Koppers Holdings Inc. (NYSE:KOP) Poised To Extend Rally As Momentum Reaccelerates

Momentum indicators and moving-average structure favor further upside, while fundamentals show mixed operational pressure offset by cash-flow strength and a below-peer valuation. Near-term price action likely follow-through with guarded risk of a short corrective pullback.

Recent News

May 7, 2026 — Board declared a quarterly cash dividend of $0.09 per share payable June 15, 2026 to shareholders of record at the close on May 29, 2026. May 11, 2026 — the company announced Eric Brenner will join as Chief Financial Officer and Treasurer effective May 26, 2026. Mid‑June 2026 — Koppers confirmed participation in multiple investor conferences scheduled for June. April 24, 2026 — the company published its 2025 Annual Report and related corporate materials.

Technical Analysis

Directional indicators show a strong trend environment: ADX at 35.71 indicates a strong trend, while DI+ at 26.15 registered a dip-and-reversal (bullish) and DI‑ at 9.75 is decreasing (bullish). Together these directional signals favor continuation of the recent advance rather than a trend reversal.

Momentum confirms the bullish tilt: MACD stands at 1.52 and sits above the signal line at 1.30; the MACD recorded a dip‑and‑reversal and the cross above the signal line signals a return of bullish momentum.

MRO reads 6.79 (positive), which indicates the current price sits above the model target and therefore carries an elevated risk of a near-term mean reversion; the recent MRO dip‑and‑reversal, however, offsets some of that corrective pressure by pointing to renewed momentum.

RSI at 65.69 and rising shows momentum strength near the overbought threshold; upside momentum remains intact but leaves limited short‑term room before momentum indicators force consolidation.

Price sits above short-, medium- and long-term averages: close at $49.05 exceeds the 12‑day EMA ($47.22), 20‑day average ($46.81), 50‑day average ($43.40) and 200‑day average ($34.60). The price’s proximity to the 52‑week high ($49.30) plus narrow Bollinger bands suggests the advance carries momentum but could meet intraday resistance near recent highs; the super trend lower at $45.60 and the 20‑day/12‑day averages now act as technical support for any pullback.

 


Fundamental Analysis

Total revenue stands at $455.3M with EBITDA of $42.3M and EBIT of $22.9M; WMDST values the stock as under-valued. GAAP EPS came in at $0.57 versus an estimate of $0.38, producing an EPS surprise ratio of 50%, and the company reported first-quarter 2026 results and related disclosures in early May.

Margins and profitability present mixed signals: EBIT margin equals 5.03%, well below the industry peer mean of 24.634% and the industry peer median of 28.391%, and operating margin sits at 5.601% with a year‑over‑year decline of about 43.76%. QoQ changes show contraction in margin measures. Cash generation stands out relative to operating profit — operating cash flow of $46.3M and free cash flow of $34.9M produce a free cash flow yield of 4.897% that sits above the industry peer mean of 0.484%.

Leverage and liquidity mix: total debt $1,022.9M and net debt $877.4M produce a debt‑to‑assets ratio of 54.4%, above the industry peer mean of 33.426%, and debt‑to‑equity of 1.8615, also above the industry peer mean of 0.82319. Liquidity metrics remain healthy on a near‑term basis with a current ratio of 2.71 (above the industry peer mean of 1.25407) and a quick ratio of 1.11. Cash conversion cycle runs long at 110.8 days versus the industry peer mean of 34.29 days, reflecting working‑capital intensity in inventory and receivables.

Valuation and capital returns: price‑to‑book at 1.30 stays below the industry peer mean of 4.77396 and median of 5.84845; forward PE near 28.9 contrasts with the reported trailing PE of 105.9 (reflecting the recent EPS base and one‑time effects). Dividend policy remains in place with a quarterly cash dividend declared; dividend payout ratio at about 30.99% and dividend coverage near 3.23x indicate sustainable distributable cash relative to reported earnings. Taken together, cash‑flow strength and below‑peer valuation metrics underpin the WMDST valuation that marks the stock as under‑valued despite compressed operating margins and elevated leverage.

MOST-RECENT QUARTERLY REPORT
REPORT PERIOD ENDING: 2026-03-31
REPORT DATE: 2026-05-08
NEXT REPORT DATE: 2026-08-07
CASH FLOW  Begin Period Cash Flow 38.0 M
 Operating Cash Flow 46.3 M
 Capital Expenditures -11.40 M
 Change In Working Capital 15.5 M
 Dividends Paid -2.20 M
 Cash Flow Delta 4.8 M
 End Period Cash Flow 42.8 M
 
INCOME STATEMENT REVENUE
 Total Revenue 455.3 M
 Forward Revenue 362.2 M
COSTS
 Cost Of Revenue 368.7 M
 Depreciation 19.4 M
 Depreciation and Amortization 19.4 M
 Research and Development
 Total Operating Expenses 429.8 M
PROFITABILITY
 Gross Profit 86.6 M
 EBITDA 42.3 M
 EBIT 22.9 M
 Operating Income 25.5 M
 Interest Income
 Interest Expense 15.0 M
 Net Interest Income -15.00 M
 Income Before Tax 7.9 M
 Tax Provision 800.0 K
 Tax Rate 27.7 %
 Net Income 7.1 M
 Net Income From Continuing Operations 7.1 M
EARNINGS
 EPS Estimate 0.38
 EPS Actual 0.57
 EPS Difference 0.19
 EPS Surprise 50.0 %
 Forward EPS 1.18
 
BALANCE SHEET ASSETS
 Total Assets 1.9 B
 Intangible Assets 432.5 M
 Net Tangible Assets 117.0 M
 Total Current Assets 668.9 M
 Cash and Short-Term Investments 42.8 M
 Cash 42.8 M
 Net Receivables 181.0 M
 Inventory 395.9 M
 Long-Term Investments 24.2 M
LIABILITIES
 Accounts Payable 143.4 M
 Short-Term Debt 4.9 M
 Total Current Liabilities 246.5 M
 Net Debt 877.4 M
 Total Debt 1.0 B
 Total Liabilities 1.3 B
EQUITY
 Total Equity 549.5 M
 Retained Earnings 544.3 M
VALUATION & PER-SHARE METRICS EQUITY & PER-SHARE METRICS
 Book Value Per-Share 28.58
 Shares Outstanding 19.229 M
 Revenue Per-Share 23.68
VALUATION
 Market Capitalization 712.7 M
 Enterprise Value 1.7 B
 Enterprise Multiple 40.02
Enterprise Multiple QoQ 88.005 %
Enterprise Multiple YoY -56.061 %
Enterprise Multiple IPRWA high: 140.93
median: 71.983
mean: 68.903
KOP: 40.02
low: -18.193
 EV/R 3.718
CAPITAL STRUCTURE
 Asset To Equity 3.422
 Asset To Liability 1.413
 Debt To Capital 0.651
 Debt To Assets 0.544
Debt To Assets QoQ 0.386 %
Debt To Assets YoY -3.795 %
Debt To Assets IPRWA high: 0.673
KOP: 0.544
mean: 0.334
median: 0.305
low: 0.006
 Debt To Equity 1.862
Debt To Equity QoQ 4.499 %
Debt To Equity YoY -13.297 %
Debt To Equity IPRWA high: 2.671
KOP: 1.862
mean: 0.823
median: 0.682
low: -3.496
PRICE-BASED VALUATION
 Price To Book (P/B) 1.297
Price To Book QoQ 25.136 %
Price To Book YoY 17.678 %
Price To Book IPRWA high: 5.848
median: 5.848
mean: 4.774
KOP: 1.297
low: 0.682
 Price To Earnings (P/E) 105.899
Price To Earnings QoQ 142.411 %
Price To Earnings YoY 174.004 %
Price To Earnings IPRWA high: 506.447
median: 112.593
KOP: 105.899
mean: 90.227
low: -249.678
 PE/G Ratio -2.118
 Price To Sales (P/S) 1.565
Price To Sales QoQ 13.848 %
Price To Sales YoY 30.19 %
Price To Sales IPRWA high: 25.686
median: 25.686
mean: 20.093
KOP: 1.565
low: 0.801
FORWARD MULTIPLES
Forward P/E 28.876
Forward PE/G -0.578
Forward P/S 1.954
EFFICIENCY OPERATIONAL
 Operating Leverage -11.057
ASSET & SALES
 Asset Turnover Ratio 0.242
Asset Turnover Ratio QoQ 5.628 %
Asset Turnover Ratio YoY 0.104 %
Asset Turnover Ratio IPRWA high: 0.481
KOP: 0.242
mean: 0.111
median: 0.101
low: 0.005
 Receivables Turnover 2.681
Receivables Turnover Ratio QoQ 8.661 %
Receivables Turnover Ratio YoY 16.443 %
Receivables Turnover Ratio IPRWA high: 3.395
KOP: 2.681
mean: 1.801
median: 1.707
low: 0.871
 Inventory Turnover 0.914
Inventory Turnover Ratio QoQ 15.162 %
Inventory Turnover Ratio YoY 5.25 %
Inventory Turnover Ratio IPRWA high: 3.289
median: 2.188
mean: 2.172
KOP: 0.914
low: 0.779
 Days Sales Outstanding (DSO) 34.041
CASH CYCLE
 Cash Conversion Cycle Days (CCC) 110.763
Cash Conversion Cycle Days QoQ 7.545 %
Cash Conversion Cycle Days YoY 16.118 %
Cash Conversion Cycle Days IPRWA high: 175.851
KOP: 110.763
median: 40.054
mean: 34.291
low: -38.744
CAPITAL DEPLOYMENT
 Cash Conversion Ratio 1.078
 CapEx To Revenue -0.025
 CapEx To Depreciation -0.588
 
CAPITAL, LIQUIDITY & COVERAGE CAPITAL STRUCTURE
 Total Capital 1.5 B
 Net Invested Capital 1.5 B
 Invested Capital 1.5 B
 Net Tangible Assets 117.0 M
 Net Working Capital 422.4 M
LIQUIDITY
 Cash Ratio 0.174
 Current Ratio 2.714
Current Ratio QoQ -7.843 %
Current Ratio YoY 2.848 %
Current Ratio IPRWA high: 3.54
KOP: 2.714
mean: 1.254
median: 0.828
low: 0.813
 Quick Ratio 1.108
Quick Ratio QoQ -2.324 %
Quick Ratio YoY 0.69 %
Quick Ratio IPRWA high: 3.152
KOP: 1.108
mean: 0.994
median: 0.693
low: 0.447
COVERAGE & LEVERAGE
 Debt To EBITDA 24.182
 Cost Of Debt 1.318 %
 Interest Coverage Ratio 1.527
Interest Coverage Ratio QoQ -56.341 %
Interest Coverage Ratio YoY -4324.322 %
Interest Coverage Ratio IPRWA high: 40.21
median: 40.21
mean: 28.58
KOP: 1.527
low: -7.509
 Operating Cash Flow Ratio 0.164
TIMING / LIQUIDITY
 Days Payables Outstanding (DPO) 37.674
DIVIDENDS
 Dividend Coverage Ratio 3.227
 Dividend Payout Ratio 0.31
 Dividend Rate 0.11
 Dividend Yield 0.003
PERFORMANCE GROWTH
 Asset Growth Rate -0.344 %
 Revenue Growth 5.223 %
Revenue Growth QoQ -148.187 %
Revenue Growth YoY -221.522 %
Revenue Growth IPRWA high: 108.664 %
KOP: 5.223 %
mean: 0.914 %
median: 0.194 %
low: -15.81 %
 Earnings Growth -50.0 %
Earnings Growth QoQ 18.627 %
Earnings Growth YoY 541.684 %
Earnings Growth IPRWA high: 200.0 %
median: 3.095 %
mean: -3.165 %
KOP: -50.0 %
low: -123.684 %
MARGINS
 Gross Margin 19.02 %
Gross Margin QoQ -25.723 %
Gross Margin YoY -17.932 %
Gross Margin IPRWA high: 48.684 %
median: 48.491 %
mean: 39.827 %
KOP: 19.02 %
low: 0.941 %
 EBIT Margin 5.03 %
EBIT Margin QoQ -59.844 %
EBIT Margin YoY -3939.695 %
EBIT Margin IPRWA high: 44.361 %
median: 28.391 %
mean: 24.634 %
KOP: 5.03 %
low: -7.358 %
 Return On Sales (ROS) 5.601 %
Return On Sales QoQ -55.12 %
Return On Sales YoY -4375.573 %
Return On Sales IPRWA high: 34.592 %
median: 27.058 %
mean: 22.615 %
KOP: 5.601 %
low: -4.68 %
CASH FLOW
 Free Cash Flow (FCF) 34.9 M
 Free Cash Flow Yield 4.897 %
Free Cash Flow Yield QoQ 2.234 %
Free Cash Flow Yield YoY -172.645 %
Free Cash Flow Yield IPRWA KOP: 4.897 %
high: 3.625 %
mean: 0.484 %
median: 0.398 %
low: -13.172 %
 Free Cash Growth 22.456 %
Free Cash Growth QoQ -192.786 %
Free Cash Growth YoY -113.531 %
Free Cash Growth IPRWA high: 49.945 %
KOP: 22.456 %
median: -42.875 %
mean: -74.848 %
low: -399.666 %
 Free Cash To Net Income 4.915
 Cash Flow Margin 8.895 %
 Cash Flow To Earnings 5.704
VALUE & RETURNS
 Economic Value Added 0.02
 Return On Assets (ROA) 0.377 %
Return On Assets QoQ -76.003 %
Return On Assets YoY -151.293 %
Return On Assets IPRWA high: 4.286 %
median: 2.145 %
mean: 1.729 %
KOP: 0.377 %
low: -3.698 %
 Return On Capital Employed (ROCE) 1.402 %
 Return On Equity (ROE) 0.013
Return On Equity QoQ -75.029 %
Return On Equity YoY -146.292 %
Return On Equity IPRWA high: 0.115
median: 0.048
mean: 0.041
KOP: 0.013
low: -0.035
 DuPont ROE 1.264 %
 Return On Invested Capital (ROIC) 1.4 %
Return On Invested Capital QoQ -49.749 %
Return On Invested Capital YoY -4342.424 %
Return On Invested Capital IPRWA high: 4.166 %
median: 2.94 %
mean: 2.363 %
KOP: 1.4 %
low: -1.287 %

Six-Week Outlook

Technical momentum and moving‑average structure favor additional upside over the next six weeks, with directional indicators and a bullish MACD cross arguing for trend continuation. The RSI near 66 and a positive MRO suggest the advance carries exhaustion risk; expect periodic intraday or multi‑session pullbacks toward the 12‑ to 20‑day averages and the super trend lower if buyers pause. On fundamentals, robust free cash flow and a below‑peer price‑to‑book provide a supportive backdrop for the trend, while compressed margins and above‑average leverage represent the primary downside sensitivity that could amplify any corrective move. Overall, expect structurally bullish price action with intermittent mean‑reversion episodes while the company works through margin recovery and integration of recent leadership changes.

About Koppers Holdings Inc.

Koppers Holdings Inc. (NYSE:KOP) is a dynamic leader in the production and supply of treated wood products, wood preservation chemicals, and carbon compounds, with a global footprint spanning the United States, Australasia, and Europe. Headquartered in Pittsburgh, Pennsylvania, Koppers operates through three core segments: Railroad and Utility Products and Services (RUPS), Performance Chemicals (PC), and Carbon Materials and Chemicals (CMC). The RUPS segment is dedicated to enhancing the railroad and utility sectors by providing essential products such as treated crossties, switch ties, and rail joint bars. It also offers specialized services including engineering, design, and inspection for railroad infrastructure. In the Performance Chemicals segment, Koppers excels in developing and marketing innovative copper-based wood preservatives. These chemicals are crucial for a variety of applications, from residential decking and fencing to utility poles and agricultural uses, ensuring durability and safety. The CMC segment focuses on producing critical carbon compounds, such as creosote and carbon pitch, which are integral to industries like aluminum, steel, and rubber. Additionally, it supplies naphthalene and phthalic anhydride for diverse industrial applications. Koppers is committed to sustainability and innovation, serving a broad range of industries with products that enhance infrastructure and improve quality of life.



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