The Sherwin-Williams Company
The Sherwin-Williams Company
SHW
Valuace
8
Růst
51
Zdraví
61
Cena
$ 339.05
Dnes
+1.70 (0.48%)
Souhrn
Výkazy
Ukazatele
Profil
Držitelé
Návštěvnost webu
Konkurence
Zprávy společnosti
Kapitalizace
84.2B
Obrat
24B
Zisk
3B
Aktiva
26B
Dluh
14B
ROE
0%
ROA
0%
PE
29
PS
3
Cena 1R
309-380
⌀ Cena
344.55
Dividenda
0.0(0.0%)
Čtvrtletní 10-Q
10-Q
Celoroční 10-K
8-K
Nadcházející oznámení zisků
28-04-2026
Poslední dividenda
02-03-2026

Profil

Společnost Sherwin-Williams vyvíjí, vyrábí, distribuuje a prodává barvy, nátěry a související výrobky profesionálním, průmyslovým, obchodním a maloobchodním zákazníkům. Působí ve třech segmentech: The Americas Group, Consumer Brands Group a Performance Coatings Group. Segment Americas Group nabízí architektonické barvy a povlaky, ochranné a mořské produkty, jakož i povrchové úpravy OEM produktů a souvisejících produktů pro architektonické a průmyslové lakovací firmy a pro vlastní a kutilské majitele domů. Segment Consumer Brands Group dodává maloobchodníkům a distributorům portfolio značkových a privátních značkových architektonických barev, barviv, laků, průmyslových výrobků, výrobků pro povrchovou úpravu dřeva, přípravků na ochranu dřeva, aplikátorů, inhibitorů koroze, aerosolů, kotlů a lepidel. Segment Performance Coatings Group vyvíjí a prodává průmyslové nátěry pro povrchovou úpravu dřeva a obecné průmyslové aplikace, výrobky pro automobilovou konečnou úpravu, ochranné a námořní nátěry, cívkové nátěry, obalové nátěry a pryskyřice a barviva na bázi výkonu. Slouží prodejcům, obchodníkům, pracovníkům, držitelům licencí a dalším distributorům třetích stran prostřednictvím svých poboček a pracovníků v přímém prodeji, jakož i prostřednictvím externích prodejních zástupců. Společnost působí především v Severní a Jižní Americe, Karibiku, Evropě, Asii a Austrálii. K 17. únoru 2022 provozovala přibližně 5 000 obchodů a zařízení provozovaných společností. Společnost Sherwin-Williams byla založena v roce 1866 a sídlí v Clevelandu v Ohiu.
Sektor
Basic Materials
Odvětví
Chemicals - Specialty
Počet zaměstnanců
63890
Založení
1980-03-17
Adresa
101 West Prospect Avenue
CEO
Heidi G. Petz

Podobné společnosti

$ 256.07
- $ 0.06
$ 113.76
+ $ 0.76
$ 86.96
+ $ 3.57
$ 55.30
+ $ 0.14

Zahraniční články

Výsledovka

Rozvaha

Peněžní toky

Výsledovka

Výsledovka
Rozvaha
Peněžní toky
V miliardách (USD)
Revenue TTM 2025202420232022202120202019201820172016201520142013201220112010
Total Revenues23.5723.5723.1023.0522.1519.9418.3617.9017.5314.9811.8611.3411.1310.199.538.777.78
Cost of Revenues12.0412.0411.9012.2912.8211.409.689.8610.128.205.935.785.975.575.315.024.30
Gross Profit11.5411.5411.2010.769.338.548.688.047.426.785.925.565.164.624.223.743.48
Revenue 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Total Revenues5.606.366.315.315.306.166.275.375.256.12
Cost of Revenues2.863.233.202.752.723.143.212.842.703.20
Gross Profit2.733.133.122.562.573.033.062.532.552.92
Operating Income TTM 2025202420232022202120202019201820172016201520142013201220112010
R&D Expenses0.000.000.000.200.000.000.000.000.000.000.000.000.000.000.000.000.00
Selling General & Admin Expenses0.000.000.007.076.015.575.485.275.034.794.163.913.823.473.202.962.73
Depreciation & Amortization0.590.590.620.620.320.310.310.310.320.210.200.200.200.190.180.180.18
Total Operating Expenses7.737.737.437.076.335.885.795.595.354.994.163.913.823.473.202.962.73
Operating Income3.803.803.763.522.982.582.862.421.891.771.721.611.311.150.940.780.75
Operating Income TTM 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
R&D Expenses0.000.000.000.000.000.000.000.000.200.00
Selling General & Admin Expenses0.000.000.000.000.000.000.000.001.861.82
Depreciation & Amortization0.100.170.160.160.160.160.150.150.150.16
Total Operating Expenses1.951.952.021.801.901.901.831.811.861.82
Operating Income0.781.171.100.750.671.131.230.730.691.16
Net Income TTM 2025202420232022202120202019201820172016201520142013201220112010
Interest Income0.010.010.010.030.010.000.000.030.010.010.000.000.000.000.000.000.00
Interest Expense0.470.470.430.420.390.330.340.350.370.260.150.060.060.060.040.040.07
Other Expense-0.47-0.47-0.31-0.41-0.41-0.33-0.34-0.44-0.35-0.01-0.02-0.04-0.020.000.000.000.00
IBT3.343.343.453.112.572.252.521.981.361.531.601.551.261.090.990.740.68
Income Tax Expense0.770.770.770.720.550.380.490.440.25-0.290.460.500.390.330.310.300.22
Net Income2.572.572.682.392.021.862.031.541.111.771.131.050.870.750.680.440.46
Net Income TTM 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Interest Income0.000.000.000.000.000.000.000.010.010.01
Interest Expense0.130.120.110.110.100.110.120.110.090.10
Other Expense-0.14-0.11-0.11-0.10-0.06-0.11-0.06-0.09-0.20-0.10
IBT0.641.060.990.650.621.021.170.640.471.01
Income Tax Expense0.160.230.230.150.140.220.280.130.120.25
Net Income0.480.830.750.500.480.810.890.510.360.76
Per Share Data TTM 2025202420232022202120202019201820172016201520142013201220112010
EPS$0.00$0.00$0.00$9.35$7.83$7.10$7.48$5.60$3.97$6.36$4.11$3.79$2.98$2.47$2.21$1.41$1.43
EPS Diluted$0.00$0.00$0.00$9.25$7.72$6.98$7.36$5.50$3.89$6.22$4.00$3.72$2.93$2.42$2.16$1.38$1.40
Shares Outstanding0.250.250.250.260.260.260.270.280.280.280.280.280.290.300.310.310.32
Diluted Shares Outstanding0.250.250.250.260.260.270.280.280.280.280.280.280.290.310.310.320.33
Per Share Data TTM 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
EPS$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$1.40$2.99
EPS Diluted$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$1.39$2.95
Shares Outstanding0.250.250.250.250.250.250.250.250.250.26
Diluted Shares Outstanding0.250.250.250.250.250.250.250.260.260.26
Current Assets TTM 202420232022202120202019201820172016201520142013201220112010
Cash And Equivalents0.200.210.280.200.170.230.160.160.200.890.210.040.740.860.030.06
Short Term Investments0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
Total Cash & ST Investments0.200.210.280.200.170.230.160.160.200.890.210.040.740.860.030.06
Accounts Receivable3.112.392.472.562.352.082.092.022.101.231.111.131.101.030.990.92
Inventory2.292.292.332.631.931.801.891.821.801.071.021.030.970.920.930.92
Other Current Assets0.450.510.440.520.610.480.510.350.360.380.230.250.240.210.160.19
Total Current Assets6.055.405.515.915.054.594.654.344.473.632.662.573.163.152.262.21
Current Assets 3-20252-20251-20254-20243-20242-20241-20244-20233-20232-2023
Cash And Equivalents0.240.270.200.210.240.200.180.280.500.21
Short Term Investments0.000.000.000.000.000.000.000.000.000.00
Total Cash & ST Investments0.240.270.200.210.240.200.180.280.500.21
Accounts Receivable3.123.112.812.392.973.052.812.472.943.12
Inventory2.282.482.522.292.272.292.382.332.242.44
Other Current Assets0.510.560.510.510.500.510.480.440.510.58
Total Current Assets6.156.436.045.405.976.055.845.516.206.35
Long-Term Assets TTM 202420232022202120202019201820172016201520142013201220112010
Net Property, Plant & Equipment5.035.494.724.073.693.603.521.781.881.101.041.021.020.970.960.95
Goodwill7.617.587.637.587.137.057.006.966.811.131.141.161.181.161.111.10
Intangible Assets3.693.533.884.004.004.474.735.206.000.260.260.290.310.350.310.32
Long-Term Investments0.961.010.000.00-0.77-0.85-0.970.000.000.000.000.000.000.000.000.00
Other Long-Term Assets-0.250.621.210.350.790.690.600.850.800.650.690.670.710.620.600.58
Total Long-Term Assets17.6818.2317.4416.6915.6115.8115.8614.7915.493.133.133.143.223.092.972.96
Total Assets23.7323.6322.9522.5920.6720.4020.5119.1319.966.755.795.716.386.235.235.17
Long-Term Assets 3-20252-20251-20254-20243-20242-20241-20244-20233-20232-2023
Net Property, Plant & Equipment7.495.825.645.495.235.034.894.724.464.31
Goodwill7.797.817.717.587.667.617.627.637.417.45
Intangible Assets3.473.543.493.533.663.693.783.883.823.93
Long-Term Investments0.001.110.000.000.000.000.00-0.68-0.65-0.71
Other Long-Term Assets1.320.661.761.631.451.361.301.211.111.12
Total Long-Term Assets20.0618.9418.6018.2317.9917.6817.5917.4416.8116.82
Total Assets26.2125.3624.6423.6323.9723.7323.4322.9523.0023.17
Current Liabilities TTM 202420232022202120202019201820172016201520142013201220112010
Accounts Payable2.492.252.322.442.402.121.891.801.791.031.161.041.000.920.970.91
Short-Term Debt2.672.181.921.401.430.411.010.640.630.740.040.680.600.070.350.40
Other Current Liabilities2.002.381.331.441.882.061.641.861.561.050.940.960.930.880.840.76
Current Liabilities7.476.816.635.965.724.594.544.303.992.832.142.682.531.882.162.06
Current Liabilities 3-20252-20251-20254-20243-20242-20241-20244-20233-20232-2023
Accounts Payable2.442.572.512.252.542.492.452.322.422.49
Short-Term Debt2.683.343.422.182.432.673.061.922.322.18
Other Current Liabilities2.352.291.942.381.311.961.171.330.730.66
Current Liabilities7.478.207.886.817.227.477.486.636.626.34
Long-Term Liabilities TTM 202420232022202120202019201820172016201520142013201220112010
Long-Term Debt8.139.749.8911.1010.069.709.428.719.891.211.921.121.121.630.640.65
Capital Leases1.502.021.961.941.881.821.740.000.000.000.000.000.000.000.000.00
Def. Tax Liability0.640.610.680.680.770.850.971.131.430.000.000.000.000.000.000.00
Total Liabilities19.9819.5819.2419.4918.2316.7916.3915.4016.274.874.924.714.614.443.713.56
Long-Term Liabilities 3-20252-20251-20254-20243-20242-20241-20244-20233-20232-2023
Long-Term Debt10.909.439.409.749.679.639.629.8910.0010.60
Capital Leases2.062.082.042.021.961.501.501.511.941.94
Def. Tax Liability0.660.560.590.610.630.640.670.680.650.71
Total Liabilities21.7820.9620.5119.5819.8119.9819.9219.1119.2219.54
Total Common Equity TTM 202420232022202120202019201820172016201520142013201220112010
Common Stock0.090.090.090.090.090.090.120.120.120.120.120.110.110.110.110.23
Retained Earnings6.327.255.293.522.120.847.376.255.504.053.232.421.771.230.764.82
Comprehensive Income3.57-0.88-0.62-0.70-0.70-0.72-0.68-0.63-0.38-0.54-0.59-0.47-0.32-0.37-0.37-0.28
Total Common Equity3.754.053.723.102.443.614.123.733.691.880.871.001.771.791.521.61
Total Common Equity 3-20252-20251-20254-20243-20242-20241-20244-20233-20232-2023
Common Stock0.090.090.090.090.090.090.090.090.090.09
Retained Earnings8.748.117.557.256.956.325.615.295.094.48
Comprehensive Income-0.59-0.60-0.77-0.88-0.68-0.78-0.71-0.62-0.76-0.65
Total Common Equity4.434.404.134.054.163.753.503.723.783.63
Other TTM 202420232022202120202019201820172016201520142013201220112010
Total Debt12.3011.9111.8112.5111.5010.1110.439.3410.521.951.961.811.721.700.991.04
Book Value3.754.053.723.102.443.614.123.733.691.880.871.001.771.791.521.61
Other 3-20252-20251-20254-20243-20242-20241-20244-20233-20232-2023
Total Debt0.000.000.000.000.000.000.000.000.000.00
Book Value4.434.404.134.054.163.753.503.723.783.63
Cash Flow From Operating Activities TTM 2025202420232022202120202019201820172016201520142013201220112010
Net Income2.512.572.682.392.021.862.031.541.111.811.131.050.870.750.630.440.46
Depreciation & Amortization0.620.680.620.620.580.570.580.570.600.490.200.200.200.190.180.180.18
Stock-Based Compensation0.120.120.140.120.100.100.100.100.080.090.070.070.060.060.050.050.04
Change Working Capital-0.480.00-0.50-0.19-1.15-0.650.28-0.550.180.00-0.230.07-0.10-0.01-0.02-0.01-0.05
Change In Accounts Receivable0.090.00-0.010.09-0.20-0.290.01-0.070.02-0.05-0.11-0.06-0.08-0.04-0.03-0.09-0.11
Change In Accounts Payable-0.410.000.02-0.240.050.350.230.040.110.17-0.120.160.080.03-0.050.060.16
Change In Inventories0.320.00-0.030.32-0.67-0.230.08-0.08-0.12-0.09-0.05-0.04-0.100.030.02-0.02-0.08
Other Non-cash Items1.02-0.070.290.680.510.440.570.780.120.090.200.040.070.070.060.060.05
Cash from Operations3.370.000.003.521.922.243.412.321.941.881.311.451.081.080.890.740.71
Cash Flow From Operating Activities 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Net Income0.480.830.750.500.480.810.890.510.360.76
Depreciation & Amortization0.190.170.160.160.160.160.150.150.150.16
Stock-Based Compensation0.000.030.030.030.060.030.030.020.040.03
Change Working Capital0.020.070.02-0.900.240.000.05-0.80-0.050.32
Change In Accounts Receivable0.000.000.000.000.000.000.000.000.090.00
Change In Accounts Payable0.000.000.000.000.000.000.000.00-0.410.00
Change In Inventories0.000.000.000.000.000.000.000.000.320.00
Other Non-cash Items0.310.120.160.170.020.090.100.070.420.10
Cash from Operations0.000.000.000.000.000.000.000.000.921.31
Cash Flow From Investing Activities TTM 2025202420232022202120202019201820172016201520142013201220112010
Capital Expenditure-1.01-0.80-1.07-0.89-0.64-0.37-0.30-0.33-0.25-0.22-0.24-0.23-0.20-0.17-0.16-0.15-0.13
Acquisitions-0.16-1.21-0.08-0.16-1.00-0.090.00-0.080.00-8.810.000.000.00-0.08-0.10-0.04-0.30
Investments0.000.000.000.000.000.00-0.08-0.06-0.04-0.06-0.10-0.07-0.11-0.09-0.10-0.09-0.07
Sales of Investment0.000.000.000.000.000.000.000.330.000.220.000.000.000.170.160.150.00
Other Investing Activities-0.030.000.000.010.04-0.020.06-0.320.04-0.180.040.010.00-0.16-0.15-0.140.01
Cash from Investing-1.200.000.00-1.04-1.61-0.48-0.32-0.46-0.25-9.05-0.30-0.29-0.31-0.34-0.34-0.28-0.49
Cash Flow From Investing Activities 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Capital Expenditure-0.23-0.20-0.18-0.19-0.30-0.24-0.25-0.28-0.32-0.15
Acquisitions-1.080.00-0.04-0.08-0.080.000.000.00-0.240.07
Investments0.000.000.000.000.000.000.000.000.000.00
Sales of Investment0.000.000.000.000.000.000.000.000.000.00
Other Investing Activities0.000.000.000.000.000.000.000.000.03-0.01
Cash from Investing0.000.000.000.000.000.000.000.00-0.53-0.09
Cash Flow From Financing Activities TTM 2025202420232022202120202019201820172016201520142013201220112010
Debt Repaid-2.100.000.00-0.43-0.27-0.43-1.21-1.89-0.86-1.90-0.070.00-0.50-0.01-0.01-0.05-0.16
Debt Issued2.0611.910.10-0.261.281.820.902.97-0.3210.470.060.160.580.030.730.001.20
Issuance of Common Stock0.510.000.000.000.020.010.181.370.020.000.000.000.690.100.940.070.47
Repurchase of Common Stock-1.880.00-1.74-1.43-0.88-2.75-2.45-0.78-0.610.000.00-1.04-1.49-0.77-0.56-0.37-0.38
Dividends Paid-0.670.000.00-0.62-0.62-0.59-0.49-0.42-0.32-0.32-0.31-0.25-0.22-0.20-0.16-0.15-0.16
Other Financing Activities0.040.000.000.061.461.930.95-0.130.038.740.070.300.040.030.080.03-0.01
Cash from Financing-2.180.000.00-2.42-0.28-1.83-3.02-1.85-1.756.51-0.31-0.98-1.47-0.850.29-0.48-0.22
Cash Flow From Financing Activities 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Debt Repaid0.000.000.000.000.000.000.000.000.00-0.38
Debt Issued13.580.81-0.050.91-0.19-0.20-0.380.87-0.07-0.08
Issuance of Common Stock0.000.000.000.000.000.000.000.000.000.00
Repurchase of Common Stock-0.12-0.67-0.52-0.35-0.31-0.45-0.43-0.55-0.49-0.41
Dividends Paid0.000.000.000.000.000.000.000.00-0.16-0.16
Other Financing Activities0.000.000.000.000.000.000.000.000.000.03
Cash from Financing0.000.000.000.000.000.000.000.00-0.64-0.92
Cash position TTM 2025202420232022202120202019201820172016201520142013201220112010
Net Change in Cash-0.010.00-0.070.080.03-0.060.060.01-0.05-0.690.680.17-0.70-0.120.83-0.03-0.01
Closing Cash Balance0.200.210.210.280.200.170.230.160.160.200.890.210.040.740.860.030.06
Cash position 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Net Change in Cash-0.03-0.030.07-0.01-0.030.040.02-0.10-0.230.29
Closing Cash Balance0.210.240.270.200.210.240.200.180.280.50
Free Cash Flow TTM 2025202420232022202120202019201820172016201520142013201220112010
Free Cash Flow2.362.652.082.631.281.873.101.991.691.661.071.210.880.920.730.580.58
Real Free Cash Flow2.242.531.952.521.181.773.011.891.611.571.001.140.820.860.680.530.54
Free Cash Flow 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Free Cash Flow0.861.110.93-0.250.630.840.95-0.340.601.16
Real Free Cash Flow0.861.080.90-0.280.580.810.92-0.370.561.13
Nacenění
Finance
Efektivita
Marže
Dividenda
Ostatní

Nacenění

Ukazatel Aktuální Historické Konkurence
P/E29.433.2402450.1
P/S3.22.663392.8
P/B17.116.890999.4
P/FCF29.528.91273.1
Market cap$84.2$69.5
P/E (Price to Earnings Ratio) – Poměr ceny akcie k zisku za posledních 12 měsíců. Říká, kolik korun investor zaplatí za 1 korunu zisku. Např.: P/E = 15 znamená, že pokud akcie stojí 15 Kč, firma vydělala 1 Kč za poslední rok.

Finance

Ukazatel Aktuální Historické Srovnání
Debt to Assets0 %40.1 %0 %
Debt to Income528.6 %483.7 %0 %
Debt to Free cash flow529.9 %29.3 %0 %
Interest expense percentage12.3 %10.2 %106.2 %
Current ratio0.8 1.1 0

Efektivita

Ukazatel Aktuální Historické Srovnání
ROE58 %55.2 %0 %
ROA9.8 %10.1 %0 %
CapEx to Revenue3.4 %2.2 %10 %
RaD to Revenue0 %0.1 %0 %
ROEM368,982.6 162409.4

Marže

Ukazatel Aktuální Historické Srovnání
Gross margin48.9 %45.6 %49.8 %
Operating margin16.1 %12.7 %30.7 %
Net margin10.9 %8.6 %19.8 %

Dividenda

Ukazatel Aktuální Historické Srovnání
Dividend yield0 %1 %0 %
Dividend payout percentage0 %28.2 %0 %
Dividend yield (Dividendový výnos) ukazuje aktuální procentuální výnos z dividend vůči ceně akcie.

Ostatní

Ukazatel Aktuální Historické
Shares outstanding248.8 mil 284.0 mil
Employee count63.9 tis 36.7 tis

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Placený obsah

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Vyzkoušejte placený obsah na akciích: Apple Inc. nebo CEZ, a. s.

Placený obsah

Pro přístup na tuto stránku budete potřebovat placené členství.

Vyzkoušejte placený obsah na akciích: Apple Inc. nebo CEZ, a. s.

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