Sherwin-Williams, US8243481051

Sherwin-Williams stock (US8243481051): Upcoming dividend ex-date on May 22

13.05.2026 - 16:57:03 | ad-hoc-news.de

Sherwin-Williams shareholders have a key date approaching with the next ex-dividend date set for May 22, 2026, offering an annual yield of 1.03% on the quarterly payout of $0.80 per share.

Sherwin-Williams, US8243481051
Sherwin-Williams, US8243481051

Sherwin-Williams stock holders should note the upcoming ex-dividend date of May 22, 2026, for the quarterly dividend of $0.80 per share, which equates to an annual payout of $3.20 and a yield of 1.03% based on recent pricing, StockAnalysis.com as of May 2026.

As of: 13.05.2026

By the editorial team – specialized in equity coverage.

At a glance

  • Name: The Sherwin-Williams Company
  • Sector/industry: Chemicals - Specialty
  • Headquarters/country: Cleveland, Ohio, USA
  • Core markets: North America, Europe
  • Key revenue drivers: Paints, coatings, architectural products
  • Home exchange/listing venue: NYSE (SHW)
  • Trading currency: USD

Official source

For first-hand information on Sherwin-Williams, visit the company’s official website.

Go to the official website

Sherwin-Williams: core business model

Sherwin-Williams operates as a leading manufacturer and distributor of paints, coatings, and related products, primarily serving the architectural, industrial, and automotive sectors. The company maintains a vast network of owned and operated stores across the United States, positioning it as a key player for both professional contractors and retail consumers. This direct-to-consumer model supports steady revenue streams through branded products like Valspar and HGTV Home by Sherwin-Williams.

In Q1 2026, Sherwin-Williams held a notable market share relative to competitors in the specialty chemicals space, based on total revenues compared to peers, CSIMarket as of Q1 2026. The business emphasizes innovation in eco-friendly formulations and digital tools for color matching, enhancing customer loyalty in the fragmented paints market.

Main revenue and product drivers for Sherwin-Williams

The majority of Sherwin-Williams revenue stems from its Paint Stores Group, which accounts for over half of sales through more than 5,000 locations in North America. Industrial and automotive coatings contribute additional segments, with growth driven by demand in construction and manufacturing. Key products include premium architectural paints, protective coatings for infrastructure, and specialized finishes for OEMs.

Recent pricing stood at $340.10 for SHW shares as of July 25, 2025 on NYSE, providing a benchmark for dividend yield calculations ahead of the May 2026 payout, StockInvest.us as of July 2025. The company's focus on margin expansion through pricing discipline and supply chain efficiencies bolsters profitability amid raw material volatility.

Industry trends and competitive position

The global paints and coatings industry faces headwinds from rising raw material costs but benefits from U.S. housing market recovery and infrastructure spending via the IIJA. Sherwin-Williams differentiates through its store network and brand strength against rivals like PPG Industries and AkzoNobel. Sustainability trends favor its low-VOC products, aligning with regulatory pushes in the U.S.

Why Sherwin-Williams matters for US investors

As a NYSE-listed company headquartered in Cleveland, Ohio, Sherwin-Williams offers U.S. investors exposure to the resilient construction and home improvement sectors, which tie directly to American economic cycles. Its dominant position in the U.S. retail paints market, with significant exposure to housing starts and remodeling activity, makes it a bellwether for domestic consumer spending trends.

Read more

Additional news and developments on the stock can be explored via the linked overview pages.

More news on this stockInvestor relations

Conclusion

Sherwin-Williams continues to navigate a competitive paints market with strengths in distribution and product innovation, highlighted by its steady dividend policy ahead of the May 22 ex-date. While valuation discussions persist, with some models suggesting overvaluation relative to intrinsic estimates, the company's U.S.-centric operations provide clear ties to domestic economic indicators. Investors tracking NYSE:SHW will watch upcoming earnings for updates on segment performance and guidance.

Disclaimer: This article does not constitute investment advice. Stocks are volatile financial instruments.

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