Gorman‑Rupp Co. – Financial Snapshot and Market Position

Company Overview

The Gorman‑Rupp Company, headquartered in Mansfield, United States, operates within the industrial machinery sector. Its core business involves the design, manufacturing, and sale of pumps and related fluid‑control equipment. The company’s products serve a broad spectrum of industries—including construction, industrial, petroleum, water, wastewater, original equipment manufacturing, agriculture, fire protection, and military applications—on a global scale.

Market Metrics

  • Stock Exchange: New York Stock Exchange (NYSE)
  • Currency: USD
  • Close Price (2025‑12‑30): $47.75
  • 52‑Week High (2025‑12‑14): $52.02
  • 52‑Week Low (2025‑04‑07): $30.87
  • Market Capitalisation: $1.28 billion
  • Price‑Earnings Ratio: 25.48

The share price has shown a range between $30.87 and $52.02 over the past year, indicating moderate volatility. The current valuation reflects a relatively high price‑earnings multiple, suggesting investor confidence in the company’s earnings potential.

Recent Industry Context

While the broader industrial machinery market continues to face pressures from fluctuating commodity prices and supply‑chain constraints, Gorman‑Rupp’s diversified customer base across multiple sectors provides a degree of resilience. The company’s specialization in pumps for water and wastewater treatment aligns with growing global demand for efficient fluid‑management solutions, particularly in regions prioritising water‑security initiatives.

Strategic Positioning

  • Product Portfolio: Pumps and fluid‑control equipment for diverse applications.
  • Geographic Reach: Global customer base spanning multiple industrial sectors.
  • Innovation Focus: Continuous development of energy‑efficient and high‑performance pump technologies.

Financial Outlook

Given the current price‑earnings ratio and the company’s established market presence, analysts project that Gorman‑Rupp may sustain earnings growth if commodity costs remain stable and demand in key sectors—especially water and wastewater—continues to expand. Investors should monitor the company’s quarterly earnings reports for updates on revenue growth, margin performance, and capital‑expenditure plans.


This article is based solely on the information supplied in the input and does not incorporate external data or speculative statements.