ROL

Rollins, Inc.

Fundamental data last updated:October 5, 2026

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company profile

SECTOR

Consumer Cyclical

industry

Personal Products & Services

Exchange

NYSE

County of HQ

US

Next Earnings Date

Pending Announcement

Business Summary

Rollins, Inc., through its subsidiaries, provides pest and wildlife control services to residential and commercial customers in the United States and internationally. The company offers pest control services to residential properties protecting from common pests, including rodents, insects, and wildlife. It also provides workplace pest control solutions for customers across various end markets, such as healthcare, foodservice, and logistics. In addition, the company offers traditional and baiting termite protection, as well as ancillary services. It serves clients directly, as well as through franchisee operations. Rollins, Inc. was incorporated in 1948 and is headquartered in Atlanta, Georgia.

 


VALUATION

P/E

43.67

Market Cap ($M USD)

$23.12B

Forward P/E

27.35

PEG

0.46

PRICE TO SALES

6.01

PRICE TO BOOK

16.73

EV / EBITDA

28.01

5-Year Average P/E

Free Cash Flow Yield

2.69%

DCF Value

$47.00

Graham Number

$8.43

Price to FCF

37.22

EV to FCF

38.75

Earnings Yield

2.29%

FCF Yield

2.69%

DIVIDEND

Yield

1.48%

Annual Payout

$0.71

Payout Ratio

63.45%

Consecutive Years of Dividend Growth

5-Year Dividend Growth Rate

Financial Health & Profitability

Earnings Per Share

$1.10

Next Year EPS Growth Estimate

$1.76

Next Year Revenue Growth Estimate

$5.46B

Return on Equity (ROE)

36.94%

FREE CASH FLOW

Operating Margin

18.99%

Debt-to-Equity

0.76

Piotroski F-Score

5

Altman Z-Score

10.24

Return on Invested Capital (ROIC)

30.86%

Current Ratio

0.65

Quick Ratio

0.59

Net Debt to EBITDA

1.11

Interest Coverage

23.09

Gross Profit margin

51.78%

FCF PER SHARE

$1.29

REVENUE PER SHARE

$7.99

Gainseekers Quantitative Analysis

Summary

Rollins, Inc. is trading at a premium, with a Price/Earnings ratio of nearly 49, significantly above its DCF value and Graham Number. This suggests the market is pricing in substantial growth, yet the Forward P/E of 30.59 and a robust Altman Z-score of 11.02 indicate financial stability and growth potential. The Earnings Yield of just 2.04% raises concerns about the stock’s immediate income-generating capability. However, the impressive Return on Equity of 36.94% reflects strong management efficiency. Overall, while the valuation appears stretched, the company’s financial health remains solid.

AI Exposure / Tech Reliance

Operating in the Personal Products & Services industry, Rollins, Inc. is well-positioned to leverage AI and tech advancements to enhance customer service and operational efficiency. The sector's adaptability to tech shifts could provide Rollins with a competitive edge in optimizing pest control solutions. However, the company's traditional business model may require strategic tech integrations to fully capitalize on these opportunities.

The Bull Case

For GARP investors, Rollins presents a compelling case with its high ROIC of 30.86%, indicating exceptional capital efficiency. The company's Free Cash Flow Yield, though modest, is supported by a solid Piotroski F-Score of 5, suggesting decent financial health. With an Operating Margin of 18.99%, Rollins demonstrates strong pricing power, allowing it to maintain profitability even in competitive markets. These metrics highlight a company capable of generating consistent returns.

The Bear Case

Despite its strengths, Rollins faces significant valuation challenges. The Price/Book ratio of 18.75 and Price/Sales ratio of 6.74 suggest the stock is priced for perfection, leaving little room for error. The Free Cash Flow Yield of just 2.40% and a high Price to FCF ratio of 41.73 indicate potential cash flow constraints. Additionally, trading close to its 52-week high, the stock appears technically overextended, posing risks for new investors.

Market Sentiment & Smart Money

Short Interest %

Analyst Consensus

Hold

Average Analyst Price Target

$62.44

Institutional Ownership %

1-Year Beta

0.79

Insider Buying % (6 Mo)

Distance to 52-Week High

37.73%

Distance to 52-Week Low

1.48%

EARNINGS SURPRISE %

0.00%

50-DAY SMA

$53.99

200-DAY SMA

$57.75

⚠️ Financial Disclaimer:
This content is for informational purposes only and is not financial advice. Information may be delayed or inaccurate. We may earn a commission from partner links.