Views: 199 2026-02-27 Sherwin Williams is one of the world’s largest manufacturers and retailers of paints and coatings. It generates $23.57bn in revenue and $2.57bn in net income, supported by strong gross margins of 48.85%. The company operates company owned stores, supplying professional contractors and industrial customers. Five year revenue growth stands at 5.12%, while return on invested capital averages 16.12%, reflecting efficient operations and pricing discipline. Free cash flow is $2.43bn annually. Share count has declined 5.79% over five years. Leverage is elevated, with debt to equity at 2.60. It is a cyclical but high quality compounder with strong …
Long Term Value Investor Analysis of Sherwin Williams (SHW)Read More »
This content is restricted to site members. If you are an existing user, please log in. New users may register below.