January 15, 2026 a 11:43 am

SHW: Fundamental Ratio Analysis - The Sherwin-Williams Company

The Sherwin-Williams Company Overview

The Sherwin-Williams Company, with operations globally, stands as a leader in the production and distribution of paints and coatings. As of its latest report, SHW maintains a solid market position, fueled by its diverse segment operations and expansive global reach. Investors should pay attention to the company's strategic movements in the specialty chemicals sector.

Fundamental Rating

The current fundamentals showcase a balanced performance with strengths in return metrics but considerable leverage risk.

Category Score
Discounted Cash Flow 4
Return On Equity 5
Return On Assets 5
Debt To Equity 1
Price To Earnings 1
Price To Book 1

Historical Rating

Historical insights indicate stability in the company's scoring over recent fiscal evaluations.

Date Overall DCF ROE ROA D/E P/E P/B
2026-01-14 3 4 5 5 1 1 1
Previous 0 4 5 5 1 1 1

Analyst Price Targets

Analyst targets reveal a generally positive consensus, projecting potential price appreciation.

High Low Median Consensus
415 371 405 398.2
Stock Chart

Analyst Sentiment

The analyst sentiment is predominantly in favor of buying, reflecting positive expectations.

Recommendation Count Distribution
Strong Buy 0
Buy 24
Hold 13
Sell 1
Strong Sell 0

Conclusion

The Sherwin-Williams Company offers a commendable investment with strong return figures, indicated by a favorable analyst sentiment and pricing targets. However, the relatively high debt-to-equity ratio could impose future financial risks. The company's diversified global operations add resilience against market fluctuations. Investors should weigh these factors against the company's potential financial leverage challenges when considering investment decisions in SHW.