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RPM International RPM Cash Flow Statement

TTM Q3 '26TTM Q2 '26TTM Q1 '26TTM Q4 '25TTM Q3 '25
$666.94M+3.4%$667.64M+2.0%$689.61M+11.8%$690.33M+17.1%$645.15M+15.1%
$209.55M+13.5%$204.6M+13.8%$199.12M+14.5%$193.84M+13.2%$184.69M+11.0%
$30.01M+7.3%$28.07M+25.7%$26.29M+14.1%$27.04M+4.3%$27.96M+14.2%
$805.85M+0.7%$823.89M-6.6%$757.64M-25.1%$768.19M-31.6%$800.17M-36.3%
$230.65M-1.8%$241M+6.9%$241.65M+13.7%$229.93M+7.5%$234.8M+10.3%
$671.75M+683%$705.24M+3,874%$595.77M+3,732%$127.33M
-$833.52M-133%-$904.08M-208%-$943.84M-352%-$825.53M-300%-$358.24M-57.0%
$268.29M+7.6%$264.77M+8.9%$261.19M+10.3%$255.56M+10.2%$249.35M+10.0%
$70M0.0%$70M+7.7%$70M+16.7%$70M+27.3%$69.99M+40.0%
$563.03M+1,389%$488.03M+1,221%$490.83M$116.77M
$50.1M+112%$110.52M+120%$243.75M+130%$121.94M+114%-$433.41M+55.3%
$52.31M
$575.21M+1.7%$582.9M-11.2%$515.99M-35.4%$538.26M-40.7%$565.37M-45.8%

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Questions, answered.

How much cash does RPM International generate?
RPM International (RPM) generated $805.9M in operating cash flow over the trailing twelve months.
What is RPM International's free cash flow?
After $230.6M of capital expenditures, RPM International's free cash flow was $575.2M over the trailing twelve months, up 1.7% year over year.
Where does RPM International's cash flow data come from?
Every line is extracted from RPM International's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.