The Sherwin-Williams (SHW) Stock Analysis
NYSEMaterialsSpecialty Chemicals
What The Sherwin-Williams does
The Sherwin-Williams Company engages in the development, manufacture, distribution, and sale of paint, coatings, and related products to professional, industrial, commercial and retail customers. The company operates through three segments: Paint Stores Group, Consumer Brands Group, and Performance Coatings Group. The Paint Stores Group segment offers architectural paint and coatings; protective and marine products; and OEM product finishes and related products for architectural and industrial paint contractors, and do-it-yourself homeowners under the Sherwin-Williams brand. The Consumer Brands Group segment supplies a portfolio of branded and private-label architectural paints, stains, varnishes, industrial products, wood finishes products, wood preservatives, applicators, corrosion inhibitors, aerosols, caulks, and adhesives to retailers, including home centers and hardware stores, and dedicated dealers and distributors. The Performance Coatings Group segment develops and sells industrial coatings for wood finishing and general industrial applications; automotive refinish products; protective and marine coatings; coil coatings; packaging coatings; and performance-based resins and colorants. This segment serves retailers, dealers, jobbers, licensees, and other third-party distributors. The company operates in North America, South America, the Caribbean, Europe, Asia, and Australia. The Sherwin-Williams Company was founded in 1866 and is headquartered in Cleveland, Ohio.
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Frequently asked questions
- What is the ticker symbol for The Sherwin-Williams?
- The Sherwin-Williams trades under the ticker SHW on NYSE.
- Which exchange is SHW listed on?
- SHW is listed on NYSE.
- What sector does The Sherwin-Williams operate in?
- The Sherwin-Williams is classified in the Materials sector (Specialty Chemicals industry).
- How can PortView help analyze SHW in a portfolio?
- PortView shows SHW's weight in your portfolio, its contribution to return and risk, sector exposure, indirect exposure through ETFs you own, and correlation with your other holdings.
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