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The Sherwin-Williams Company

SHW | US

336.11

USD

0.38

0.11%

SHW | US

About The Sherwin-Williams Company

Sector

Basic Materials

Industry

Specialty Chemicals

Earnings date

30/06/2024

As of date

10/04/2026

Close

336.11

Open

335.72

High

337.22

Low

332.08

The Sherwin-Williams Company engages in the manufacture distribution and sale of paints coating and related products to professional industrial commercial and retail customers. It operates through three segments: The Americas Group Consumer Brands Group and Performance Coatings Group. The Americas Group segment offers architectural paints and coatings and protective and marine products as well as OEM product finishes and related products for architectural and industrial paint contractors and do-it-yourself homeowners. 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 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. It serves retailers dealers jobbers licensees and other third-party distributors through its branches and direct sales staff as well as through outside sales representatives. The company has operations primarily in the North and South America the Caribbean Europe Asia and Australia. The Sherwin-Williams Company was founded in 1866 and is headquartered in Cleveland Ohio.

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SHW | US

Risk
34.9
Sharpe
0.13
Luna's Score
46/100
Recommendation
Hold

Luna says (SHW | US)

What's Working

Positive Momentum

Low 6-Month Volatility (<30%)

Largecap (10B - 200B USD)

What's not Working

High Short-term Volatility

Weak P/E, and PEG ratio indicator

High Market Beta (> 0.8)

High Debt to Equity (> 0.75)

High Debt to Asset (> 0.45)

Rich in Valuation (Price to Book > 8)

Weak Sharpe Ratio (< 0.3)

Volatility Signals

Bullish: Stable Volatility (6-month <= 1-month volatility) is positive for the stock performance.

Risk Meter

10 days

40.3%

1 month

34.9%

3 months

28.1%

6 months

25.3%

Returns

Fundamental Ratios

PE

39.51

Fwd. PE

30.40

Price to book

26.11

Debt to equity

3.28

Debt to assets

0.52

Ent. to EBITDA

25.46

Ent. to rev.

4.78

PEG

4.31

Other Fundamentals

EBITDA

4.38B

MarketCap

84.79B

MarketCap(USD)

84.79B

Div. yield

0.74

Op. margin

19.72

Erngs. growth

14.00

Rev. growth

0.50

Ret. on equity

68.07

Short ratio

1.91

Short perc.

1.03

Market Sentiment (SMA and Price signals)

Short-term: Bullish (SMA10D > SMA1M)

Intermediate-term: Bearish (SMA1M < SMA3M)

Long-term: Bearish (SMA6M < SMA12M)

SMAs: Stock Price Trends

Range10D

28.71

Range1M

37.74

Range3M

76.19

Volumes: Market Activity

Rel. volume

0.68

Price X volume

389.92M

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  • 1

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  • 1

Industry Comparison

ParameterCompanyIndustryIndicator
Enterprise to EBITDA25.46-Expensive
Ent. to Revenue4.78-Cheaper
PE Ratio39.5129.28Expensive
Price to Book26.113.77Expensive
Dividend Yield0.74-Poor
Std. Deviation (3M)28.06-Lower Risk
Debt to Equity3.281.05Expensive
Debt to Assets0.520.37Expensive
Market Cap84.79B-Market Leader
  • 1

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