sherwin williams stock price overview
Sherwin‑Williams stock price (SHW)
This article covers the market price and market‑data context for The Sherwin‑Williams Company’s publicly traded common stock (NYSE: SHW), including where to find quotes, historical data, valuation metrics, and factors that influence the price. If you need a current sherwin williams stock price quickly, this guide explains which sources display real‑time or delayed quotes, what the common metrics mean, and how company, sector and macro drivers affect SHW.
As of January 23, 2026, according to Barchart market summaries and related coverage, the broader market recovered from early losses and several analyst actions—including a Deutsche Bank downgrade of Sherwin‑Williams—were notable drivers for the stock that day.
Overview of the security
Sherwin‑Williams common stock represents ownership in The Sherwin‑Williams Company, a U.S. public company that manufactures and sells paints, coatings, and related products. The security trades under the ticker symbol SHW on the New York Stock Exchange (primary listing) and is quoted in U.S. dollars (USD).
Typical trading availability follows U.S. equity hours: regular session trading occurs during U.S. market hours (09:30–16:00 ET). Many major data providers and brokerages also display pre‑market and after‑hours/extended session quotes; these extended quotes are subject to lower liquidity and wider spreads.
If you want to transact shares rather than just view the price, verify execution availability and instrument coverage with your brokerage. For web3 wallet or crypto‑related tools, consider Bitget Wallet; for trading access and order execution, Bitget provides an interface some investors use alongside traditional brokerage services.
Real‑time and delayed quote sources
Several major financial data providers and platforms display SHW price and market data. Below is a summary of common sources and typical characteristics:
- Company investor relations quote page: often links to exchange quotes and official press releases; prices may be displayed via data vendors and can be delayed depending on the feed.
- Google Finance: widely used; displays intraday charts, interactive timelines and news—quotes can be delayed depending on exchange permissions, but the interface is fast and easy for beginners.
- Yahoo Finance: comprehensive pages with delayed or near‑real‑time quotes (depending on the feed), multi‑range charts, historical tables, analyst coverage and financial statements.
- CNBC and MarketWatch: present quotes with integrated market news, analyst notes and sector context; often show delayed quotes but provide useful headlines and commentary.
- Seeking Alpha: provides quote pages plus aggregated earnings transcripts, analyst commentary and community discussion; some content is gated behind subscriptions.
- Robinhood (retail platforms and similar broker apps): offers easy‑to‑read real‑time quotes for customers, fractional trading (where supported), and integrated trade execution. Availability may vary by jurisdiction.
Notes on quote timing and features:
- Real‑time vs delayed: many public web pages show delayed quotes (commonly 15 minutes) unless they have a real‑time feed or the user is logged into a brokerage account displaying real‑time data.
- After‑hours quotes: most major sites include extended hours trades on intraday charts. Extended session liquidity is typically lower, and prices can move more sharply.
- Charts & overlays: providers offer intraday (1‑minute or 5‑minute), daily, weekly, monthly and multi‑decade charts with technical overlays (moving averages, RSI) and comparisons to indices.
For trading execution and real‑time fills, use a regulated brokerage platform. If you also use crypto or web3 tools, Bitget and Bitget Wallet are positioned as options for crypto services and wallet management; for equity execution, ensure your chosen broker supports U.S. equities and provides real‑time pricing.
Key price and market statistics
Common metrics presented for SHW include (values vary by provider and update time):
- Last price (most recent trade)
- Change (absolute) and change (%) for the session
- 52‑week high and 52‑week low
- Market capitalization (market cap)
- Shares outstanding
- Average daily trading volume (commonly displayed as 10‑ or 90‑day average)
- Earnings per share (EPS) — trailing twelve months (TTM) and forward estimates
- Price‑to‑earnings ratio (P/E) — trailing and forward
- Dividend per share and dividend yield
- Beta (measure of volatility relative to the market)
Because values are updated continuously, small discrepancies appear across data vendors. Always check the timestamp on the quote and the provider note that indicates whether a price is delayed.
Historical price performance
Historical coverage for SHW typically includes daily, weekly, monthly and annual price series, often adjusted for corporate actions such as stock splits and dividend distributions. Long‑term charts show multi‑decade performance and allow returns to be calculated on a total‑return or price‑only basis.
Major sources for multi‑decade history and summary tables include Yahoo Finance, MarketWatch, Macrotrends and company filings. These sources provide CSV downloads or interactive tables for custom date ranges.
When analyzing history, use adjusted close prices where available. Adjusted prices account for splits and dividend distributions and yield a truer picture of shareholder return over time.
Notable historical highs and lows
Report all‑time highs and lows by referencing the adjusted series and cross‑checking with reputable data vendors. For more recent volatility, the 52‑week high and 52‑week low show the price extremes over the past year.
Typical verification sources:
- Company investor relations press releases (for corporate actions that might explain extreme moves)
- SEC filings and 8‑K disclosures (for events like major acquisitions or restatements)
- Financial data platforms (Yahoo Finance, Macrotrends, MarketWatch) which annotate major corporate events on charts.
Factors influencing SHW stock price
Sherwin‑Williams share price is influenced by a combination of company‑specific, market/macro, and event drivers:
Company‑specific drivers
- Earnings and guidance: quarterly EPS and guidance revisions materially influence investor expectations and can move the stock. Consistent earnings beat/raise cycles tend to support valuation expansion; misses or weak guidance can compress multiples.
- Revenue trends and end‑market exposure: Sherwin‑Williams has significant exposure to housing, construction and industrial coatings. New housing starts, renovation activity and non‑residential construction growth directly affect demand for coatings.
- Acquisitions and integration: large deals (the Valspar acquisition is a historical example) change revenue mix, margins and capital structure. Investors watch synergies, integration costs and accretion/dilution effects.
- Margins and input costs: raw materials (resins, pigments, solvents) and freight costs influence gross margins. Cost pass‑through ability and pricing power affect profitability.
Market and macro drivers
- Interest rates: higher rates can slow housing activity and consumer spending, reducing demand for paints and coatings; they also affect discount rates used in valuation models.
- Housing market activity: new construction and remodeling cycles are correlated with Sherwin‑Williams sales; metrics like housing starts and existing home sales are leading indicators.
- Commodity cost fluctuations: changes in input commodity prices (oil derivatives used in coatings) affect margins.
- Broader equity market sentiment: sector rotations, risk appetite and macro risk events can amplify SHW moves even if company fundamentals stay constant.
Event drivers
- Quarterly earnings releases: results vs expectations and management commentary guide short‑term price action.
- Dividend announcements and share buybacks: changes in payout policy or large repurchase programs affect EPS and investor perception.
- Management changes and strategic shifts: CEO/CFO transitions or new strategic plans can trigger re‑rating or increased volatility.
- Material SEC filings and analyst revisions: 8‑K disclosures, 10‑Q/10‑K filings and major analyst downgrades/upgrades often cause immediate repricing.
As of January 23, 2026, per Barchart market summaries, Sherwin‑Williams was trading lower after Deutsche Bank downgraded the stock from Buy to Hold. Analyst actions like this are a concrete example of event‑driven influences on sherwin williams stock price.
Valuation metrics and investor signals
Common valuation and performance indicators investors use to analyze SHW include:
- Trailing P/E and forward P/E: provide a quick view of valuation relative to earnings history and consensus estimates.
- EPS (TTM and forward estimates): show recent profitability and expectations.
- EBITDA and adjusted EBITDA: useful for operating performance comparisons.
- Return on equity (ROE) and net margin: highlight profitability efficiency.
- Debt‑to‑equity and leverage ratios: measure financial risk and capacity to withstand cyclical downturns.
- Dividend yield and payout ratio: gauge income characteristics and sustainability of distributions.
- Total return (price appreciation plus dividends): a holistic performance metric for shareholders.
These metrics appear on the SHW profile pages on major providers (Yahoo Finance, CNBC, MarketWatch, Seeking Alpha). Differences in calculation (e.g., use of adjusted EPS vs GAAP EPS) can produce variation across providers, so review the methodology notes.
Analyst coverage and price targets
Analyst ratings and consensus price targets are widely followed signals. Research notes and upward/downward revisions can change investor expectations and trigger price moves. Aggregators such as Seeking Alpha and TipRanks collect analyst ratings and price targets; news feeds on MarketWatch and CNBC report notable analyst actions.
Analyst coverage typically includes:
- Rating changes (Buy/Hold/Sell) and target price updates
- Earnings estimates and modeled projections
- Qualitative assessment of competitive positioning and margin outlook
Example event: on January 23, 2026, Deutsche Bank downgraded Sherwin‑Williams to Hold from Buy and lowered near‑term expectations—an example of how analyst activity can influence sherwin williams stock price.
Trading mechanics and liquidity
- Liquidity: Sherwin‑Williams is a large‑cap U.S. stock with generally high liquidity; average daily trading volume can vary but is typically sufficient for institutional and retail trading. Check the current average volume on your chosen data provider for up‑to‑date figures.
- Short interest: available on most data platforms; high short interest can increase volatility and lead to short‑squeeze risk in certain market conditions.
- Settlement cycle: U.S. equities follow T+2 settlement (trade date plus two business days) for the exchange of cash and securities.
- Fractional shares: many retail broker platforms offer fractional share trading, permitting smaller dollar exposure to SHW; availability depends on the broker.
- After‑hours trading: extended sessions exist but are less liquid. Price moves in extended hours should be interpreted cautiously.
For execution, a regulated brokerage is needed. Where crypto‑native tools or wallet integrations are used, Bitget Wallet offers custody and wallet functions for web3 assets; for equity trades, use a licensed broker with U.S. equities coverage and real‑time quotes.
Comparative peers and sector context
Key peers and competitors include other paints and coatings companies and specialty chemical firms. Notable names commonly used for relative valuation and sector context include PPG Industries, RPM International and Axalta. Peer performance, raw‑material cost dynamics and sector rotation between defensive and cyclical industrial names can influence how investors value Sherwin‑Williams.
When peers report better‑or‑worse results or when sector ETFs move materially, SHW may follow sector direction even if company‑specific news is limited.
Historical corporate actions affecting price
Corporate events that can materially alter share count or investor returns include:
- Acquisitions and divestitures: e.g., the acquisition of Valspar materially changed Sherwin‑Williams’ revenue base and integration costs; large deals often require debt financing and influence leverage ratios.
- Stock splits or reverse splits: adjust the per‑share price and shares outstanding; check company press releases and SEC filings for exact ratios and effective dates.
- Dividend policy changes: initiation, increases, cuts or special dividends affect yield and investor perception.
- Share repurchase programs: reduce shares outstanding and can be accretive to EPS when executed.
Records of these actions are maintained in company investor relations archives and in SEC filings.
How to monitor and obtain official filings
Authoritative company disclosures and filings are the primary sources to assess fundamentals and material events. Use these steps to locate official documents:
- Visit Sherwin‑Williams’ Investor Relations site for press releases, earnings presentations, and the company’s published stock information.
- Search the SEC EDGAR database for filings such as Form 10‑Q (quarterly report), Form 10‑K (annual report), Form 8‑K (current reports for material events), and proxy statements. These filings contain audited financial statements, risk factors, management discussion and analysis (MD&A), and detailed disclosures.
- Review earnings call transcripts and investor presentations for management commentary on strategy, guidance and expectations.
Always cross‑check press releases against SEC filings to confirm details and dates. Filings are time‑stamped and provide legal disclosure that supports market reporting.
Risks and considerations for investors
Principal risks relevant to Sherwin‑Williams include:
- Cyclical end‑market exposure: dependence on construction and housing cycles can lead to revenue volatility.
- Commodity and input cost exposure: raw material price swings can compress margins if pricing power is limited.
- Leverage and balance‑sheet risk: large acquisitions financed with debt can increase financial vulnerability.
- Regulatory and environmental risks: manufacturing and product compliance can involve costly remediation or capital expenditures.
This information is for factual context only. Historical price performance and data described here do not constitute investment advice or a recommendation to buy or sell securities.
Practical guidance for finding current SHW price
To obtain an up‑to‑date sherwin williams stock price, follow these steps:
- Check your brokerage platform first for real‑time execution and quotes. A broker shows fills, order types and your execution confirmations.
- Use major finance pages (Google Finance, Yahoo Finance, CNBC, MarketWatch, Seeking Alpha) to view charts, news and analyst consensus. Note whether the quote is labeled as real‑time or delayed.
- For official company statements and corporate action notices, consult the Sherwin‑Williams Investor Relations page and SEC EDGAR.
- If you want integrated wallet or crypto tools for research or portfolio connection, use Bitget Wallet for web3 custody and Bitget for exchange services where relevant; verify instrument availability prior to trading.
- Use charting tools to compare intraday and long‑term performance and to access adjusted historical prices for total‑return calculations.
Always verify the timestamp and whether prices are real‑time or delayed before making time‑sensitive decisions.
References and data sources
Primary sources referenced in this article structure include:
- Sherwin‑Williams Investor Relations stock quote page (company disclosures & press releases)
- Yahoo Finance SHW quote and financials (historical data and metrics)
- Seeking Alpha SHW profile (analyst aggregation and commentary)
- Robinhood SHW profile (retail quote and fractional trading details)
- CNBC and MarketWatch SHW quote pages (market news and key metrics)
- Google Finance SHW page (quick charts and news)
- Macrotrends historical price and adjusted series (multi‑decade history)
- Barchart market summaries and coverage (market context and analyst action reporting)
As noted earlier: as of January 23, 2026, according to Barchart summaries and market news, Sherwin‑Williams experienced downward pressure after an analyst downgrade; that market snapshot illustrates how analyst activity and macro‑market moves can influence sherwin williams stock price.
Further exploration and next steps
If you want continuous price monitoring, add SHW to a watchlist on your brokerage or one of the major financial sites mentioned above. For crypto and web3 integrations, Bitget Wallet can manage on‑chain assets while Bitget provides exchange tools for market participants who use both traditional and digital‑asset workflows. Explore those tools to streamline research and portfolio monitoring.
For deeper fundamental analysis, start with the latest Form 10‑Q and 10‑K from the SEC EDGAR database and compare the company’s guidance to consensus estimates published on aggregator sites. Use adjusted historical prices for long‑term return calculations and confirm any corporate action details directly from company filings.
To stay informed about intraday market context that may indirectly affect SHW (broad market moves, interest‑rate news, commodity swings), check major market summaries and news services. Remember: the sherwin williams stock price reflects both company fundamentals and broader market sentiment; monitor both for a complete picture.
If you’d like, I can:
- Provide a current snapshot of key SHW metrics from a chosen provider (note: static snapshot will have the data timestamp included);
- Create a step‑by‑step checklist for monitoring upcoming Sherwin‑Williams earnings, dividends and analyst events; or
- Draft a comparison table showing recent financial metrics (P/E, EPS, dividend yield) versus key peers.
Explore more resources and tools on Bitget to centralize your monitoring and alerts for equities and digital assets.




















