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The Sherwin-Williams Company (SHW)

316.90 -3.89 (-1.21%)
At close: June 22 at 4:00:02 PM EDT
316.98 +0.08 (+0.03%)
After hours: June 22 at 7:51:38 PM EDT
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News headlines Sherwin-Williams (SHW) faces mixed market signals as Citi reinstates a Buy ratingwith a $355 price target, while other analysts cut targets due to housing market challenges. The company posted $5.67 billionin Q1 revenue, reflecting a 6.8%increase but also noted a 6.3% declinein stock price recently.

Sherwin-Williams (SHW) faces mixed market signals as Citi reinstates a Buy ratingwith a $355 price target, while other analysts cut targets due to housing market challenges. The company posted $5.67 billionin Q1 revenue, reflecting a 6.8%increase but also noted a 6.3% declinein stock price recently.

Updated 56m ago · Powered by Yahoo Scout
  • Previous Close 320.79
  • Open 315.98
  • Bid 317.66 x 8000
  • Ask 317.80 x 12000
  • Day's Range 315.99 - 322.29
  • 52 Week Range 289.86 - 379.65
  • Volume 1,094,808
  • Avg. Volume 2,041,033
  • Market Cap (intraday) 78.159B
  • Beta (5Y Monthly) 1.13
  • PE Ratio (TTM) 30.50
  • EPS (TTM) 10.39
  • Earnings Date (est.) Jul 21, 2026
  • Forward Dividend & Yield 3.20 (1.01%)
  • Ex-Dividend Date May 22, 2026
  • 1y Target Est 372.95

The Sherwin-Williams Company engages in the development, manufacture, distribution, and sale of paint, coatings, and related products to professional, industrial, commercial and retail customers. The company operates through three segments: Paint Stores Group, Consumer Brands Group, and Performance Coatings Group. The Paint Stores Group segment offers architectural paint and coatings; protective and marine products; and OEM product finishes and related products for architectural and industrial paint contractors, and do-it-yourself homeowners under the Sherwin-Williams brand. The Consumer Brands Group segment supplies a portfolio of branded and private-label architectural paints, stains, varnishes, industrial products, wood finishes products, wood preservatives, applicators, corrosion inhibitors, aerosols, caulks, and adhesives to retailers, including home centers and hardware stores, and dedicated dealers and distributors. The Performance Coatings Group segment develops and sells industrial coatings for wood finishing and general industrial applications; automotive refinish products; protective and marine coatings; coil coatings; packaging coatings; and performance-based resins and colorants. This segment serves retailers, dealers, jobbers, licensees, and other third-party distributors. The company operates in North America, South America, the Caribbean, Europe, Asia, and Australia. The Sherwin-Williams Company was founded in 1866 and is headquartered in Cleveland, Ohio.

www.sherwin-williams.com

64,249

Full Time Employees

December 31

Fiscal Year Ends

Performance Overview

Trailing total returns as of 6/22/2026, which may include dividends or other distributions. Benchmark is S&P 500 (^GSPC) .

YTD Return

SHW
1.73%
S&P 500 (^GSPC)
9.16%

1-Year Return

SHW
4.09%
S&P 500 (^GSPC)
25.22%

3-Year Return

SHW
32.13%
S&P 500 (^GSPC)
70.54%

5-Year Return

SHW
21.21%
S&P 500 (^GSPC)
75.98%

Earnings Trends

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Earnings Per Share

GAAP
Normalized
GAAP
Normalized

Revenue vs. Earnings

Annual
Quarterly
Annual
Quarterly
Q1 FY26
Revenue 5.67B
Earnings 583.03M

Q2

FY25

Q3

FY25

Q4

FY25

Q1

FY26

0
2B
4B
6B

Analyst Insights

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Analyst Price Targets

330.00
372.95 Average
316.90 Current
420.00 High

Analyst Recommendations

  • Strong Buy
  • Buy
  • Hold
  • Underperform
  • Sell

Latest Rating

Date 6/4/2026
Analyst BMO Capital
Rating Action Maintains
Rating Outperform
Price Action Lowers
Price Target 420 -> 355

Statistics

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Valuation Measures

Annual
As of 6/18/2026
  • Market Cap

    79.12B

  • Enterprise Value

    92.69B

  • Trailing P/E

    30.82

  • Forward P/E

    27.25

  • PEG Ratio (5yr expected)

    2.48

  • Price/Sales (ttm)

    3.34

  • Price/Book (mrq)

    17.86

  • Enterprise Value/Revenue

    3.87

  • Enterprise Value/EBITDA

    20.32

Financial Highlights

Profitability and Income Statement

  • Profit Margin

    10.86%

  • Return on Assets (ttm)

    9.44%

  • Return on Equity (ttm)

    60.72%

  • Revenue (ttm)

    23.94B

  • Net Income Avi to Common (ttm)

    2.6B

  • Diluted EPS (ttm)

    10.39

Balance Sheet and Cash Flow

  • Total Cash (mrq)

    216.9M

  • Total Debt/Equity (mrq)

    329.52%

  • Levered Free Cash Flow (ttm)

    2.14B

Compare

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Company Insights

Fair Value

316.90 Current

Dividend Score

0 Low
Sector Avg.
100 High

Hiring Score

0 Low
Sector Avg.
100 High

Insider Sentiment Score

0 Low
Sector Avg.
100 High

Research Reports

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  • Relative weakness offers buying opportunity

    Sherwin-Williams is the largest U.S. producer of paint, coatings, and related products. The company has approximately 64,000 employees and operates over 5,000 retail stores and facilities in over 120 countries. Sherwin-Williams supplies coatings directly to retailers, distributors, industrial and commercial customers, and other industry professionals. The company acquired Valspar in 2017. SHW shares are a component of the S&P 500.

    Rating
    Price Target
  • The major indices are broadly lower at midday on Wednesday. Optimism

    The major indices are broadly lower at midday on Wednesday. Optimism about a possible end to the war in Iran has been dinged by new military strikes from both sides near the Strait of Hormuz. Meanwhile, inflation is headed higher based on new CPI data (at 4.2%) that was released this morning.

  • US Large Cap Pick List - May 2026

    This pick list highlights constituents of the Morningstar US Large Cap Index that we believe offer investors the best risk-adjusted return prospects. Stocks of large-cap companies where neither growth nor value characteristics predominate. Stocks in the top 70% of the capitalization of the U.S. equity market are defined as large cap.

  • US Large Cap Pick List - June 2026

    This pick list highlights constituents of the Morningstar US Large Cap Index that we believe offer investors the best risk-adjusted return prospects. Stocks of large-cap companies where neither growth nor value characteristics predominate. Stocks in the top 70% of the capitalization of the U.S. equity market are defined as large cap.

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