July 13, 2025 a 09:00 am

SHW: Analysts Ratings - The Sherwin-Williams Company

The Sherwin-Williams Company Stock Analysis

The Sherwin-Williams Company, a global leader in paints and coatings, exhibits mixed analyst sentiment. With varied operations contributing to its performance, SHW has garnered a significant mix of Strong Buy, Buy, and Hold recommendations from analysts. The recent addition of Strong Sell ratings indicates emerging uncertainties, which require close attention to potential market adjustments and strategic shifts. The company's diversified offerings and global presence remain attractive despite these headwinds, but investor vigilance is advised.

Historical Stock Grades

Recommendation Count Score Bar
Strong Buy 4
Buy 11
Hold 11
Sell 0
Strong Sell 2
Analyst Ratings History Stock Chart

Sentiment Development

Over recent months, the sentiment surrounding SHW has shown signs of increasing caution. The number of Strong Buy recommendations has declined from previous highs, while Hold ratings remain consistent. Notably, there is a new emergence of Strong Sell ratings, indicating a rising sentiment of skepticism in the market.

  • Strong Buy ratings have decreased from 6 in November 2024 to 4 in July 2025.
  • Hold ratings remain stable, showing persistent analyst caution.
  • A new presence of 2 Strong Sell ratings as of July 2025 highlights potential concerns.

Percentage Trends

Analyzing percentage distribution of ratings presents a shift towards neutrality. The data reveals a cautious market outlook with diminished aggressive buying signals.

  • Strong Buy ratings have fallen to approximately 14% by July 2025 (from 26% in November 2024).
  • Hold ratings maintained a steady presence, consistently making up around 40–45% of total recommendations.
  • The increase to 7% for Strong Sell ratings in recent months suggests analyst apprehension.

Latest Analyst Recommendations

Recent recommendations show a mix of cautious downgrades and maintained positions, reflecting market uncertainty.

Date New Recommendation Last Recommendation Publisher
2025-06-23 Underperform Underperform B of A Securities
2025-06-13 Neutral Buy Citigroup
2025-05-01 Outperform Outperform RBC Capital
2025-04-30 Overweight Equal Weight Wells Fargo
2025-04-30 Buy Buy Citigroup

Analyst Recommendations with Change of Opinion

Through varying degrees of adjustments, analysts have displayed oscillating confidence, with trend leans towards a neutral or cautious outlook.

Date New Recommendation Last Recommendation Publisher
2025-06-13 Neutral Buy Citigroup
2025-04-30 Overweight Equal Weight Wells Fargo
2025-03-10 Hold Buy Jefferies
2024-10-07 Sector Weight Overweight Keybanc
2024-04-25 Overweight Sector Weight Keybanc

Interpretation

The analysis of the Sherwin-Williams Company indicates a market with mixed perceptions. The growing presence of cautious recommendations such as Holds and recent additions of Strong Sells suggest a shift towards conservative stances. The solid presence of Buy and Outperform ratings, however, underscores underlying confidence in the company's fundamentals. Market sentiments are appearing as cautiously optimistic tempered with uncertainty, requiring investors to navigate carefully amid conflicting signals.

Conclusion

The Sherwin-Williams Company demonstrates a balanced mix of opportunities and risks, reflected by fluctuating analyst recommendations. Recent sentiments reveal cautious optimism tempered with advisories for prudence. The persistence of Buy recommendations speaks to the company's robust business model, while new Strong Sell entries prompt vigilance. Investors should remain aware of the company's strategic positioning and industry developments to leverage opportunities while managing risks.