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RPM International

RPM Basic Materials Unknown Updated July 20, 2026
$101.60
52W $92.92 – $129.12
58/100
19.5
1.03
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📈 Rating History 💰 Earnings 📰 Recent Events 🔄 What Changed 📖 Thesis Evolution 🔍 Similar Stocks
AI Committee Verdict
Watch
Conviction: Contested · 43% agreement · 7 analysts
+4.2%
-0.8%
5.30:1
Contested
Is RPM Bullish or Bearish?
Mixed. Innellis AI committee rates RPM International (RPM) Watch with a composite score of 58/100 , based on 7 analysts with 43% agreement. Last updated July 20, 2026.
Executive Summary
The committee is genuinely divided. News Analyst sees a compelling case — news sentiment is positive (+0.50 across 10 articles, 14d). Growth Analyst remains cautious — growth rate is decelerating quarter over quarter -- the trend line matters more than the level. This disagreement is itself the signal — the setup is not clean in either direction.
Bull & Bear Case
Bull Case
  • Higher Highs / Higher Lows structure confirms bullish price action.
  • Daily volatility (ATR%) above ~3% is treated as elevated risk.
Bear Case
  • MACD histogram is negative (-0.718) — bearish momentum.
  • Both daily and weekly trends are bearish — strong multi-timeframe downtrend.
Price History (6M)
AI Investment Committee
Committee Consensus As of July 20, 2026
Overall Committee Score
58/100
Agreement
43%
Analysts
7
Conviction
Contested
Value Analyst neutral
55 / 100 · Moderate confidence
Fair value -- neither a bargain nor obviously overpriced
+ ROE of 21.8% shows genuine earnings power backing the valuation
− Price-to-book of 5.0x prices in significant intangible value
Growth Analyst bearish
38 / 100 · Moderate confidence
Growth story is weak, decelerating, or inconsistent
− Growth rate is decelerating quarter over quarter -- the trend line matters more than the level
Technical Analyst neutral
54 / 100 · High confidence
Mixed or range-bound price action
+ Weekly trend (sideways) confirms the daily trend -- multi-timeframe agreement
− MACD histogram negative -- bearish momentum
Risk Analyst bullish
70 / 100 · Low confidence
Risk profile is manageable -- leverage, volatility, and event exposure all look contained
Macro Analyst bullish
70 / 100 · Moderate confidence
Macro backdrop is supportive of risk assets generally, and this name's beta works in its favor
+ Market regime is bullish (Bull market -- normal position sizing)
News Analyst bullish
74 / 100 · Low confidence
News flow and recent filings/analyst actions are net positive
+ News sentiment is positive (+0.50 across 10 articles, 14d)
Portfolio Manager neutral
45 / 100 · High confidence
Portfolio-level factors are mixed -- worth a deliberate sizing decision, not a default-size position
+ Portfolio position concentration is currently healthy
− Sector concentration is already high (HHI 2975.52)
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Investment Thesis Evolution

Committee score moved marginally from 57.6 to 57.9.

Analyst-level changes:
  • News Analyst: +1 bullish signal(s).
  • Portfolio Manager: +1 bearish signal(s).

Comparing 2026-07-19 to 2026-07-20 (1 day apart).

Technical Analysis
RSI (14)
34.9
Neutral
MACD Histogram
-0.718
Bearish Momentum
Trend Direction
Sideways
Weekly: Sideways
Market Structure
Hh Hl
Support
$100.84
Resistance
$105.90
Bollinger %B
0.12
Inside Bands
Price vs Moving Averages
EMA 9
$104.49 Below
EMA 21
$105.72 Below
EMA 50
$105.54 Below
EMA 200
$107.54 Below
Fundamental Analysis
Valuation
47
Growth
59
Profitability
1
Financial Health
89
Cash Flow
37
Valuation
P/E Ratio 19.5×
P/B Ratio 4.11×
PEG Ratio 5.15
Dividend Yield 0.02%
52W High $129.12
52W Low $92.92
Quality & Growth
ROE 23.9%
ROA 8.9%
Gross Margin 41.4%
Operating Margin 12.0%
Revenue Growth YoY
Debt / Equity 0.92
AI Fundamental Assessment
P/E ratio of 19.5 (inexpensive relative to a 15-40x range); Price-to-book of 4.1x; PEG ratio of 5.2 (under 1.0 suggests growth is undervalued relative to price); Return on equity of 0.2%; Return on assets of 0.1%; Net margin of 0.1%; Gross margin of 0.4%; Current ratio of 2.28 (healthy short-term liquidity); Debt-to-equity of 0.92; Free cash flow margin of 0.7% (thin cash generation); Free cash flow per share is positive (4.52); Most recent quarter beat estimates by 59.9%; EPS growth decelerating (+605.9% -> -52.5% QoQ); Analyst estimates rising over recent quarters
Key Risks
  • MACD histogram is negative (-0.718) — bearish momentum.
  • Both daily and weekly trends are bearish — strong multi-timeframe downtrend.
This risk summary is generated from quantitative data signals, not qualitative opinion. All investors should conduct their own due diligence. This is not financial advice.
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