Perimeter Solutions, Inc. (PRM) Stock Analysis — April 2026 Rating, Price, and Forecast
Company Overview — What Does Perimeter Solutions, Inc. Do?
Perimeter Solutions, SA manufactures and supplies firefighting products and lubricant additives in the United States, Germany, and internationally. It operates in two segments, Fire Safety and Oil Additives. The Fire Safety segment provides fire retardants and firefighting foams, as well as specialized equipment and services for federal, state, provincial, local/municipal, and commercial customers. The Oil Additives segment produces Phosphorus Pentasulfide which is primarily used in the preparation of lubricant additives, including a family of compounds called Zinc Dialkyldithiophosphates. The company offers its products under the brands PHOS-CHEK, FIRE-TROL, AUXQUIMIA, SOLBERG. and BIOGEMA. Perimeter Solutions, SA was founded in 1963 and is headquartered in Clayton, Missouri. Perimeter Solutions, Inc. (PRM) is classified as a mid-cap stock in the Materials sector, specifically within the Chemicals industry. The company is led by CEO Edward Goldberg and employs approximately 240 people. With a market capitalization of $3.9B, PRM is one of the notable companies in the Materials sector.
Perimeter Solutions, Inc. (PRM) Stock Rating — Hold (April 2026)
As of April 2026, Perimeter Solutions, Inc. receives a Hold rating with a composite score of 40.6/100 and 3 out of 5 stars from the Blank Capital Research quantitative model.PRM ranks #1,581 out of 4,446 stocks in our coverage universe. Within the Materials sector, Perimeter Solutions, Inc. ranks #99 of 284 stocks, placing it in the upper half of its Materials peers. The rating is generated by a multi-factor model that weighs quality (30%), momentum (25%), value (15%), investment (10%), stability (10%), and short interest (10%).
PRM Stock Price and 52-Week Range
Perimeter Solutions, Inc. (PRM) currently trades at $25.04. The 52-week high for PRM is $29.88, which means the stock is currently trading -16.2% from its annual peak. The 52-week low is $8.76, putting the stock 185.8% above its annual trough. Recent trading volume was 0 shares, suggesting relatively thin trading activity.
Is PRM Overvalued or Undervalued? — Valuation Analysis
Perimeter Solutions, Inc. (PRM) carries a value factor score of 29/100 in the Blank Capital model, signaling premium valuation that prices in significant future growth. The price-to-book ratio stands at 3.19x, versus the sector average of 2.83x. The price-to-sales ratio is 4.31x, compared to 0.74x for the average Materials stock.
At current multiples, Perimeter Solutions, Inc. trades at a premium to most Materials peers. This elevated valuation may be justified if the company can sustain above-average growth rates and profitability, but it also creates downside risk if earnings disappoint expectations.
Perimeter Solutions, Inc. Profitability — ROE, Margins, and Quality Score
Perimeter Solutions, Inc. (PRM) earns a quality factor score of 38/100, signaling below-average profitability metrics relative to the broader market. The return on equity (ROE) is -13.7%, compared to the Materials sector average of 3.3%, which is below typical expectations for high-quality companies. Return on assets (ROA) comes in at -5.9% versus the sector average of 0.6%.
On a margin basis, Perimeter Solutions, Inc. reports gross margins of 56.9%, compared to 29.8% for the sector. The operating margin is 13.0% (sector: 6.0%). Net profit margin stands at -0.2%, versus 3.0% for the average Materials stock. Revenue growth is running at 147.8% on a trailing basis, compared to 1.8% for the sector. Profitability is below benchmark levels, which may reflect industry headwinds, elevated reinvestment, or structural challenges.
PRM Debt, Balance Sheet, and Financial Health
Perimeter Solutions, Inc. has a debt-to-equity ratio of 59.0%, compared to the Materials sector average of 41.0%. Leverage is within a manageable range for the industry, though investors should monitor debt trends over time. The current ratio is 3.22x, indicating strong short-term liquidity. Total debt on the balance sheet is $669M. Cash and equivalents stand at $341M.
PRM has a beta of 0.98, meaning it is roughly in line with the broader market in terms of price volatility. The stability factor score for Perimeter Solutions, Inc. is 48/100, reflecting average volatility within the normal range for its sector.
Perimeter Solutions, Inc. Revenue and Earnings History — Quarterly Trend
In TTM 2026, Perimeter Solutions, Inc. reported revenue of $839M and earnings per share (EPS) of $-1.37. Net income for the quarter was $-155M. Gross margin was 56.9%. Operating income came in at $-71M.
In FY 2025, Perimeter Solutions, Inc. reported revenue of $653M and earnings per share (EPS) of $-1.37. Net income for the quarter was $-206M. Gross margin was 57.5%. Revenue grew 16.4% year-over-year compared to FY 2024. Operating income came in at $-201M.
In Q3 2025, Perimeter Solutions, Inc. reported revenue of $315M and earnings per share (EPS) of $-0.62. Net income for the quarter was $-91M. Gross margin was 63.1%. Revenue grew 9.4% year-over-year compared to Q3 2024. Operating income came in at $-87M.
In Q2 2025, Perimeter Solutions, Inc. reported revenue of $163M and earnings per share (EPS) of $-0.22. Net income for the quarter was $-32M. Gross margin was 62.4%. Revenue grew 27.8% year-over-year compared to Q2 2024. Operating income came in at $-26M.
Over the past 8 quarters, Perimeter Solutions, Inc. has demonstrated a growth trajectory, with revenue expanding from $127M to $839M. Investors analyzing PRM stock should weigh these quarterly trends alongside the valuation and quality metrics discussed above.
PRM Dividend Yield and Income Analysis
Perimeter Solutions, Inc. (PRM) does not currently pay a dividend. This is common among smaller companies in the Chemicals industry that prefer to reinvest cash flows into business expansion rather than returning capital to shareholders. Income-focused investors looking for Materials dividend stocks may want to explore other Materials stocks or use the stock screener to filter by dividend yield.
PRM Momentum and Technical Analysis Profile
Perimeter Solutions, Inc. (PRM) has a momentum factor score of 64/100, reflecting neutral trend characteristics. The stock is neither significantly outperforming nor underperforming the broader market on a momentum basis. The investment factor score is 21/100, which measures capital allocation efficiency and asset growth patterns. The short interest score of 22/100 signals elevated short interest, which can indicate bearish sentiment among institutional investors.
PRM vs Competitors — Materials Sector Ranking and Peer Comparison
Within the Materials sector, Perimeter Solutions, Inc. (PRM) ranks #99 out of 284 stocks based on the Blank Capital composite score. This places PRM in the upper half of all Materials stocks in our coverage universe. Key competitors and sector peers include CF Industries Holdings, Inc. (CF) with a score of 56.6/100, Nutrien Ltd. (NTR) with a score of 56.6/100, CVR PARTNERS, LP (UAN) with a score of 55.6/100, LSB INDUSTRIES, INC. (LXU) with a score of 53.6/100, and ACME UNITED CORP (ACU) with a score of 51.2/100.
Comparing PRM against the S&P 500 benchmark is also instructive for understanding relative performance. Investors can view the full PRM vs S&P 500 (SPY) comparison to assess how Perimeter Solutions, Inc. stacks up against the broader market across all factor dimensions.
PRM Next Earnings Date
No upcoming earnings date has been announced for Perimeter Solutions, Inc. (PRM) at this time. Check the earnings calendar for the latest scheduling updates across all stocks in our coverage universe.
Should You Buy PRM? — Investment Thesis Summary
Perimeter Solutions, Inc. presents a balanced picture with arguments on both sides. The quality score of 38/100 flags below-average profitability. The value score of 29/100 indicates premium valuation. Price momentum is positive at 64/100, suggesting the trend favors buyers.
In summary, Perimeter Solutions, Inc. (PRM) earns a Hold rating with a composite score of 40.6/100 as of April 2026. The rating is derived from the Blank Capital Research methodology, which combines six factor dimensions into a single quantitative ranking. Investors should consider these quantitative signals alongside their own fundamental research, risk tolerance, and investment time horizon before making buy or sell decisions on PRM stock.
Related Resources for PRM Investors
Explore more research and tools: PRM vs S&P 500 comparison, top Materials stocks, stock screener, our methodology, quality factor explained, value factor explained, momentum factor explained. Compare PRM head-to-head with peers: PRM vs CF, PRM vs NTR, PRM vs UAN.