Risk Intelligence
71 / 100
Fundamentally Qualified
How strong and defensively sound is the company?
Above average on this measure.
SHW · NYSE
Materials · Chemicals
$323.31
+1.85%
Close on Sep 11, 2026
Updated 6/30/2026
Long-term research evidence only. No price targets, no trading signals, no recommendations.
Investment Report Card
Materials · Chemicals · Data confidence good
54 / 100
Rank #277 of 1,152 qualified companies
Top 40% · Not Currently Suggested
71 / 100
Fundamentally Qualified
How strong and defensively sound is the company?
Above average on this measure.
57 / 100
Weak Compounder
Does the business have the characteristics needed to create value over many years?
Around the middle of the covered universe.
59 / 100
Middle
Is the underlying business getting stronger or weaker?
Around the middle of the covered universe.
49 / 100
Positive disclosed activity
What are important owners actually doing?
Weaker than most covered companies on this measure.
52 / 100
Reasonable
Is today's price reasonable?
Weaker than most covered companies on this measure — and valuation is researched separately from the Suggested Investment Score.
66 / 100
Favorable Capital Returns
How effectively does the company reward shareholders?
Around the middle of the covered universe — and capital returns are researched separately from the Suggested Investment Score.
No weakening evidence is recorded in today's readings.
SHERWIN WILLIAMS CO scores 57 on Long-Term Potential (C−), described by the research model as weak compounder. This describes business characteristics only — it is not a forecast of future returns.
Disclosed ownership evidence reads 49 (D): Positive disclosed activity. 7 tracked managers disclosed a position in the latest reporting period. Ownership filings are historical disclosures, not signals.
SHERWIN WILLIAMS CO reads 52 out of 100 on Valuation Intelligence, recorded as Reasonable. The stock currently trades below most of its own recent valuation history and above comparable companies. This describes the price being paid relative to the company's financials — it is not a forecast and not a fair value. Valuation Intelligence is a research model and contributes nothing to the Suggested Investment Score or the daily ranking.
SHERWIN WILLIAMS CO reads 66 out of 100 on Capital Returns Intelligence (Favorable Capital Returns), reflecting a dividend that has grown about 13.5% a year and a share count falling about 1.7% a year. Capital Returns Intelligence is a research model and contributes nothing to the Suggested Investment Score or the daily ranking.
No meaningful recorded changes in the stored history.
Risk Intelligence is a core model, Long-Term Potential, Fundamental Momentum, Valuation Intelligence and Capital Returns Intelligence are research models, and Ownership Intelligence is supplemental descriptive evidence. Valuation Intelligence and Capital Returns Intelligence each contribute 0% to the Suggested Investment Score. Nothing here is a recommendation.
Compare SHW with other companiesResearch Collections
This company does not currently satisfy any collection rule. That is a stored research result, not a judgement about the business.
Browse collectionsAbout a minute to read
Written from stored research readings only. No hype. No trading signals. Just better evidence.
SHERWIN WILLIAMS CO (SHW) scores 54 out of 100 and ranks #277 of 1,152 qualified companies today. That places it in the top 40% of ranked companies. The stored tier for that score is not currently suggested.
Risk Intelligence reads 71 out of 100 (B−), recorded as fundamentally qualified. Above average on this measure.
Long-Term Potential reads 57 out of 100 (C−), recorded as weak compounder. Around the middle of the covered universe.
Fundamental Momentum reads 59 out of 100 (C−), recorded as middle. Around the middle of the covered universe.
Ownership Intelligence reads 49 out of 100 (D), recorded as positive disclosed activity. Weaker than most covered companies on this measure.
Valuation currently appears reasonable: Valuation Intelligence reads 52 out of 100 (D+), recorded as Reasonable. SHERWIN WILLIAMS CO reads 52 out of 100 on Valuation Intelligence, recorded as Reasonable. The stock currently trades below most of its own recent valuation history and above comparable companies. This describes the price being paid relative to the company's financials — it is not a forecast and not a fair value. Valuation Intelligence is a research model and contributes nothing to the Suggested Investment Score or the daily ranking.
Capital Returns Intelligence reads 66 out of 100 (C+), recorded as Favorable Capital Returns. SHERWIN WILLIAMS CO reads 66 out of 100 on Capital Returns Intelligence (Favorable Capital Returns), reflecting a dividend that has grown about 13.5% a year and a share count falling about 1.7% a year. Capital Returns Intelligence is a research model and contributes nothing to the Suggested Investment Score or the daily ranking.
No weakening factors are recorded in today's stored readings, and data confidence is good. Absence of a recorded weakness is not evidence of safety.
No individual layer reaches the strongest band today. Long-Term Potential and Fundamental Momentum and Ownership Intelligence remain the main area to watch. Separately from the score, valuation reads reasonable at today's price.
Composite discovery model
Pro Investor Score™
54 / 100
A 0–100 composite discovery score combining Risk Intelligence, Long-Term Potential, Fundamental Momentum, and Ownership Intelligence. It helps rank qualified companies for further research and does not predict future returns.
30% contribution
30% contribution
20% contribution
20% contribution
49 / 100 · Mixed · 20% of the Pro Investor Score
Coverage: Good
50% of Ownership Intelligence · 10% of the total score
Tracked professional-manager activity is mixed.
20% of Ownership Intelligence · 4% of the total score
Broad institutional evidence from resolved filings is strong.
15% of Ownership Intelligence · 3% of the total score
No discretionary insider transactions are stored for this company, so this evidence is unavailable rather than neutral.
15% of Ownership Intelligence · 3% of the total score
No qualifying major-holder filings are stored, so this evidence is unavailable rather than neutral.
Ownership Intelligence summarizes publicly disclosed activity among professional investment managers, broader institutions, company insiders, and significant strategic owners. It adds context to investment research but is not a validated predictor of future performance. Ownership information is publicly reported with a delay; the latest applicable reporting period is 2026-06-30, publicly disclosed 9/11/2026. Congressional activity is unavailable pending legal review and contributes nothing to this reading.
No component ranks in the top quartile of the qualified universe.
Ownership evidence is not uniformly supportive
Disclosed elite investor activity evidence is weak or neutral. Ownership evidence is supplemental and never automatically positive.
Ownership evidence disagrees
Different owner groups point in different directions, so the combined reading is best read as mixed rather than uniformly favourable.
COMPOSITE DISCOVERY MODEL — RESEARCH STAGE · Data coverage Excellent. Rankings are recalculated daily using the latest available information. Individual components may update at different frequencies based on when new financial and ownership data becomes available.
Researched separately
Valuation Intelligence 52 · Reasonable
Valuation Intelligence is currently researched separately and does not affect the Suggested Investment Score or daily ranking.
Researched separately
Capital Returns Intelligence 66 · Favorable Capital Returns
Capital Returns Intelligence is researched separately and contributes 0% to the Suggested Investment Score, the daily rank or any ranking event.
Score explanation
Four research areas carry fixed weights. Each area is compared against every other eligible company, then weighted. The four contributions below add to 54.3 of the stored score (54.3).
Risk Intelligence
30% of the score · contributes 21.9 points
How strong and defensively sound is the company?
Stands at the 73 percentile of eligible companies · stored reading 71 · 40% of this company’s total score
How financially sturdy the company has been when conditions turned against it.
Risk Intelligence reads stored balance-sheet strength, historical downside behaviour and the company's price-risk grouping. A stronger reading describes past resilience; it does not protect against future losses.
Full methodologyLong-Term Potential
30% of the score · contributes 17.2 points
Does the business have the characteristics needed to create value over many years?
Stands at the 57 percentile of eligible companies · stored reading 57 · 32% of this company’s total score
Whether the business has the durable characteristics long-term owners look for.
Long-Term Potential reads durability characteristics such as profitability consistency, cash generation and reinvestment capability over multiple reported periods.
Full methodologyFundamental Momentum
20% of the score · contributes 12.9 points
Is the underlying business getting stronger or weaker?
Stands at the 65 percentile of eligible companies · stored reading 59 · 24% of this company’s total score
Whether the reported business results have been getting stronger or weaker.
Fundamental Momentum compares recent reported fundamentals with the company's own earlier periods, so improvement or deterioration is measured against its history rather than against a forecast.
Full methodologyOwnership Intelligence
20% of the score · contributes 2.2 points
What are important owners actually doing?
Stands at the 11 percentile of eligible companies · stored reading 49 · 4% of this company’s total score
What large reporting owners have actually been doing with their positions.
Ownership Intelligence reads public ownership filings: how many tracked reporting owners hold the company, and whether they were adding, holding, reducing or exiting in the latest disclosed period.
Full methodologyAdditional research — not currently included in the primary Suggested Investment Score.
Reported by insiders, large shareholders and professional funds. Shown beside our research, never blended into it.
Loading professional-investor activity…
Stored snapshots only
Research-score history available since September 2026.
Stored research history does not yet cover a full 30 days comparison for this company.
A change is reported as meaningful at 8 score points, 5 rank places, or any change of research classification. Nothing here is a recommendation to buy or sell.
Plain-English definitions, with the formula and the limitations of each measure.
Fifth research lens · outside the score
Valuation Intelligence
Valuation Intelligence is currently researched separately and does not affect the Suggested Investment Score or daily ranking.
Reasonable
68
Attractive
Is this company expensive or inexpensive compared with its own history?
18
Expensive
How expensive is this stock compared with similar companies?
52
Reasonable
How much financial output does an investor receive relative to the price paid?
72
Attractive
Does the company's growth help justify the valuation investors are paying?
SHERWIN WILLIAMS CO reads 52 out of 100 on Valuation Intelligence, recorded as Reasonable. The stock currently trades below most of its own recent valuation history and above comparable companies. This describes the price being paid relative to the company's financials — it is not a forecast and not a fair value.
Price data through September 11, 2026 · Financial data through the quarter ended June 30, 2026
Stored readings only. The dashed line is this company's own median for the selected measure.
Only one stored valuation reading exists so far, so there is nothing to chart yet. Valuation history builds forward from activation rather than being reconstructed.
Current P/E 29.2x · own median 32.8x
Valuation is inherently uncertain. A stock that appears inexpensive can continue falling, and a stock that appears expensive can continue rising. Valuation Intelligence provides context about the price investors are paying — it does not predict short-term market movements, and it never produces a fair value, a price target or a buy or sell range. Model VALUATION_INTELLIGENCE_V1.
Sixth research lens · outside the score
Capital Returns Intelligence
Capital Returns Intelligence is researched separately and contributes 0% to the Suggested Investment Score, the daily rank or any ranking event.
Favorable Capital Returns
93
Exceptional Capital Returns
Dividend reliability
71
Strong Capital Returns
Do buybacks actually reduce shares?
65
Favorable Capital Returns
Is your ownership share protected?
32
Limited Capital Returns
Can the cash flow support it?
57
Moderate Capital Returns
Cash returned versus company value
SHERWIN WILLIAMS CO reads 66 out of 100 on Capital Returns Intelligence (Favorable Capital Returns), reflecting a dividend that has grown about 13.5% a year and a share count falling about 1.7% a year.
How returned cash was used
Dividends $786.10M · net repurchases $2.47B · total returned $3.25B · 101% of free cash flow
Price data through September 11, 2026 · Financial data through the quarter ended June 30, 2026
Stored readings only. History builds forward from activation rather than being reconstructed.
Only one stored reading exists for this measure so far, so there is nothing to chart yet.
A very high dividend yield may reflect a falling share price or an unsustainable payout. Capital Returns Intelligence emphasizes consistency and sustainability rather than simply rewarding the highest yield.
Announced or gross buyback spending does not always mean shareholders are gaining ownership. Companies can simultaneously issue shares through employee compensation or acquisitions. Suggested Investments therefore considers actual share-count changes alongside repurchase spending.
Capital Returns Intelligence describes how a company returns capital to shareholders. It is not a measure of stock-price performance, it does not predict future returns, and a strong reading is never a recommendation to buy. Dividends and repurchases can be reduced or stopped at any time. Model CAPITAL_RETURNS_INTELLIGENCE_V1, contributing 0% to the Pro Investor Score.
Stored daily snapshots only
| Today | #277 | Score 54 |
|---|---|---|
| 30 days ago | Not ranked | No stored score |
| 90 days ago | Not ranked | No stored score |
| First suggested | Not yet suggested | |
| Highest rank | #277 | |
In the company’s own words
The Sherwin-Williams Company, founded in 1866 and incorporated in Ohio in 1884, is engaged in the development, manufacture, distribution and sale of paint, coatings and related products to professional, industrial, commercial and retail customers primarily in North and South America with additional operations in the Caribbean region, Europe, Asia and Australia. Our principal executive offices are located at 1 Sherwin Way, Cleveland, Ohio 44113-2206, telephone (216) 566-2000. As used in this report, the terms "Sherwin-Williams," "Company," "we", "us" and "our" mean The Sherwin-Williams Company and its consolidated subsidiaries.
We make available free of charge on or through our website our Annual Reports on Form 10-K, Quarterly Reports on Form 10-Q, Current Reports on Form 8-K and amendments to these reports, as soon as reasonably practicable after we electronically file such material with, or furnish such material to, the Securities and Exchange Commission (SEC). You may access these documents on our Investor Relations website, investors.sherwin.com.
We also make available free of charge on our website our Corporate Governance Guidelines, our Director Independence Standards, our Code of Conduct and the charters of our Audit Committee, our Compensation and Management Development Committee and our Nominating and Corporate Governance Committee. You may access these documents on our Investor Relations website, investors.sherwin.com.
The Company reports its segment information in the same way that management internally organizes its business for assessing performance and making decisions regarding allocation of resources. The Company has three reportable operating segments: Paint Stores Group, Consumer Brands Group and Performance Coatings Group (individually, a Reportable Segment and collectively, the Reportable Segments). The Company reports all other business activities and immaterial operating segments that are not reportable in the Administrative function. For further information about the Reportable Segments, see Note 22 to the consolidated financial statements in Item 8.
Quoted from the business section of this company’s 10-K filed February 19, 2026. Read the filing
Four distinct intelligence areas
71
Fundamentally Qualified
+0.4 vs Jun 30, 2026
Business Quality qualification score from the locked IA Defensive Research Core. Price Risk stays a separate category and is never blended in.
As of Sep 11, 2026
57
Ordinary Compounder
+13.6 vs Jun 30, 2026
Durable business economics and reinvestment characteristics. Independent external validation is pending.
As of Sep 11, 2026
59
Middle
+11 vs Jun 30, 2026
Direction and breadth of change in underlying business fundamentals. Not a price-momentum signal.
As of Sep 11, 2026
36
Lower range
0 vs Jun 30, 2026
Only 7 tracked managers disclosed a position — treat as limited coverage.
As of Sep 11, 2026
Company intelligence
Each area is measured and reported separately. No combined score exists.
SHW intelligence history from 2023-09-30 to 2026-09-11. Risk Intelligence 71.4 on 2026-09-11, up 0.4 from 71 on 2026-06-30. Long-Term Potential 57.3 on 2026-09-11, up 13.6 from 43.7 on 2026-06-30. Fundamental Momentum 59.1 on 2026-09-11, up 11 from 48.1 on 2026-06-30. Elite Investor Activity 35.7 on 2026-09-11, unchanged 0 from 35.7 on 2026-06-30. Each area is reported separately and is never combined into a single score.
Risk Intelligence 71.4 as of Sep 11, 2026 (+0.4 vs prior period) · Production core
Long-Term Potential 57.3 as of Sep 11, 2026 (+13.6 vs prior period) · Research model
Fundamental Momentum 59.1 as of Sep 11, 2026 (+11 vs prior period) · Research model
Elite Investor Activity 35.7 as of Sep 11, 2026 (0 vs prior period) · Supplemental
Share price
Closing prices adjusted for splits and dividends. Past prices do not indicate future results.
Last stored close $323.31 · -11.5% over the selected range · 52 sessions shown
Balanced evidence
Risk and uncertainty
Public filings · descriptive only
Reporting holders
1
New holders
1
Increasing
0
Reducing
0
Exiting
0
Coverage
Excellent
Positive disclosed activity · Report period 2016-12-31 · Public 12/22/2023
| Manager | Change | Portfolio weight | Rank | Disclosed |
|---|
Insufficient high-confidence manager coverage.
Objective stored changes
IA Defensive improved
Business Quality qualification score moved from 71.0 to 76.8.
Price Risk category changed
Price Risk moved from Normal risk to Lower risk.
Fundamental Momentum improved
Fundamental Momentum research score moved from 48.1 to 60.7.
IA Defensive weakened
Business Quality qualification score moved from 72.7 to 71.0.
Elite Investor Consensus weakened
Disclosed agreement among tracked managers moved from 58 to 36 for the reporting period ending 2026-06-30.
Elite Investor Consensus weakened
Disclosed agreement among tracked managers moved from 90 to 58 for the reporting period ending 2026-03-31.
Elite Investor Consensus strengthened
Disclosed agreement among tracked managers moved from 42 to 90 for the reporting period ending 2025-12-31.
Elite Investor Consensus weakened
Disclosed agreement among tracked managers moved from 58 to 42 for the reporting period ending 2025-09-30.
Elite Investor Consensus strengthened
Disclosed agreement among tracked managers moved from 42 to 58 for the reporting period ending 2025-06-30.
Elite Investor Consensus weakened
Disclosed agreement among tracked managers moved from 100 to 38 for the reporting period ending 2024-12-31.
No high-confidence public ownership events are available.
General research only. Not personalized advice. Public filings may be delayed, amended, incomplete, or reflect positions that have changed since the reporting date.