Total Return

Comparison of Cumulative Total Return

Between RPM International Inc., the S&P 500 Index and a Customized Peer Group

Total -Return -2020-10yr

The graph above compares the cumulative ten-year total return provided stockholders on RPM International Inc.’s common stock relative to the cumulative total returns of the S&P 500 Index and a customized peer group of companies that includes: AkzoNobel N.V., Axalta Coating Systems Ltd., Ferro Corporation, GCP Applied Technologies Inc., H.B. Fuller Company, Masco Corporation, PPG Industries, Inc. and The Sherwin-Williams Company. An investment of $100 (with reinvestment of all dividends) is assumed to have been made in RPM common stock, the peer group, and the index on 5/31/2010, and their relative performance is tracked through 5/31/2020.

With appreciation in RPM’s stock price, an investment in the company is attractive to both individual and institutional investors. RPM’s total return – share price appreciation plus dividends reinvested – has outpaced the Standard & Poor’s 500 by 44 percent and its peers by 19 percent over the past 10 years, as shown in the chart above.

RPM International (NYSE: RPM)


Volume 979 k
Market Cap 10.9 Bil
52 Week High $87.8
52 Week Low $42.85

Price quote as of 4:10:00 PM ET. Supplied by EDGAR Online.

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