RPMGLOBAL HOLDINGS LIMITED (RUL)
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RUL - RPMGLOBAL HOLDINGS LIMITED

FNArena Sector : Mining Sector Contracting
Year End: June
GICS Industry Group : Software & Services
Debt/EBITDA: 0.62
Index: ASX300 | ALL-ORDS | ALL-TECH

LAST PRICE CHANGE +/- CHANGE % VOLUME

$3.02

23 Dec
2024

0.110

OPEN

$2.98

3.78%

HIGH

$3.02

190,305

LOW

$2.94

OTHER COMPANIES IN THE SAME SECTOR
ALQ . ANG . ARI . C79 . CDA . CDD . DOW . EHL . GNG . IMD . IPG . IPL . LBL . LYL . MAD . MAH . MIN . MLG . MND . MSV . MYE . NWH . ORI . PRN . RAN . RCR . RDG . SGH . SRG . SXE . XRF .
FNARENA'S MARKET CONSENSUS FORECASTS

- No Record -

Last ex-div: 10/09 - (franking Ex-Di

HISTORICAL DATA ARE ALL IN AUD
Copyright © 2024 FactSet UK Limited. All rights reserved
Title 201920202021202220232024
EPS Basic xxxxxxxxxxxxxxx3.8
DPS All xxxxxxxxxxxxxxx0.0
Sales/Revenue xxxxxxxxxxxxxxx109.6 M
Book Value Per Share xxxxxxxxxxxxxxx25.0
Net Operating Cash Flow xxxxxxxxxxxxxxx16.5 M
Net Profit Margin xxxxxxxxxxxxxxx7.90 %

EPS Basic

DPS All

Sales/Revenue

Book Value Per Share

Net Operating Cash Flow

Net Profit Margin

Title 201920202021202220232024
Return on Capital Employed xxxxxxxxxxxxxxx15.21 %
Return on Invested Capital xxxxxxxxxxxxxxx13.87 %
Return on Assets xxxxxxxxxxxxxxx7.57 %
Return on Equity xxxxxxxxxxxxxxx15.21 %
Return on Total Capital xxxxxxxxxxxxxxx10.32 %
Free Cash Flow ex dividends xxxxxxxxxxxxxxx15.4 M

Return on Capital Employed

Return on Invested Capital

Return on Assets

Return on Equity

Return on Total Capital

Free Cash Flow ex dividends

Title 201920202021202220232024
Short-Term Debt xxxxxxxxxxxxxxx3 M
Long Term Debt xxxxxxxxxxxxxxx4 M
Total Debt xxxxxxxxxxxxxxx7 M
Goodwill - Gross xxxxxxxxxxxxxxx37 M
Cash & Equivalents - Generic xxxxxxxxxxxxxxx34 M
Price To Book Value xxxxxxxxxxxxxxx11.47

Short-Term Debt

Long Term Debt

Total Debt

Goodwill - Gross

Cash & Equivalents - Generic

Price To Book Value

Title 201920202021202220232024
Capex xxxxxxxxxxxxxxx1.3 M
Capex % of Sales xxxxxxxxxxxxxxx1.23 %
Cost of Goods Sold xxxxxxxxxxxxxxx83 M
Selling, General & Admin. Exp & Other xxxxxxxxxxxxxxx20 M
Research & Development xxxxxxxxxxxxxxx-
Investments - Total xxxxxxxxxxxxxxx0 M

Capex

Capex % of Sales

Cost of Goods Sold

Selling, General & Admin. Exp & Other

Research & Development

Investments - Total

EXPERT VIEWS
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Sentiment Indicator

0.0

No. Of Recommendations

0
BROKER DATE RATING RECOMMENDATION TARGET PRICE % TO REACH TARGET COMMENTARY
EXTRA COVERAGE
Display All Commentary

No. Of Recommendations

2

Please note: unlike Broker Call Report, BC Extra is not updated daily. The info you see might not be the latest. FNArena does its best to update ASAP.

BROKER DATE RATING RECOMMENDATION TARGET PRICE % TO REACH TARGET COMMENTARY

Taylor Collison

xx/xx/xxxx

2

xxxxxxxxxx

$xx.xx

xx.xx%

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Moelis

02/09/2024

1

Buy

$2.82

-6.62%

RPMGlobal reported FY24 results which were in line with the recent trading update and Moelis' expectations.

Management pointed to another strong year for the Advisory business with strong growth in America. Other divisions like AMT.XECUTE and ShiftManager are also expected to perform well.

Post FY25 guidance, Moelis earnings forecast remain largely unchanged.

Buy rated with $2.82 target price.

FORECAST
Moelis forecasts a full year FY25 dividend of 0.00 cents and EPS of 5.20 cents.
Moelis forecasts a full year FY26 EPS of 7.30 cents.

RUL STOCK CHART