RPM

RPM

USD

RPM International Inc. Common Stock

$104.440-0.280 (-0.267%)

실시간 가격

기초 소재
특수 화학물질
미국

가격 차트

핵심 지표

시장 지표
기업 기본 정보
거래 통계

시장 지표

시가

$104.720

고가

$105.570

저가

$103.805

거래량

0.00M

기업 기본 정보

시가총액

13.6B

산업

특수 화학물질

국가

United States

거래 통계

평균 거래량

0.71M

거래소

NYQ

통화

USD

52주 범위

저가 $95.28현재가 $104.440고가 $141.79

AI 분석 리포트

마지막 업데이트: 2025년 4월 27일
AI 생성데이터 소스: Yahoo Finance, Bloomberg, SEC

RPM: RPM International Inc. Common Stock - Analyzing Recent Moves & What Might Come Next

Stock Symbol: RPM Generate Date: 2025-04-27 18:17:21

Alright, let's break down what's been happening with RPM International lately. We've got some news, a look at the price chart, and a peek at what an AI model thinks might happen next.

The Latest Buzz (News Sentiment)

So, what's the general feeling around RPM based on the recent headlines? Honestly, it's been a bit cautious, leaning negative. The big news items hitting the wires over the past few weeks mostly involve Wall Street analysts. We saw several firms – UBS, RBC Capital, Wells Fargo, Morgan Stanley, Baird, and BMO Capital – all come out and lower their price targets for the stock.

Now, they didn't all suddenly say "sell." Some kept ratings like "Neutral," "Sector Perform," "Equal-Weight," or even "Overweight" and "Outperform." But the key takeaway is that they all trimmed where they think the stock price is headed in the future compared to their previous estimates. That usually signals that analysts see some headwinds or less growth potential than they did before.

Adding to this picture, RPM itself reported its fiscal third-quarter results around April 8th. The numbers showed sales were down 3.0% compared to the same time last year. Lower sales aren't exactly a party starter for investors, and this likely played a role in those analyst target cuts we saw right after the earnings report.

There was also some general market news about the S&P 500 and Nasdaq futures rising after a selloff, but that's more about the overall market mood than specific news for RPM. The main story for RPM itself is those lowered analyst expectations and the dip in quarterly sales.

Checking the Chart (Price Action)

Looking at the stock's movement over the last month or so tells an interesting story. Back in late March, RPM was trading up in the $113 to $116 range. But then, things took a noticeable turn lower, especially in early April. The price dropped pretty sharply, hitting lows down around $95 to $100 around April 8th and 9th. That's a significant slide!

Since hitting those lows, the stock has bounced back a bit and seems to have stabilized in the $104 to $105 area in the last couple of weeks of April. So, the recent trend isn't a smooth ride up or down; it's more like a sharp drop followed by a period of trying to find its footing.

Where does the AI prediction fit in? The model suggests very small price changes for the next couple of days – basically flat today (0.00%), then tiny increases of 0.15% and 0.09%. This aligns with the recent price action looking like it's trying to stabilize rather than making a big move in either direction right now.

What It Might Mean (Outlook & Ideas)

Putting the news and the price chart together, what's the picture? The recent news, particularly the analyst target cuts and the sales dip, is a clear negative signal. It tells us that the pros are seeing challenges for the company, at least in the near term.

However, the stock price has already taken a significant hit, dropping from the mid-$110s down to the low $100s. Sometimes, a big price drop can already "price in" the bad news. The AI's prediction of slight upward drift, while small, suggests the immediate downward pressure might be easing.

Based strictly on this data:

  • The apparent near-term leaning seems cautious. The fundamental news (sales dip, analyst cuts) is a headwind. While the price has fallen a lot, suggesting it might be cheaper, there isn't strong news or AI prediction pointing to a big rebound right away. A 'hold' or 'wait and see' approach might make sense if you're already in, or being patient if you're considering getting in.
  • Potential Entry Consideration: If someone were looking to potentially buy, the current price area around $104-$105 is well below the analyst targets (mostly $110-$116) and significantly off the recent highs. It's also above the recent lows around $95-$100. If you believe the stock can recover towards those analyst targets, the current level could be considered a potential entry point, perhaps looking for confirmation that the price holds above the recent lows.
  • Potential Exit/Stop-Loss Consideration: For managing risk, the recent low area around $95-$100 looks like a critical level. If the stock were to fall back below that, it might signal further weakness, and setting a stop-loss order somewhere below that could be a way to limit potential losses. On the upside, if the stock does recover, the lower end of the analyst target range, maybe around $110-$113, could be a potential area to consider taking some profits, as it might encounter resistance there.

Remember, these are just ideas based on the provided data points. The market can do anything.

Quick Company Snapshot (Context)

Just a quick reminder about RPM International: they're in the Specialty Chemicals business, part of the Basic Materials sector. They make and sell all sorts of chemicals for industrial, specialty, and consumer uses – think coatings, sealants, flooring, roofing stuff, and even things like hobby paints. The recent 3% dip in sales could reflect softer demand in some of these areas, which is something to keep in mind. They employ about 17,200 people. Their market cap is around $13.5 billion. The stock's been as high as $141.79 and as low as $95.28 over the past year, putting the current price ($104.44) closer to the lower end of that range.


Disclaimer: This analysis is based on the provided data and is for informational purposes only. It is not financial advice. Stock markets are volatile, and prices can go down as well as up. You should always conduct your own thorough research and consider consulting with a qualified financial advisor before making any investment decisions.

관련 뉴스

Analyst Upgrades

UBS Maintains Neutral on RPM Intl, Lowers Price Target to $110

UBS analyst Joshua Spector maintains RPM Intl with a Neutral and lowers the price target from $113 to $110.

더 보기
UBS Maintains Neutral on RPM Intl, Lowers Price Target to $110
Analyst Upgrades

RBC Capital Maintains Sector Perform on RPM Intl, Lowers Price Target to $116

RBC Capital analyst Arun Viswanathan maintains RPM Intl with a Sector Perform and lowers the price target from $126 to $116.

더 보기
RBC Capital Maintains Sector Perform on RPM Intl, Lowers Price Target to $116
Analyst Upgrades

Wells Fargo Maintains Overweight on RPM Intl, Lowers Price Target to $116

Wells Fargo analyst Michael Sison maintains RPM Intl with a Overweight and lowers the price target from $140 to $116.

더 보기
Wells Fargo Maintains Overweight on RPM Intl, Lowers Price Target to $116
Analyst Upgrades

Morgan Stanley Maintains Equal-Weight on RPM Intl, Lowers Price Target to $113

Morgan Stanley analyst Vincent Sinisi maintains RPM Intl with a Equal-Weight and lowers the price target from $125 to $113.

더 보기
Morgan Stanley Maintains Equal-Weight on RPM Intl, Lowers Price Target to $113
Analyst Upgrades

Baird Maintains Neutral on RPM Intl, Lowers Price Target to $110

Baird analyst Ghansham Panjabi maintains RPM Intl with a Neutral and lowers the price target from $125 to $110.

더 보기
Baird Maintains Neutral on RPM Intl, Lowers Price Target to $110
Analyst Upgrades

BMO Capital Maintains Outperform on RPM Intl, Lowers Price Target to $126

BMO Capital analyst John McNulty maintains RPM Intl with a Outperform and lowers the price target from $154 to $126.

BusinessWire

RPM Reports Fiscal 2025 Third-Quarter Results

Third-quarter sales of $1.48 billion, a decrease of 3.0% compared to the prior year Third-quarter net income of $52.0 million, diluted EPS of $0.40, and EBIT of $62.7 million Third-quarter adjusted diluted EPS of

AI 예측Beta

AI 추천

강세

업데이트 시간: 2025년 4월 27일 오후 06:58

약세중립강세

61.2% 신뢰도

리스크 & 트레이딩

리스크 수준3/5
중위험
적합 대상
보수적
트레이딩 가이드

진입점

$104.32

익절

$106.49

손절

$93.96

핵심 요소

DMI는 약세 추세(ADX:7.8, +DI:4.9, -DI:5.3)를 보여 주의를 요합니다.
현재 가격이 지지선($104.43)에 매우 근접하여 강력한 매수 기회를 시사합니다.
거래량은 평균(7,469)의 5.7배로 극도로 강력한 매수 압력을 나타냅니다.
MACD -0.0103이(가) 신호선 -0.0251 위에 있어 강세 교차를 나타냅니다.

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