SHW · Sherwin-Williams Company
S&P 500 #141 · NYSE
Risiko 3/10 · Quality Compounder · $354.27 ▲ 8.25%
Kennzahlen
- Price $354.27
- Market cap $87.4B
- P/E (ttm) 34.03
- Div yield 0.98%
- 52-wk range $289.86 – $379.65
- Index rank #141 / —
Wichtigste Risiken
- Housing market / remodel activity slowdown (Homeowners / builders) — HIGH
- Raw material (titanium dioxide) cost inflation (Input cost markets) — MED
- Premium PE limits margin-of-safety (Value investors) — MED
- Competitive pressure from PPG, RPM (Peers) — LOW
Fazit
Dominant US paint and coatings franchise with 5,000+ stores; consistent market-share gains but exposed to housing cycle timing.
Recherche, keine Anlageberatung.