August 14, 2025 a 01:00 pm

SHW: Analysts Ratings - The Sherwin-Williams Company

The Sherwin-Williams Company Stock Analysis

The Sherwin-Williams Company, with a diverse portfolio in paints and coatings, commands strong attention in the market. Analyst ratings reflect a varied sentiment, demonstrating a nuanced perspective towards the company's stock. With a stable performance in North and South America, Europe, Asia, and Australia, Sherwin-Williams remains influential across multiple sectors.

Historical Stock Grades

Rating Number of Recommendations Score Representation
Strong Buy 3
Buy 12
Hold 10
Sell 1
Strong Sell 2
Analyst Ratings History for SHW Stock Chart for SHW

Sentiment Development

Over the past months, analyst sentiment towards SHW has shown slight variations. The number of "Strong Buy" recommendations has decreased, while "Hold" recommendations have seen a consistent increase. The overall trend reflects a more cautious approach by analysts.

  • The total number of ratings has fluctuated moderately over the past year.
  • A subtle decrease in "Strong Buy" ratings suggests a growing cautious sentiment.
  • Meanwhile, "Hold" ratings are on the rise, indicating increased market consolidation.

Percentage Trends

An analysis of percentage trends in analyst ratings reveals shifting sentiments over time. Notably, there has been a reduction in "Strong Buy" ratings with a concurrent increase in "Hold" ratings, suggesting a tendency towards caution.

  • December 2024: Strong Buy at 22.2%, Buy at 44.4%, Hold at 26.9%, Sell at 3.7%, Strong Sell at 3.7%.
  • August 2025: Strong Buy at 11.5%, Buy at 46.2%, Hold at 38.5%, Sell at 3.8%, Strong Sell at 7.7%.
  • Over the last 12 months, "Hold" ratings have increased by 11%, reflecting growing market caution.

Latest Analyst Recommendations

Recent analyst recommendations on Sherwin-Williams signify a stable yet cautious outlook. Most recommendations are maintained at current levels, indicating a collective hesitance to pivot strongly in either direction.

Date New Recommendation Last Recommendation Publisher
2025-07-23 Buy Buy UBS
2025-07-23 Outperform Outperform BMO Capital
2025-07-23 Neutral Neutral Citigroup
2025-07-23 Overweight Overweight Wells Fargo
2025-07-23 Buy Buy Loop Capital

Analyst Recommendations with Change of Opinion

Recently, there have been some notable shifts in analyst opinions. Changes include both downgrades and upgrades, which reflect a dynamic sentiment as analysts reassess the market positioning of Sherwin-Williams.

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 current market evaluation for Sherwin-Williams displays a mixture of caution and optimism. The trend towards more "Hold" recommendations suggests a growing uncertainty among analysts. However, the presence of "Buy" and "Outperform" recommendations shows continued confidence in the company's potential. Overall, the sentiment appears moderately stable, without significant lean towards bullish or bearish extremities.

Conclusion

In summary, The Sherwin-Williams Company remains a key player with a robust market foundation. Despite fluctuations in analyst ratings, there is no dramatic change in sentiment, suggesting sustained confidence amidst market dynamics. The diverse business segments of Sherwin-Williams position it well to navigate economic uncertainties. Understanding the nuanced analyst perspectives can enlighten investors on potential opportunities and risks inherent in the stock.