Koppers Holdings Inc. logo

Koppers Holdings Inc.

KOP

NYSEBasic MaterialsChemicals - Specialty

Previous close

$45.19

−$0.69 · -1.50%

Aug 21, 4:00 PM ET

KOP company overview

Regular session · ET · Market data may be delayed.

GoAI snapshot

AI-powered factor overview

Jul 10, 2026

GoAI score

Buy

Favorable setup — positive multi-factor alignment

Valuation

85

Deep Value

Momentum

60

Neutral

Sentiment

58

Mixed

Risk resilience

67

Moderate Risk

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Company profile

Company website

Koppers Holdings Inc., established in 1988 and headquartered in Pittsburgh, Pennsylvania, operates as a global supplier of specialized treated wood products, wood preservation chemicals, and various carbon-based compounds. The company's reach extends across the United States, Australasia, Europe, and other international regions. Its comprehensive business activities are structured into three distinct segments: 1. Railroad and Utility Products and Services (RUPS): This division is responsible for the procurement and treatment of essential timber products such as crossties, switch ties, and lumber utilized in railroad bridges and crossings. Additionally, RUPS provides components like rail joint bars for track construction, transmission and distribution poles for electrical and telecommunication utilities, and pilings for structural foundations. The segment also offers critical services, including engineering, design, repair, and inspection for railroad bridges. 2. Performance Chemicals (PC): This segment focuses on the development, manufacturing, and marketing of a range of copper-based wood preservatives. Key offerings include micronized copper azole, micronized pigments, alkaline copper quaternary, amine copper azole, and chromated copper arsenate. These preservatives are vital for treating wood used in applications such as decking, fencing, utility poles, construction lumber and timbers, and various agricultural uses. Furthermore, the PC segment supplies fire-retardant chemicals specifically formulated for pressure-treating wood, primarily for commercial building projects. 3. Carbon Materials and Chemicals (CMC): Within this segment, Koppers produces a variety of carbon-derived products. These include creosote, which serves both as a wood treatment and a feedstock for carbon black; carbon pitch, a fundamental raw material for aluminum and steel manufacturing; naphthalene, used as a feedstock in phthalic anhydride production and as a surfactant in concrete; phthalic anhydride, an ingredient in plasticizers, polyester resins, and alkyd paints; and carbon black feedstock, crucial for the production of carbon black. Koppers Holdings Inc. serves a wide array of sectors, including the railroad, specialty chemical, utility, residential lumber, agriculture, aluminum, steel, rubber, and construction industries.

Industry
Chemicals - Specialty
Sector
Basic Materials
Headquarters
US
CEO
Leroy Mangus Ball Jr.
Listed since
Feb 1, 2006
Employees
1,859

Market position

Day range

Current $45.19

52-week range

Current $45.19

Open
$45.64
Previous close
$45.88
Volume
163.46K
0.89× average
Average volume
182.92K
Average daily volume
Market cap
869.09M USD
Beta
1.24
Market reference 1
50-day average
$47.242
-4.34% below average
200-day average
$37.4735
+20.59% above average

Financials

Financial snapshot

Latest / TTM

Valuation & yield

Enterprise value
1.52B USD
P/E (TTM)
-9.78×
P/B (TTM)
2.23×
P/S (TTM)
0.46×
EV / EBITDA
6.89×
Earnings yield
10.42%
Free cash flow yield
12.55%
Dividend yield
0.75%

Profitability & efficiency

Gross margin
20.95%
Operating margin
-2.96%
Net margin
-4.59%
Return on equity
9.76%
Return on assets
2.97%
Return on invested capital
8.94%

Financial health

Debt / equity
2.59×
Current ratio
2.94×
Altman Z-score
2.01
Piotroski F-score
4 of 9

Financial statements

Margin trends

Profitability as a percentage of reported revenue.

Gross marginOperating marginNet margin
Gross, operating, and net margin trends26%17%9%0%Gross margin, FY2021: 19.90%Gross margin, FY2022: 17.40%Gross margin, FY2023: 19.71%Gross margin, FY2024: 20.20%Gross margin, FY2025: 23.83%Operating margin, FY2021: 9.32%Operating margin, FY2022: 6.95%Operating margin, FY2023: 9.06%Operating margin, FY2024: 7.08%Operating margin, FY2025: 11.67%Net margin, FY2021: 5.08%Net margin, FY2022: 3.20%Net margin, FY2023: 4.14%Net margin, FY2024: 2.50%Net margin, FY2025: 2.98%FY2021FY2022FY2023FY2024FY2025
Gross margin FY2021 19.90%. Gross margin FY2022 17.40%. Gross margin FY2023 19.71%. Gross margin FY2024 20.20%. Gross margin FY2025 23.83%. Operating margin FY2021 9.32%. Operating margin FY2022 6.95%. Operating margin FY2023 9.06%. Operating margin FY2024 7.08%. Operating margin FY2025 11.67%. Net margin FY2021 5.08%. Net margin FY2022 3.20%. Net margin FY2023 4.14%. Net margin FY2024 2.50%. Net margin FY2025 2.98%.

Income trends

Revenue

1.88B USD-10.17%

Operating income

219.3M USD+47.98%

Net income

56M USD+6.87%
Income trends across reported periods2.36B USD1.52B USD682.94M USD−157.78M USDRevenue, FY2021: 1.68B USDRevenue, FY2022: 1.98B USDRevenue, FY2023: 2.15B USDRevenue, FY2024: 2.09B USDRevenue, FY2025: 1.88B USDOperating income, FY2021: 156.5M USDOperating income, FY2022: 137.7M USDOperating income, FY2023: 195.2M USDOperating income, FY2024: 148.2M USDOperating income, FY2025: 219.3M USDNet income, FY2021: 85.2M USDNet income, FY2022: 63.4M USDNet income, FY2023: 89.2M USDNet income, FY2024: 52.4M USDNet income, FY2025: 56M USDFY2021FY2022FY2023FY2024FY2025
Revenue FY2021 1.68B USD. Revenue FY2022 1.98B USD. Revenue FY2023 2.15B USD. Revenue FY2024 2.09B USD. Revenue FY2025 1.88B USD. Operating income FY2021 156.5M USD. Operating income FY2022 137.7M USD. Operating income FY2023 195.2M USD. Operating income FY2024 148.2M USD. Operating income FY2025 219.3M USD. Net income FY2021 85.2M USD. Net income FY2022 63.4M USD. Net income FY2023 89.2M USD. Net income FY2024 52.4M USD. Net income FY2025 56M USD.
Metric (USD)FY2025FY2024FY2023FY2022FY2021
Revenue1.88B USD2.09B USD2.15B USD1.98B USD1.68B USD
Cost of goods sold1.43B USD1.67B USD1.73B USD1.64B USD1.34B USD
Gross profit447.8M USD422.6M USD424.5M USD344.6M USD334.1M USD
Selling, general, and administrative154.9M USD
Operating expenses228.5M USD274.4M USD229.3M USD206.9M USD177.6M USD
Interest expense66.1M USD76.2M USD71M USD44.8M USD40.5M USD
Depreciation and amortization73.6M USD63.1M USD57M USD56.1M USD57.7M USD
Operating income219.3M USD148.2M USD195.2M USD137.7M USD156.5M USD
Net income56M USD52.4M USD89.2M USD63.4M USD85.2M USD

Company facts updated Aug 24, 2026.

Earnings

EPS beat rate
55%
6 beats, 5 misses, 0 met estimates
Average EPS surprise
+8.82%
11 comparable reports
Latest EPS result
1.37
Estimate 1.12 · Beat by 22.32%

EPS: actual versus estimate

Recent quarterly results

ActualEstimate
Quarterly EPS actual values compared with estimates1.581.160.740.32Q1 '25MissQ2 '25BeatQ3 '25MissQ4 '25MissQ1 '26BeatQ2 '26BeatQ3 '26BeatQ4 '26Estimate
Q1 2025, reported Feb 27, 2025: actual 0.77, estimate 0.95, surprise -18.95%, Miss. Q2 2025, reported May 9, 2025: actual 0.71, estimate 0.56, surprise +26.79%, Beat. Q3 2025, reported Aug 8, 2025: actual 1.48, estimate 1.49, surprise -0.67%, Miss. Q4 2025, reported Nov 7, 2025: actual 1.21, estimate 1.25, surprise -3.20%, Miss. Q1 2026, reported Feb 26, 2026: actual 0.7, estimate 0.59, surprise +18.64%, Beat. Q2 2026, reported May 8, 2026: actual 0.57, estimate 0.377, surprise +51.31%, Beat. Q3 2026, reported Aug 6, 2026: actual 1.37, estimate 1.12, surprise +22.32%, Beat. Q4 2026, reported Nov 6, 2026: actual —, estimate 1.32, surprise —, Comparison unavailable.

Revenue: actual versus estimate

Recent quarterly results

ActualEstimate
Quarterly Revenue actual values compared with estimates603.2M524.43M445.67M366.9MQ1 '25MissQ2 '25MissQ3 '25MissQ4 '25BeatQ1 '26MissQ2 '26BeatQ3 '26BeatQ4 '26Estimate
Q1 2025, reported Feb 27, 2025: actual 477M USD, estimate 501M USD, surprise -4.79%, Miss. Q2 2025, reported May 9, 2025: actual 456.5M USD, estimate 580M USD, surprise -21.29%, Miss. Q3 2025, reported Aug 8, 2025: actual 504.8M USD, estimate 549.7M USD, surprise -8.17%, Miss. Q4 2025, reported Nov 7, 2025: actual 485.3M USD, estimate 445M USD, surprise +9.06%, Beat. Q1 2026, reported Feb 26, 2026: actual 432.7M USD, estimate 444.5M USD, surprise -2.65%, Miss. Q2 2026, reported May 8, 2026: actual 455.3M USD, estimate 390.1M USD, surprise +16.71%, Beat. Q3 2026, reported Aug 6, 2026: actual 520.1M USD, estimate 506.1M USD, surprise +2.77%, Beat. Q4 2026, reported Nov 6, 2026: actual —, estimate 514.6M USD, surprise —, Comparison unavailable.

Analyst ratings

Third-party consensus; not a GoAI recommendation.

Analyst price target

Average target

$55.00

21.71% upside
Past 12 months12-month forecastHigh $55.00Average $55.00Low $55.00

Rating distribution

14 ratings
Strong buy00%
Buy750%
Hold750%
Sell00%
Strong sell00%

Recent analyst actions

2 institutions

KOP peers

ETFs holding KOP

Funds reporting this stock among their holdings, ordered by reported position size.

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