$1.66 $1.58 $1.50 $1.43 $1.37 $1.26 $1.18 $1.09 $1.02 $0.95 $0.89 $0.86 $0.84 $0.82 $0.79 $0.75 $0.69 $0.63 $0.59 $0.00
PR % Payout Ratio %
38.60% 43.17% 36.06% 46.58% 50.55% 43.15% 47.77% 41.44% 42.86% 43.58% 48.90% 52.44% 57.93% 56.55% 75.24% 41.44% 43.95% 46.67% 47.20% 0
Sha. Shares
128.77m 129.2m 129.57m 129.51m 131m 133.65m 133.56m 132.94m 133.2m 133.27m 132.6m 131.56m 130.58m 129.92m 128.5m 122.19m 120.91m 118.74m 117.55m 116.12m
OCF Operating Cash Flow
$577.11M $178.73M $766.16M $549.92M $292.94M $390.38M $386.13M $474.71M $330.45M $278.15M $368.45M $294.87M $238.17M $203.94M $267.00M $234.71M $202.31M $185.49M $157.35M $154.04M
FCF Free Cash Flow
$322.67M $-43.67M $608.96M $402.16M $156.18M $275.76M $260.02M $357.52M $245.09M $184.36M $277.09M $223.26M $198.34M $180.70M $212.01M $162.87M $131.92M $124.33M $101.74M $102.79M
FCFS Free Cash Flow Per Share
$2.53 $-0.34 $4.75 $3.13 $1.20 $2.10 $1.99 $2.76 $1.89 $1.42 $2.15 $1.74 $1.56 $1.42 $1.68 $1.36 $1.12 $1.06 $0.87 $0.89