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RKWBF

Rockwool A/S

Price Chart
Latest Quote

$32.20

+0.00 (+0.00%)
Current Price
Previous Close $32.20
Open $27.49
Day High $27.49
Day Low $27.49
Volume 100
Fetched: 2026-06-16T21:37:11
Stock Information
Note: Financial values converted from EUR to USD
Quarterly Dividend / Yield $0.65 / 2.02%
Shares Outstanding 109.09M
Quarterly Dividend Yield 2.02%
Quarterly Dividend $0.65
Cash Equivalents $240.36M
Revenue $4.50B
Net Income $4.64M
Sector Industrials
Industry Building Products & Equipment
Market Cap $6.66B
Exchange PNK
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📊 Comprehensive Analysis
Company Data
Enterprise Value$6.64B
Sales$4.50B
Income$4.64M
Book/sh$15.51
Cash/sh$1.90
Employees12K
Financial Ratios
Quick Ratio0.87
Current Ratio1.27
Returns & Margins
ROA8.73%
ROE0.13%
Gross Margin67.47%
Operating Margin13.25%
Profit Margin-4.46%
Ownership
Institutional Ownership30.89%
Insider & Institutional transactions data not available
Valuation Ratios
P/S1.72
P/B2.08
Analyst Data
Recommendationnone
Technical Indicators
SMA20$29.85
SMA50$28.41
SMA200$28.68
RSI100.00
ATR0.3364
Shares Float161.40M
Volatility1.51
Performance History
Week+0.00%
Month+13.38%
Quarter+29.27%
6 Months+14.86%
YTD+14.16%
Year-23.54%
3 Years+112.54%
5 Years+33.02%
10 Years+731.40%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-06-15 $32.20 0
2026-06-12 $32.20 0
2026-06-11 $32.20 0
2026-06-10 $32.20 0
2026-06-09 $32.20 0
2026-06-08 $32.20 0
2026-06-05 $32.20 0
2026-06-04 $32.20 0
2026-06-03 $32.20 0
2026-06-02 $32.20 218
2026-06-01 $27.49 0
2026-05-29 $27.49 0
2026-05-28 $27.49 0
2026-05-27 $27.49 0
2026-05-26 $27.49 0
2026-05-22 $27.49 0
2026-05-21 $27.49 0
2026-05-20 $27.49 0
2026-05-19 $27.49 0
2026-05-18 $27.49 0
About Rockwool A/S

Rockwool A/S produces and sells stone wool insulation products in Western Europe, Eastern Europe, Russia, North America, Asia, and internationally. The company operates through two segments: Insulation and Systems segments. The company offers products, including solutions for ceiling systems, ventilated façades, friction and water management and stone wool substrate. It also offers roof, floor, façade, ceiling, partition wall, internal and exterior wall, HVAC, acoustic, and technical insulation, as well as passive fire protection, industrial insulation, marine and offshore insulation, OEM, basement, chimney, shed, and garage insulation products. In addition, the company provides acoustic ceilings and walls, cladding boards, rainwater management, and prefab building systems, engineered fibers, noise and vibration control, and horticultural substrates. It sells its products under the ROCKWOOL, Rockfon, Rockpanel, Grodan, and Lapinus brand names. Rockwool A/S was founded in 1909 and is based in Hedehusene, Denmark.

Period:
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Income Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Revenue
Reconciled Cost Of Revenue $1,494,266,419 $1,515,545,530 $1,539,188,986 $1,988,414,650
Cost Of Revenue $1,494,266,419 $1,515,545,530 $1,539,188,986 $1,988,414,650
Total Revenue $4,583,283,946 $4,557,276,144 $4,279,465,536 $4,618,749,130
Operating Revenue $4,583,283,946 $4,557,276,144 $4,279,465,536 $4,618,749,130
Expenses
Interest Expense $21,279,110 $20,096,938 $26,007,802 $13,003,901
Total Expenses $3,881,073,302 $3,748,669,949 $3,651,731,779 $4,143,515,664
Net Non Operating Interest Income Expense $36,647,357 $20,096,938 $-10,639,555 $-7,093,037
Interest Expense Non Operating $21,279,110 $20,096,938 $26,007,802 $13,003,901
Operating Expense $2,386,806,883 $2,233,124,419 $2,112,542,794 $2,155,101,014
Other Operating Expenses $414,942,653 $380,659,642 $354,651,840 $322,733,174
Selling And Marketing Expense $596,997,264 $561,532,080 $516,609,514 $612,365,510
General And Administrative Expense - - - $322,733,174
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $33,100,838 $650,195,040 $459,865,219 $322,733,174
Net Interest Income $36,647,357 $20,096,938 $-10,639,555 $-7,093,037
Interest Income $57,926,467 $40,193,875 $15,368,246 $5,910,864
Normalized Income $416,692,269 $656,732,456 $480,775,184 $321,831,177
Net Income From Continuing And Discontinued Operation $33,100,838 $650,195,040 $459,865,219 $322,733,174
Net Income Common Stockholders $33,100,838 $650,195,040 $459,865,219 $322,733,174
Net Income $33,100,838 $650,195,040 $459,865,219 $322,733,174
Net Income Including Noncontrolling Interests $33,100,838 $650,195,040 $459,865,219 $322,733,174
Net Income Continuous Operations $33,100,838 $650,195,040 $459,865,219 $322,733,174
Pretax Income $228,159,350 $822,792,269 $617,094,202 $423,217,862
Special Income Charges $-491,783,885 $-8,275,210 $-15,368,246 -
Interest Income Non Operating $57,926,467 $40,193,875 $15,368,246 $5,910,864
Operating Income $702,210,643 $808,606,195 $627,733,757 $475,233,466
Depreciation And Amortization In Income Statement $319,186,656 $302,636,237 $293,178,854 $278,992,781
Depreciation Income Statement $296,725,373 $276,628,435 $274,264,090 $261,260,189
Gross Profit $3,089,017,526 $3,041,730,614 $2,740,276,550 $2,630,334,480
Per Share
Diluted EPS $0.12 $3.07 $2.13 $1.49
Basic EPS $0.12 $3.07 $2.13 $1.50
Other
Tax Effect Of Unusual Items $-108,192,455 $-1,737,794 $-3,915,664 $280,175
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $1,088,781,149 $1,162,075,862 $957,559,968 $714,032,371
Total Unusual Items $-491,783,885 $-8,275,210 $-5,910,864 $1,182,173
Total Unusual Items Excluding Goodwill $-491,783,885 $-8,275,210 $-15,368,246 $1,182,173
Reconciled Depreciation $347,558,803 $310,911,446 $308,547,101 $278,992,781
EBITDA (Bullshit earnings) $596,997,264 $1,153,800,653 $951,649,104 $715,214,544
EBIT $249,438,461 $842,889,206 $643,102,003 $436,221,763
Diluted Average Shares $247,336,558 $255,594,035 $255,443,899 $255,455,720
Basic Average Shares $247,336,558 $255,594,035 $254,982,851 $254,959,208
Diluted NI Availto Com Stockholders $33,100,838 $650,195,040 $459,865,219 $322,733,174
Otherunder Preferred Stock Dividend $0 $0 $0 $0
Tax Provision $195,058,512 $172,597,229 $157,228,982 $100,484,688
Other Special Charges $463,411,738 - - -
Impairment Of Capital Assets $28,372,147 $8,275,210 $5,910,864 -
Amortization $22,461,283 $26,007,802 $18,914,765 $17,732,592
Selling General And Administration $596,997,264 $561,532,080 $516,609,514 $612,365,510
Minority Interests - $0 $0 $0
Fetched: 2026-02-06
Balance Sheet (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Assets
Net Tangible Assets $3,028,726,714 $3,395,200,282 $3,143,397,475 $2,854,947,312
Total Assets $4,305,473,338 $4,596,287,846 $4,201,442,131 $4,052,488,358
Total Non Current Assets $3,182,409,178 $3,129,211,402 $2,791,109,981 $2,720,179,613
Non Current Prepaid Assets $35,465,184 $29,554,320 $9,457,382 $4,728,691
Non Current Deferred Taxes Assets $67,383,850 $73,294,714 $54,379,949 $56,744,294
Goodwill And Other Intangible Assets $211,608,931 $251,802,806 $171,415,056 $195,058,512
Other Intangible Assets $76,841,232 $91,027,306 $55,562,122 $68,566,022
Current Assets $1,123,064,160 $1,467,076,445 $1,410,332,150 $1,332,308,746
Prepaid Assets $49,651,258 $36,647,357 $35,465,184 $36,647,357
Inventory $442,132,627 $450,407,837 $443,314,800 $511,880,822
Other Receivables $57,926,467 $67,383,850 $62,655,158 $94,573,824
Taxes Receivable $52,015,603 $36,647,357 $52,015,603 $31,918,666
Accounts Receivable $393,663,542 $399,574,406 $398,392,234 $410,213,962
Allowance For Doubtful Accounts Receivable $-20,096,938 $-14,186,074 $-11,821,728 $-15,368,246
Gross Accounts Receivable $413,760,480 $413,760,480 $410,213,962 $425,582,208
Cash Cash Equivalents And Short Term Investments $127,674,662 $476,415,638 $418,489,171 $247,074,115
Cash And Cash Equivalents $127,674,662 $476,415,638 $418,489,171 $247,074,115
Cash Financial - - $418,489,171 $247,074,115
Debt
Net Debt $101,666,861 - - -
Total Debt $326,279,693 $144,225,082 $135,949,872 $275,446,262
Long Term Debt And Capital Lease Obligation $92,209,478 $83,934,269 $85,116,442 $118,217,280
Long Term Debt $34,283,011 $18,914,765 $28,372,147 $46,104,739
Current Debt And Capital Lease Obligation $234,070,214 $60,290,813 $50,833,430 $157,228,982
Current Debt $195,058,512 $27,189,974 $16,550,419 $128,856,835
Liabilities
Total Liabilities Net Minority Interest $1,065,137,693 $948,102,586 $886,629,600 $1,002,482,534
Total Non Current Liabilities Net Minority Interest $271,899,744 $242,345,424 $235,252,387 $243,527,597
Non Current Deferred Taxes Liabilities $101,666,861 $85,116,442 $78,023,405 $65,019,504
Current Liabilities $793,237,949 $705,757,162 $651,377,213 $758,954,938
Payables $550,892,525 $631,280,275 $582,811,190 $581,629,018
Other Payable $204,515,894 $235,252,387 $249,438,461 $231,705,869
Total Tax Payable $59,108,640 $93,391,651 $48,469,085 $30,736,493
Accounts Payable $287,267,990 $302,636,237 $284,903,645 $319,186,656
Equity
Common Stock Equity $3,240,335,645 $3,647,003,088 $3,314,812,531 $3,050,005,824
Total Equity Gross Minority Interest $3,240,335,645 $3,648,185,261 $3,314,812,531 $3,050,005,824
Stockholders Equity $3,240,335,645 $3,647,003,088 $3,314,812,531 $3,050,005,824
Retained Earnings $3,307,719,494 $3,591,440,966 $3,338,455,987 $3,034,637,578
Long Term Equity Investment $14,186,074 $13,003,901 $13,003,901 $10,639,555
Other Equity Interest - - - -
Other
Treasury Shares Number $5,385,218 $5,683,686 $594,491 $565,752
Ordinary Shares Number $244,769,391 $249,910,455 $254,999,650 $255,028,389
Share Issued $250,154,609 $255,594,141 $255,594,141 $255,594,141
Tangible Book Value $3,028,726,714 $3,395,200,282 $3,143,397,475 $2,854,947,312
Invested Capital $3,469,677,168 $3,693,107,827 $3,359,735,098 $3,224,967,398
Working Capital $329,826,211 $761,319,283 $758,954,938 $573,353,808
Capital Lease Obligations $96,938,170 $98,120,342 $91,027,306 $100,484,688
Total Capitalization $3,274,618,656 $3,665,917,853 $3,343,184,678 $3,096,110,563
Minority Interest $0 $1,182,173 $0 $0
Capital Stock $33,100,838 $34,283,011 $34,283,011 $34,283,011
Common Stock $33,100,838 $34,283,011 $34,283,011 $34,283,011
Non Current Pension And Other Postretirement Benefit Plans $46,104,739 $49,651,258 $46,104,739 $37,829,530
Long Term Capital Lease Obligation $57,926,467 $65,019,504 $56,744,294 $72,112,541
Long Term Provisions $31,918,666 $23,643,456 $26,007,802 $22,461,283
Current Capital Lease Obligation $39,011,702 $33,100,838 $34,283,011 $28,372,147
Current Provisions $8,275,210 $14,186,074 $17,732,592 $20,096,938
Investmentsin Associatesat Cost $14,186,074 $13,003,901 $13,003,901 $10,639,555
Goodwill $134,767,699 $160,775,501 $115,852,934 $126,492,490
Net PPE $2,853,765,139 $2,761,555,661 $2,542,853,693 $2,453,008,560
Accumulated Depreciation $-3,656,460,470 $-3,337,273,814 $-3,149,308,339 $-2,994,443,702
Gross PPE $6,510,225,610 $6,098,829,475 $5,692,162,032 $5,447,452,262
Construction In Progress $664,381,114 $459,865,219 $510,698,650 $424,400,035
Other Properties $271,899,744 $254,167,152 $228,159,350 $211,608,931
Machinery Furniture Equipment $3,532,332,326 $3,401,111,146 $3,188,320,042 $3,032,273,232
Buildings And Improvements $72,112,541 $68,566,022 $61,472,986 $73,294,714
Land And Improvements $1,969,499,885 $1,915,119,936 $1,703,511,005 $1,705,875,350
Properties $0 $0 $0 $0
Finished Goods $216,337,622 $195,058,512 $208,062,413 $237,616,733
Work In Process $20,096,938 $21,279,110 $17,732,592 $23,643,456
Raw Materials $205,698,067 $234,070,214 $217,519,795 $250,620,634
Fetched: 2026-02-06
Cash Flow Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Free Cash Flow
Free Cash Flow $161,957,674 $508,334,304 $450,407,837 $70,930,368
Operating Activities
Operating Cash Flow $721,125,408 $965,835,178 $835,796,170 $465,776,083
Investing Activities
Capital Expenditure $-559,167,734 $-457,500,874 $-385,388,333 $-394,845,715
Investing Cash Flow $-561,532,080 $-535,524,278 $-368,837,914 $-394,845,715
Financing Activities
Repurchase Of Capital Stock $-185,601,130 $-179,690,266 $-3,546,518 $-2,364,346
Financing Cash Flow $-257,713,670 $-365,291,395 $-281,357,126 $-16,550,419
Net Other Financing Charges $1,182,173 $-3,546,518 $-5,910,864 -
Cash Dividends Paid $-210,426,758 $-147,771,600 $-119,399,453 $-120,581,626
Net Common Stock Issuance $-185,601,130 $-179,690,266 $-3,546,518 $-1,182,173
Issuance Of Capital Stock - $0 $0 $1,182,173
Common Stock Issuance - $0 $0 $1,182,173
Other
Repayment Of Debt $-3,546,518 $-15,368,246 $-119,399,453 $-10,639,555
Issuance Of Debt $177,325,920 $15,368,246 $1,182,173 $146,589,427
End Cash Position $113,488,589 $475,233,466 $417,306,998 $238,798,906
Other Cash Adjustment Outside Changein Cash $-287,267,990 - - -
Beginning Cash Position $475,233,466 $417,306,998 $238,798,906 $195,058,512
Effect Of Exchange Rate Changes $23,643,456 $-7,093,037 $-7,093,037 $-10,639,555
Changes In Cash $-98,120,342 $65,019,504 $185,601,130 $54,379,949
Common Stock Payments $-185,601,130 $-179,690,266 $-3,546,518 $-2,364,346
Net Issuance Payments Of Debt $173,779,402 $0 $-118,217,280 $135,949,872
Net Long Term Debt Issuance $173,779,402 $0 $-118,217,280 $135,949,872
Long Term Debt Payments $-3,546,518 $-15,368,246 $-119,399,453 $-10,639,555
Long Term Debt Issuance $177,325,920 $15,368,246 $1,182,173 $146,589,427
Net Business Purchase And Sale $-2,364,346 $-87,480,787 $5,910,864 $-1,182,173
Purchase Of Business $-2,364,346 $-87,480,787 $0 $-1,182,173
Net Intangibles Purchase And Sale $-14,186,074 $-13,003,901 $-5,910,864 $-9,457,382
Purchase Of Intangibles $-14,186,074 $-13,003,901 $-5,910,864 $-9,457,382
Net PPE Purchase And Sale $-544,981,661 $-435,039,590 $-368,837,914 $-384,206,160
Sale Of PPE $0 $9,457,382 $10,639,555 $1,182,173
Purchase Of PPE $-544,981,661 $-444,496,973 $-379,477,469 $-385,388,333
Taxes Refund Paid $-225,795,005 $-137,132,045 $-143,042,909 $-85,116,442
Interest Received Cfo $53,197,776 $41,376,048 $16,550,419 $11,821,728
Interest Paid Cfo $-24,825,629 $-23,643,456 $-40,193,875 $-44,922,566
Change In Working Capital $-111,124,243 $-8,275,210 $83,934,269 $-174,961,574
Change In Payable $-28,372,147 $7,093,037 $-23,643,456 $3,546,518
Change In Inventory $-37,829,530 $0 $57,926,467 $-133,585,526
Change In Receivables $-44,922,566 $-15,368,246 $49,651,258 $-44,922,566
Stock Based Compensation $3,546,518 $3,546,518 $2,364,346 $3,546,518
Provisionand Write Offof Assets $2,364,346 $-11,821,728 $0 $2,364,346
Depreciation And Amortization $347,558,803 $310,911,446 $308,547,101 $278,992,781
Amortization Cash Flow $29,554,320 $26,007,802 $29,554,320 $17,732,592
Depreciation $318,004,483 $284,903,645 $278,992,781 $261,260,189
Gain Loss On Sale Of PPE $2,364,346 $-9,457,382 $-4,728,691 -
Net Income From Continuing Operations $673,838,496 $800,330,986 $612,365,510 $475,233,466
Sale Of Business - $0 $5,910,864 $0
Net Short Term Debt Issuance - - $-119,399,453 $-10,639,555
Short Term Debt Payments - - $-119,399,453 $-10,639,555
Gain Loss On Investment Securities - - $-4,728,691 $-1,182,173
Fetched: 2026-02-06