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24x7Report > Blog > Finance > Is Sherwin-Williams Stock Underperforming the Dow?
Finance

Is Sherwin-Williams Stock Underperforming the Dow?

Last updated: 2025/09/05 at 7:35 PM
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Is Sherwin-Williams Stock Underperforming the Dow?
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With a market cap of $91.1 billion, The Sherwin-Williams Firm (SHW) is a number one international producer and distributor of paints, coatings, and associated merchandise. Based in 1866 and headquartered in Cleveland, Ohio, the corporate serves skilled, industrial, business, and retail prospects.

Firms value $10 billion or extra are usually described as “large-cap inventory,” Sherwin-Williams suits this invoice completely. It operates via three important segments: The Americas Group, which manages its in depth paint retailer community throughout North and South America; Client Manufacturers Group, which gives branded and private-label merchandise via main retailers; and Efficiency Coatings Group, which delivers industrial coatings worldwide. The corporate’s international presence, substantial model fairness, innovation in coatings, and expansive distribution community place it as a pacesetter within the trade.

SHW inventory touched its 52-week excessive of $400.42 on Nov. 27, 2024, and is at present buying and selling 9.3% beneath that peak. Over the previous three months, SHW has surged 1.5%, lagging behind the broader Dow Jones Industrial Common’s ($DOWI) 6.5% rise throughout the identical time-frame.

www.barchart.com
www.barchart.com

SHW has dipped marginally over the previous 52 weeks, notably underperforming $DOWI’s 10.6% surge over the previous yr. However, in 2025, SHW is up 6.8%, barely outpacing $DOWI’s 6.4% features on a YTD foundation.

SHW shares have been buying and selling above each its 50-day and 200-day transferring averages since early August, indicating a current uptrend.

www.barchart.com
www.barchart.com

On Jul. 22, Sherwin-Williams shares dropped marginally after releasing its second-quarter earnings. The corporate reported marginal year-over-year gross sales progress to $6.31 billion, however income fell sharply, with adjusted EPS down 8.6% to $3.38, lacking estimates. The quarter additionally noticed $59 million in restructuring expenses and $40 million in building-related prices, prompting the corporate to decrease its full-year adjusted EPS steerage to $11.20–$11.50 and forecast flat to low-single-digit gross sales change.

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Sherwin-Williams has notably outperformed its competitor, PPG Industries, Inc.’s (PPG) 14.7% drop in inventory costs over the previous 52 weeks and an 8.6% decline on a YTD foundation.

Among the many 28 analysts overlaying the SHW inventory, the consensus ranking is a “Average Purchase.” Its imply worth goal of $384.09 suggests a 5.8% upside from present worth ranges.

On the date of publication, Kritika Sarmah didn’t have (both straight or not directly) positions in any of the securities talked about on this article. All data and information on this article is solely for informational functions. This text was initially revealed on Barchart.com

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