The Sherwin-Williams Company

The Sherwin-Williams Company Q1 2026 Earnings Recap

SHW Q1 2026 April 29, 2026

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Sherwin-Williams shares fell 5.4% following Q1 results, as management’s unchanged full-year outlook and comments on persistent end-market softness and rising uncertainty appeared to disappoint investors looking for a more constructive guidance or clearer signs of accelerating demand.

Earnings Per Share Beat
$2.35 vs $2.27 est.
+3.5% surprise
Revenue Beat
5666900000 vs 5560846000 est.
+1.9% surprise

Market Reaction

1-Day +1.18%
5-Day -2.32%
30-Day -2.68%

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Key Takeaways

  • Despite reporting high single-digit consolidated sales growth, management acknowledged that demand remains soft in most end markets, and stated customer feedback signals “little support for meaningful recovery.”
  • Gross margin expanded by 90 basis points year-over-year, but margin expansion was described as “basically flat” in core Paint Stores and Performance Coatings segments, with higher SG&A costs driven by acquisitions, compensation, and FX.
  • Volume growth was modest: Paint Stores volume rose by low single digits, Consumer Brands saw mid single-digit volume declines (excluding acquisitions), and Performance Coatings had only low single-digit volume growth.
  • Guidance for full-year adjusted diluted EPS and SG&A as a percent of sales was maintained; management cited new geopolitical risks (Middle East conflict) as complicating the outlook and did not raise expectations for H2 recovery.
  • Capital allocation remained active, with $773 million returned to shareholders in the quarter and net debt to adjusted EBITDA at 2.5x.
This summary was generated by AI from the official earnings call transcript and is provided for informational purposes only. It does not constitute financial advice. For the complete transcript and financial data, visit SHW on AllInvestView.

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