KOP

Koppers Holdings Inc. (KOP)
Basic Materials • Specialty Chemicals • $47.78 • MCap: 903,594,688 🌐
https://www.koppers.com • Koppers Holdings Inc. provides treated wood products, wood preservation chemicals, and carbon compounds in the United States, Australasia, Europe, and internationally. It operates through three segments: Railroad and Utility Products and Services; Performance Chemicals; and Carbon Materials and Chemicals. The company procures and treats crossties, switch ties, and various types of lumber used for railroad bridges and crossings; offers utility products, including pressure treatment of transmission and distribution poles for electric and telephone utilities; untreated wood products and rail joint bars; provides railroad markets and inspection services to the utility markets; and operate a business related to the recovery of used crossties. It also provides copper-based wood preservatives comprising micronized copper azole, micronized pigments, alkaline copper quaternary, amine copper azole, dichloro-octyl-isothiazolinone, chromated copper arsenate under the MicroPro and MicroShades brands for decking, fencing, utility poles, construction lumber and timbers, and various agricultural applications; and supplies fire-retardant chemicals under the FlamePro brand for pressure treatment of wood applications. In addition, the company offers creosote for the treatment of wood or as a feedstock in the production of carbon black; carbon pitch, a raw material used in the production of aluminum and steel; naphthalene for use as a surfactant in the production of concrete; and carbon black feedstock. It serves the railroad, specialty chemical, utility, residential lumber, agriculture, aluminum, steel, rubber, and construction sectors. Koppers Holdings Inc. was founded in 1988 and is headquartered in Pittsburgh, Pennsylvania.
Buy Decision Core
Total Score
38
Business Quality
6
Financial Strength
8
Growth Outlook
1
Momentum
5
Price Action
Current
47.78
52W High
52.23
52W Low
26.11
Above 50DMA
47.70 (0.16%)
Above 200DMA
38.24 (24.95%)
Relative Strength
Relative Strength
0.39
RS 3M
0.17
RS 6M
0.28
RS 9M
0.65
RS 12M
0.68
Fundamentals
Revenue Growth
0.03%
Earnings Growth
0%
ROE
-0.19%
ROA
0.06%
Valuation
PE (Fwd)
9.76
PEG
9.45
P/B
2.33
Upside
19.30%
Risk
Beta
1.23
Short %
0.05
Risk Score
2.00
Analyst
Rating
none
Target
57.00
Beta
1.23
Analysts
0


Total Score
38
Upside
19.30%
Relative Strength
0.39
Beta
1.23
Why Buy?
  • Trading above 50 DMA
  • Trading above 200 DMA
  • Analyst upside exceeds 15%
Key Risks
  • Negative ROE
Score Breakdown
Business
6
Financial
8
Growth
1
Valuation
10
Risk
2
Momentum
5
Technical
52W High: 52.23
52W Low: 26.11
Above 50DMA: 0.16%
Above 200DMA: 24.95%
Valuation
Forward PE: 9.76
PEG: 9.45
P/B: 2.33
Upside: 19.30%
Risk
Beta: 1.23
Short Float: 0.05%
ROE: -0.19%
ROA: 0.06%