December 10, 2025 a 07:43 am

SHW: Fundamental Ratio Analysis - The Sherwin-Williams Company

Sherwin-Williams Company Analysis

The Sherwin-Williams Company remains a key player in the specialty chemicals sector. With its vast reach across various segments and regions, it reflects strong business fundamentals. This analysis breaks down its current and past performance indicators to provide a comprehensive outlook for potential investors.

Fundamental Rating

The Sherwin-Williams Company has demonstrated robust financial metrics with its current overall rating sitting at B+. The fundamental scores across key areas show a consistent performance.

Category Score Visualization
Discounted Cash Flow 4
Return on Equity 5
Return on Assets 5
Debt to Equity 1
Price to Earnings 2
Price to Book 1

Historical Rating

The performance metrics have transitioned over time, reflecting strategic business maneuvers and market conditions.

Date Overall DCF ROE ROA Debt/Equity P/E P/B
2025-12-09 3 4 5 5 1 2 1
Previous 0 4 5 5 1 2 1

Analyst Price Targets

Analyst estimates predict a positive price trajectory, aligning with the company's strategic objectives.

High Low Median Consensus
422 400 407.5 409.25
Stock price chart for Sherwin-Williams

Analyst Sentiments

The general sentiment remains positive with a significant proportion of analysts recommending a buy.

Recommendation Number Visualization
Strong Buy 0
Buy 23
Hold 14
Sell 1
Strong Sell 0

Conclusion

While The Sherwin-Williams Company exhibits strong fundamentals and positive analyst sentiment, its debt-to-equity ratio remains an area of concern. However, its consistent performance in return on equity and assets suggests a resilient business model. Investors should factor in both the robust market presence and the current financial structure when considering this stock. The company's strategic maneuvers and market expansion remain key drivers for future growth opportunities.