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HomeStock GuidesRPM
Materials / Coatings & SealantsTechnical Analysis Guide
RPM International Inc. logo

RPM Stock Analysis

RPM International Inc.

💡 Quick Answer

Across 4 APEX technical signals, RPM is currently split between bullish and bearish readings0 bullish, 0 bearish as of 2026-06-11. Run a live analysis to see the current composite score.

RPM runs ATR of 2-3% and trades on R&M demand, raw-material costs versus pricing, and margin-improvement program execution. It is a steady dividend-grower with low cyclicality.

RSI Behavior: Range 40-70MACD Pattern: Margin-cycle alignedMoving Average: 200-day trend floor

RPM makes coatings, sealants, and specialty chemicals (Rust-Oleum, DAP, Tremco) for consumer and industrial repair-and-maintenance markets. The R&M skew gives it steadier demand than new-construction-tied materials.

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Why Do Traders Watch RPM?

RPM runs ATR of 2-3% and trades on R&M demand, raw-material costs versus pricing, and margin-improvement program execution. It is a steady dividend-grower with low cyclicality. Margin trends drive the earnings reaction.

Is RPM a Buy Right Now? Current Signal Readings

📊RSI BehaviorRange 40-70

RSI dips toward 40 on input-cost or volume worries have been entries given the R&M demand stability and dividend-growth record.

📈MACD PatternMargin-cycle aligned

MACD tracks the input-cost-versus-pricing cycle. The weekly works well given the steady, persistent trend.

📊Moving Average200-day trend floor

RPM respects its 200-day in uptrends. Holding it on a cost-spike scare signals the margin-program thesis is intact.

📦Volume ProfileEarnings-concentrated

Volume centers on earnings where margin improvement and organic growth drive the move.

📋 RPM Key Stats for Traders

ATR (14-day)2-3% of price
📦Avg daily volume~700k-1.2M shares
🎯Key metricEBIT margin + organic growth
⚠️Risk levelLow-Medium

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💬 Frequently Asked Questions. RPM

QIs RPM a good stock to buy right now?
AWhether RPM is a buy depends on its current technical positioning. RPM runs ATR of 2-3% and trades on R&M demand, raw-material costs versus pricing, and margin-improvement program execution. It is a steady dividend-grower with low cyclicality. Margin trends drive the earnings reaction. Run a live APEX analysis at apexstockintel.com to see the current composite score, RSI, and MACD signals. Updated every trading day.
QWhat are the most important technical signals for RPM?
AThe four key signals for RPM are: RSI Behavior (Range 40-70). RSI dips toward 40 on input-cost or volume worries have been entries given the R&M demand stability and dividend-growth record.. MACD Pattern (Margin-cycle aligned). MACD tracks the input-cost-versus-pricing cycle. The weekly works well given the steady, persistent trend.. Moving Average (200-day trend floor). RPM respects its 200-day in uptrends. Holding it on a cost-spike scare signals the margin-program thesis is intact.. Volume Profile (Earnings-concentrated). Volume centers on earnings where margin improvement and organic growth drive the move.
QWhat is RPM's RSI telling traders right now?
ARSI dips toward 40 on input-cost or volume worries have been entries given the R&M demand stability and dividend-growth record. APEX scores RPM's RSI as part of its 8-factor composite signal. Updated daily.
QHow does RPM behave technically compared to other Materials / Coatings & Sealants stocks?
ARPM is in the Materials / Coatings & Sealants sector. RPM makes coatings, sealants, and specialty chemicals (Rust-Oleum, DAP, Tremco) for consumer and industrial repair-and-maintenance markets. The R&M skew gives it steadier demand than new-construction-tied materials. Key stats: ATR (14-day): 2-3% of price, Avg daily volume: ~700k-1.2M shares, Key metric: EBIT margin + organic growth, Risk level: Low-Medium.
QWhat MACD signals work best for RPM?
AMACD tracks the input-cost-versus-pricing cycle. The weekly works well given the steady, persistent trend.
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