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Consolidated Statements of Stockholders' Equity - USD ($)
$ in Thousands
Total
Common Stock
Paid-In Capital
Treasury Stock
Accumulated Other Comprehensive Income (Loss)
Retained Earnings
Total RPM International Inc. Equity
Noncontrolling Interests
Beginning Balance at May. 31, 2021 $ 1,743,025 $ 1,295 $ 1,055,400 $ (653,006) $ (514,884) $ 1,852,259 $ 1,741,064 $ 1,961
Beginning Balance (in shares) at May. 31, 2021   129,573,000            
Net income 492,466         491,481 491,481 985
Other comprehensive income (loss) (22,559)       (22,453)   (22,453) (106)
Dividends declared and paid (204,394)         (204,394) (204,394)  
Other noncontrolling interest activity (1,441)             (1,441)
Share repurchases under repurchase program $ (52,500) $ (6) 6 (52,500)     (52,500)  
Share repurchases under repurchase program (in shares) (601,155) (601,000)            
Stock compensation expense and other deferred compensation, shares granted less shares returned for taxes $ 29,231 $ 3 40,741 (11,513)     29,231  
Stock compensation expense and other deferred compensation, shares granted less shares returned for taxes (in shares)   227,000            
Ending Balance at May. 31, 2022 1,983,828 $ 1,292 1,096,147 (717,019) (537,337) 2,139,346 1,982,429 1,399
Ending Balance (in shares) at May. 31, 2022   129,199,000            
Net income 479,731         478,691 478,691 1,040
Other comprehensive income (loss) (67,614)       (67,598)   (67,598) (16)
Dividends declared and paid (213,912)         (213,912) (213,912)  
Other noncontrolling interest activity (263)             (263)
Share repurchases under repurchase program $ (50,000) $ (6) 6 (50,000)     (50,000)  
Share repurchases under repurchase program (in shares) (598,653) (598,000)            
Stock compensation expense and other deferred compensation, shares granted less shares returned for taxes $ 11,230 $ 2 28,672 (17,444)     11,230  
Stock compensation expense and other deferred compensation, shares granted less shares returned for taxes (in shares)   165,000            
Ending Balance at May. 31, 2023 2,143,000 $ 1,288 1,124,825 (784,463) (604,935) 2,404,125 2,140,840 2,160
Ending Balance (in shares) at May. 31, 2023   128,766,000            
Net income 589,442         588,397 588,397 1,045
Other comprehensive income (loss) 67,664       67,645   67,645 19
Dividends declared and paid (231,883)         (231,883) (231,883)  
Other noncontrolling interest activity (1,883)             (1,883)
Share repurchases under repurchase program $ (55,000)              
Share repurchases under repurchase program (in shares) (526,113)              
Share repurchases under repurchase program and related excise tax $ (55,002) $ (5) 5 (55,002)     (55,002)  
Share repurchases under repurchase program and related excise tax (in shares)   (526,000)            
Stock compensation expense and other deferred compensation, shares granted less shares returned for taxes 887 $ 3 25,921 (25,037)     887  
Stock compensation expense and other deferred compensation, shares granted less shares returned for taxes (in shares)   389,000            
Ending Balance at May. 31, 2024 $ 2,512,225 $ 1,286 $ 1,150,751 $ (864,502) $ (537,290) $ 2,760,639 $ 2,510,884 $ 1,341
Ending Balance (in shares) at May. 31, 2024   128,629,000