0000089800-24-000011.txt : 20240125 0000089800-24-000011.hdr.sgml : 20240125 20240125070625 ACCESSION NUMBER: 0000089800-24-000011 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 14 CONFORMED PERIOD OF REPORT: 20240125 ITEM INFORMATION: Results of Operations and Financial Condition ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20240125 DATE AS OF CHANGE: 20240125 FILER: COMPANY DATA: COMPANY CONFORMED NAME: SHERWIN WILLIAMS CO CENTRAL INDEX KEY: 0000089800 STANDARD INDUSTRIAL CLASSIFICATION: RETAIL-BUILDING MATERIALS, HARDWARE, GARDEN SUPPLY [5200] ORGANIZATION NAME: 07 Trade & Services IRS NUMBER: 340526850 STATE OF INCORPORATION: OH FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-04851 FILM NUMBER: 24558560 BUSINESS ADDRESS: STREET 1: 101 PROSPECT AVE NW CITY: CLEVELAND STATE: OH ZIP: 44115 BUSINESS PHONE: 2165662200 MAIL ADDRESS: STREET 1: 101 PROSPECT AVE NW CITY: CLEVELAND STATE: OH ZIP: 44115 8-K 1 shw-20240125.htm 8-K shw-20240125
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 8-K
CURRENT REPORT
Pursuant to Section 13 or 15(d)
of the Securities Exchange Act of 1934
Date of Report (Date of earliest event reported): January 25, 2024
THE SHERWIN-WILLIAMS COMPANY
(Exact Name of Registrant as Specified in Charter)
Ohio1-0485134-0526850
(State or other jurisdiction of incorporation)(Commission file number)(I.R.S. Employer Identification No.)
101 West Prospect Avenue
Cleveland, Ohio44115-1075
(Address of principal executive offices)(Zip Code)
(216) 566-2000
(Registrant’s telephone number, including area code)
Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions:
Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)
Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))
Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))
Securities registered pursuant to Section 12(b) of the Act:
Title of each class
Trading
Symbol(s)
Name of each exchange
on which registered
Common Stock, par value $0.33-1/3 per shareSHWNew York Stock Exchange
Indicate by check mark whether the registrant is an emerging growth company as defined in Rule 405 of the Securities Act of 1933 (§230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (§240.12b-2 of this chapter).
Emerging Growth Company
If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act.





Item 2.02.Results of Operations and Financial Condition.
On January 25, 2024, The Sherwin-Williams Company issued a press release announcing its financial results for the fourth quarter and year ended December 31, 2023 and certain other information. A copy of the press release is furnished with this Report as Exhibit 99.1 and is incorporated herein by reference.

Item 9.01.Financial Statements and Exhibits.
(d)Exhibits.
The following exhibits are furnished with this Current Report on Form 8-K:
Exhibit No.Exhibit Description
99.1
104Cover Page Interactive Data File (embedded within the Inline XBRL document)





SIGNATURES
Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this Report to be signed on its behalf by the undersigned hereunto duly authorized.

THE SHERWIN-WILLIAMS COMPANY
January 25, 2024By:/s/ Stephen J. Perisutti
Name:Stephen J. Perisutti
Title:Vice President, Deputy General Counsel and Assistant Secretary


EX-99.1 2 shw2023yeearningsrelease.htm EX-99.1 Document
shw-pressxreleasex1q2022.jpg
Exhibit 99.1
NEWS
 The Sherwin-Williams Company101 W. Prospect AvenueCleveland, Ohio 44115  (216) 566-2000

The Sherwin-Williams Company Reports 2023 Year-End and Fourth Quarter Financial Results

CLEVELAND, January 25, 2024 - The Sherwin-Williams Company (NYSE: SHW) announced its financial results for the year and fourth quarter ended December 31, 2023. All comparisons are to the full year and fourth quarter of the prior year, unless otherwise noted.

SUMMARY

Consolidated net sales increased 4.1% in the year to a record $23.05 billion
Net sales from stores in the Paint Stores Group open more than twelve calendar months increased 6.8% in the year
Diluted net income per share increased 19.8% to $9.25 per share in the year compared to $7.72 per share in the full year 2022
Adjusted diluted net income per share increased to $10.35 per share in the year compared to $8.73 per share in the full year 2022
Diluted net income per share decreased 6.1% to $1.39 per share and adjusted diluted net income per share decreased 4.2% to $1.81 per share, in the fourth quarter of 2023
Generated net operating cash of $3.52 billion, or 15.3% of net sales, in the year
Adjusted Earnings Before Interest, Taxes, Depreciation and Amortization (Adjusted EBITDA) increased 17.5% in the year to $4.24 billion or 18.4% of net sales
Full year 2024 diluted net income per share guidance in the range of $10.05 to $10.55 per share, including acquisition-related amortization expense of $0.80 per share
Full year 2024 adjusted diluted net income per share guidance in the range of $10.85 to $11.35 per share



CEO REMARKS
“Sherwin-Williams delivered solid fourth quarter results, with positive sales growth and significant year-over-year gross margin improvement,” said President and Chief Executive Officer, Heidi G. Petz. “We continued our accelerated growth investments in the quarter, which we are confident will continue to drive profitable above-market growth in future periods. Sales in all three reportable segments were within or better than our guidance. In our architectural businesses, commercial and residential repaint were the strongest performers, while DIY remained challenging. In our industrial businesses, growth varied by division and region, reflecting ongoing choppiness in the market. Paint Stores Group and Performance Coatings Group segment margins expanded year over year.
“For the full year, sales grew to a record $23.05 billion, gross margin expanded to 46.7% (which is well within our current targeted range) and adjusted diluted net income per share increased 18.6% to a record $10.35 per share. We generated strong net operating cash in the year, which enabled us to continue to invest in customer-focused innovation, while returning $2.06 billion to shareholders through dividends and share repurchases. From a segment perspective, Paint Stores Group overcame a difficult demand environment characterized by challenging conditions in new residential and existing home sales markets to deliver high-single digit percentage growth against a low-teens comparison, while also expanding its segment margin. Consumer Brands Group faced weak DIY demand, but grew in its targeted Pros Who Paint market and completed the divestiture of non-core aerosol product lines and its China architectural business. Performance Coatings Group generated sales growth in a market that was highly variable by region and business, further integrated recent acquisitions and delivered strong adjusted segment margin.”
FOURTH QUARTER CONSOLIDATED RESULTS

Three Months Ended December 31,
20232022$ Change% Change
Net sales$5,252.2 $5,230.5 $21.7 0.4 %
Income before income taxes$474.0 $494.9 $(20.9)(4.2)%
As a % of net sales9.0%9.5%
Net income per share - diluted$1.39 $1.48 $(0.09)(6.1)%
Adjusted net income per share - diluted$1.81 $1.89 $(0.08)(4.2)%
Consolidated net sales increased primarily due to an increase in Paint Stores Group net sales volume. This growth was partially offset by lower net sales volumes in the Performance Coatings and Consumer Brands Groups.
Income before income taxes decreased primarily due to continued investments in long-term growth strategies, higher employee-related expense, including incentive-based compensation expense, and higher environmental expense, partially offset by moderating raw material costs year-over-year. Higher non-operating costs including a loss related to the significant devaluation of the Argentine Peso in December 2023 as part of economic reforms implemented by the government of Argentina (Argentine Devaluation) and impairment related to trademarks, also decreased Income before income taxes.
Diluted net income per share included charges of $0.19 per share for acquisition-related amortization expense, $0.16 per share related to the Argentine Devaluation and $0.07 associated with impairment related to trademarks.




FOURTH QUARTER SEGMENT RESULTS

Paint Stores Group (PSG)
Three Months Ended December 31,
20232022$ Change % Change
Net sales$2,944.6 $2,877.0 $67.6 2.3 %
Same-store sales (1)
2.1%15.5%
Segment profit$567.3 $494.0 $73.3 14.8 %
Reported segment margin19.3%17.2%
(1)    Same-store sales represents net sales from stores open more than twelve calendar months.

Net sales in PSG increased primarily due to low-single digit percentage net sales volume growth driven by protective and marine, commercial and residential repaint end markets. PSG segment profit increased due to growth in net sales volume and moderating raw material costs, partially offset by continued investments in long-term growth strategies and higher employee-related expenses.

Consumer Brands Group (CBG)
Three Months Ended December 31,
20232022$ Change % Change
Net sales$692.3 $745.6 $(53.3)(7.1)%
Segment profit$3.6 $35.1 $(31.5)(89.7)%
Reported segment margin0.5%4.7%
Adjusted segment profit (1)
$74.7 $95.0 $(20.3)(21.4)%
Adjusted segment margin10.8%12.7%
(1)    Adjusted segment profit equals Segment profit excluding the impact of acquisition-related amortization expense, impairment related to trademarks, the Argentine Devaluation and restructuring costs. In CBG, acquisition-related amortization expense was $16.4 million and $18.8 million in the fourth quarter of 2023 and 2022, respectively, impairment related to trademarks and the loss related to the Argentine Devaluation were $23.9 million and $30.8 million, respectively, in the fourth quarter of 2023 and restructuring costs (including associated impairment related to trademarks) were $41.1 million in the fourth quarter of 2022.

Net sales in CBG decreased primarily due to a mid-single digit percentage decrease in net sales volume due to demand softness in North America and the divestiture of the China architectural business which decreased net sales by approximately 3% year-over-year, offset by increases in Latin America and Europe. CBG segment profit decreased primarily due to lower net sales volume and higher foreign currency transaction losses driven primarily by the Argentine Devaluation of $30.8 million. These decreases were offset by benefits from moderating raw material costs. Acquisition-related amortization expense reduced segment profit as a percent of net sales by 240 basis points compared to 250 basis points in the fourth quarter of 2022, impairment related to trademarks reduced segment profit as a percent of net sales by 340 basis points in the fourth quarter of 2023, the loss related to the Argentine Devaluation reduced segment profit as a percent of net sales by 450 basis points in the fourth quarter of 2023 and restructuring costs reduced segment profit as a percent of net sales by 550 basis points in the fourth quarter of 2022.




Performance Coatings Group (PCG)
Three Months Ended December 31,
20232022$ Change % Change
Net sales$1,614.2 $1,607.4 $6.8 0.4 %
Segment profit$220.3 $157.3 $63.0 40.1 %
Reported segment margin13.6%9.8%
Adjusted segment profit (1)
$278.7 $229.0 $49.7 21.7 %
Adjusted segment margin17.3%14.2%
(1)    Adjusted segment profit equals Segment Profit excluding the impact of acquisition-related amortization expense, the Argentine Devaluation and restructuring costs. In PCG, acquisition-related amortization expense was $47.4 million and $49.5 million in the fourth quarter of 2023 and 2022, respectively, the loss related to the Argentine Devaluation was $11.0 million in the fourth quarter of 2023 and restructuring costs were $22.2 million in the fourth quarter of 2022.
Net sales in PCG increased primarily due to acquisitions and favorable currency translation, which both increased net sales by a low-single digit percentage. Growth was led by the Industrial Wood including acquisitions, Coil and Automotive Refinish businesses, offset by decreases in the Packaging and General Industrial businesses. PCG segment profit increased primarily as a result of moderating raw material costs, partially offset by lower net sales volume, an increase in selling costs and the Argentine Devaluation of $11.0 million. Acquisition-related amortization expense reduced segment profit as a percent of net sales by 300 basis points compared to 310 basis points in the fourth quarter of 2022, the loss related to the Argentine Devaluation reduced segment profit as a percent of net sales by 70 basis points in the fourth quarter of 2023 and restructuring costs reduced segment profit as a percent of net sales by 130 basis points in the fourth quarter of 2022.

LIQUIDITY AND CASH FLOW
The Company generated $3.52 billion in net operating cash during the year. This strong cash generation allowed the Company to return cash of $2.06 billion to our shareholders in the form of dividends and share repurchases, reduce short-term borrowings and long-term debt and fund the acquisition of German-based SIC Holding GmbH, a Peter Möhrle Holding venture comprised of Oskar Nolte GmbH and Klumpp Coatings GmbH during the year. The Company purchased 5.6 million shares of its common stock during the year. At December 31, 2023, the Company had remaining authorization to purchase 39.6 million shares of its common stock through open market purchases.


2024 GUIDANCE

First QuarterFull Year
20242024
Net salesUp or down low-single digit %Up low to mid-single digit %
Effective tax rateLow twenty percent
Diluted net income per share$10.05 -$10.55 
Adjusted diluted net income per share (1)
$10.85 -$11.35 
(1)    Excludes $0.80 per share of acquisition-related amortization expense.

“We enter 2024 with confidence in our team’s ability to outperform the market given our customer-focused differentiated services and solutions,” said Ms. Petz. “These solutions drive customer productivity and profitability and position us to create value in any environment. Our strategy is proven and unchanged, and we have the right people, the right culture and the right brands to deliver. While the macro environment feels more encouraging than it did a year ago, uncertainties remain. We expect to see some recovery in new residential construction, moderation in commercial construction, choppiness in repair and remodel and few catalysts in DIY. We expect Auto Refinish



and Protective & Marine demand to remain strong and gradual improvement in Industrial Wood and Packaging, with less clarity in General Industrial. As we look at our entire cost basket, we see modest raw material deflation, though continued escalation of wages and other costs has led us to implement a 5% price increase in Paint Stores Group effective February 1. We expect gross margin expansion, and strong cash generation will enable us to remain committed to our disciplined capital allocation approach.
“Against this backdrop, we expect first quarter 2024 consolidated net sales will be up or down a low-single digit percentage compared to the first quarter of 2023. For the full year 2024, based on the indicators we see at this time, we expect consolidated net sales to be up a low to mid single digit percentage. With annual sales at this level, we are introducing adjusted diluted net income per share guidance of $10.85 to $11.35 per share, which represents 7% growth from 2023 at the mid-point. We remain steadfast in our focus on maximizing shareholder value.”

CONFERENCE CALL INFORMATION
The Company will conduct a conference call to discuss its financial results for the fourth quarter and full year 2023, and its outlook for the first quarter and full year 2024, at 11:00 a.m. EST on Thursday, January 25, 2024. Participating on the call will be President and Chief Executive Officer, Heidi G. Petz, along with other senior executives.
The conference call will be webcast simultaneously in the listen only mode by Issuer Direct. To listen to the webcast on the Sherwin-Williams website, click on https://investors.sherwin-williams.com/financials/quarterly-results/, then click on the webcast icon following the reference to the Q4 webcast. An archived replay of the webcast will be available at https://investors.sherwin-williams.com/financials/quarterly-results/ beginning approximately two hours after the call ends.

ABOUT THE SHERWIN-WILLIAMS COMPANY
Founded in 1866, The Sherwin-Williams Company is a global leader in the manufacture, development, distribution, and sale of paint, coatings and related products to professional, industrial, commercial, and retail customers. The Company manufactures products under well-known brands such as Sherwin-Williams®, Valspar®, HGTV HOME® by Sherwin-Williams, Dutch Boy®, Krylon®, Minwax®, Thompson's® WaterSeal®, Cabot® and many more. With global headquarters in Cleveland, Ohio, Sherwin-Williams® branded products are sold exclusively through a chain of more than 5,000 Company-operated stores and branches, while the Company's other brands are sold through leading mass merchandisers, home centers, independent paint dealers, hardware stores, automotive retailers, and industrial distributors. The Sherwin-Williams Performance Coatings Group supplies a broad range of highly-engineered solutions for the construction, industrial, packaging and transportation markets in more than 120 countries around the world. Sherwin-Williams shares are traded on the New York Stock Exchange (symbol: SHW). For more information, visit www.sherwin.com.




CAUTIONARY STATEMENT REGARDING FORWARD-LOOKING INFORMATION
This press release contains "forward-looking statements," as defined under U.S. federal securities laws, with respect to sales, earnings and other matters. Forward-looking statements can be identified by the use of forward-looking words such as "believe," "expect," "estimate," "may," "will," "should," "project," "could," "would," "plan," "goal," "target," "potential," "seek," "intend," "aspire," “strive” or "anticipate" or the negative thereof or comparable words. Any statements that refer to expectations, projections or other characterizations of future events or conditions, are forward-looking statements. Forward-looking statements are based upon management's current expectations, predictions, estimates, assumptions and beliefs concerning future events and conditions. Readers are cautioned not to place undue reliance on any forward-looking statements. Forward-looking statements are subject to risks, uncertainties and other factors, many of which are outside the control of the Company and actual results may differ materially from such statements and from the Company's historical performance, results and experience. These risks, uncertainties and other factors include such things as: general business conditions, including strength of retail and manufacturing economies and growth in the coatings industry; adverse changes in general economic conditions, including the inflationary environment, global credit markets, and currency fluctuations; any disruption in the availability of, or increases in the price of, raw material and energy supplies; catastrophic events, natural disasters or public health crises; losses of or changes in the Company's relationships with customers and suppliers; the Company's ability to successfully compete and integrate past and future acquisitions; the Company’s ability to achieve expected benefits of restructuring and productivity initiatives; cybersecurity incidents and other disruptions to our information technology systems and operations; the Company's ability to protect our reputation, image and brands by successfully managing real or perceived issues, including successfully enforcing our intellectual property rights; the Company's ability to attract and retain a qualified global workforce; compliance with current, new and evolving federal, state and local laws and regulations in multiple jurisdictions; the Company's ability to execute on our business strategies related to environmental, social, and governance matters, and achieve related expectations; the nature, cost, quantity and outcome of pending and future litigation and other claims; and other risks, uncertainties and factors described from time to time in the Company's reports filed with the Securities and Exchange Commission. Since it is not possible to predict or identify all of the risks, uncertainties and other factors that may affect future results, the above list should not be considered a complete list. Any forward-looking statement speaks only as of the date on which such statement is made, and the Company undertakes no obligation to update or revise any forward-looking statement, whether as a result of new information, future events or otherwise.


INVESTOR RELATIONS CONTACTS:

Jim Jaye                                
Senior Vice President, Investor Relations & Corporate Communications                
Direct: 216.515.8682
investor.relations@sherwin.com

Eric Swanson
Vice President, Investor Relations
Direct: 216.566.2766                        
investor.relations@sherwin.com                    


MEDIA CONTACT:

Julie Young
Vice President, Global Corporate Communications
Direct: 216.515.8849
corporatemedia@sherwin.com



The Sherwin-Williams Company and Subsidiaries
Statements of Consolidated Income (Unaudited)
(millions of dollars, except per share data)
Three Months Ended December 31,Year Ended December 31,
2023202220232022
Net sales$5,252.2 $5,230.5 $23,051.9 $22,148.9 
Cost of goods sold2,703.5 2,996.7 12,293.8 12,823.8 
Gross profit2,548.7 2,233.8 10,758.1 9,325.1 
  Percent to net sales48.5 %42.7 %46.7 %42.1 %
Selling, general and administrative expenses1,855.9 1,638.6 7,065.4 6,331.6 
  Percent to net sales35.3 %31.3 %30.6 %28.6 %
Other general expense (income) - net27.2 (17.4)67.1 (24.9)
Impairment23.9 15.5 57.9 15.5 
Interest expense94.6 108.3 417.5 390.8 
Interest income(9.4)(3.2)(25.2)(8.0)
Other expense (income) - net82.5 (2.9)65.5 47.0 
Income before income taxes474.0 494.9 3,109.9 2,573.1 
Income taxes117.8 108.6 721.1 553.0 
Net income$356.2 $386.3 $2,388.8 $2,020.1 
Net income per common share:
Basic$1.40 $1.50 $9.35 $7.83 
Diluted$1.39 $1.48 $9.25 $7.72 
Weighted average shares outstanding:
Basic254.0 257.5 255.4 258.0 
Diluted256.9 260.4 258.3 261.8 




The Sherwin-Williams Company and Subsidiaries
Business Segments (Unaudited)
(millions of dollars)
20232022
NetSegmentNetSegment
ExternalProfitExternalProfit
Sales(Loss)Sales(Loss)
Three Months Ended December 31:
Paint Stores Group$2,944.6 $567.3 $2,877.0 $494.0 
Consumer Brands Group692.3 3.6 745.6 35.1 
Performance Coatings Group1,614.2 220.3 1,607.4 157.3 
Administrative1.1 (317.2)0.5 (191.5)
Consolidated totals$5,252.2 $474.0 $5,230.5 $494.9 
Year Ended December 31:
Paint Stores Group$12,839.5 $2,860.8 $11,963.3 $2,348.1 
Consumer Brands Group3,365.6 309.3 3,388.4 314.2 
Performance Coatings Group6,843.1 991.6 6,793.5 734.9 
Administrative3.7 (1,051.8)3.7 (824.1)
Consolidated totals$23,051.9 $3,109.9 $22,148.9 $2,573.1 
 







The Sherwin-Williams Company and Subsidiaries
Condensed Consolidated Balance Sheets (Unaudited)
(millions of dollars)
December 31,
20232022
Assets
Current assets:
Cash and cash equivalents$276.8 $198.8 
Accounts receivable, net2,467.9 2,563.6 
Inventories2,329.8 2,626.5 
Other current assets438.4 518.8 
Total current assets5,512.9 5,907.7 
Property, plant and equipment, net2,836.8 2,207.0 
Goodwill7,626.0 7,583.2 
Intangible assets3,880.5 4,002.0 
Operating lease right-of-use assets1,887.4 1,866.8 
Other assets1,210.8 1,027.3 
Total assets$22,954.4 $22,594.0 
Liabilities and Shareholders’ Equity
Current liabilities:
Short-term borrowings$374.2 $978.1 
Accounts payable2,315.0 2,436.5 
Compensation and taxes withheld862.7 784.5 
Accrued taxes197.4 197.4 
Current portion of long-term debt1,098.8 0.6 
Current portion of operating lease liabilities449.3 425.3 
Other accruals1,329.5 1,138.3 
Total current liabilities6,626.9 5,960.7 
Long-term debt8,377.9 9,591.0 
Postretirement benefits other than pensions133.2 139.3 
Deferred income taxes683.1 681.6 
Long-term operating lease liabilities1,509.5 1,512.9 
Other long-term liabilities1,908.0 1,606.4 
Shareholders’ equity3,715.8 3,102.1 
Total liabilities and shareholders’ equity$22,954.4 $22,594.0 




Regulation G Reconciliations
Management of the Company utilizes certain financial measures that are not in accordance with U.S. generally accepted accounting principles (US GAAP) to analyze and manage the performance of the business. Management provides non-GAAP information in reporting its financial results to give investors additional data to evaluate the Company's operations. Management does not, nor does it suggest investors should, consider such non-GAAP measures in isolation from, or in substitution for, financial information prepared in accordance with US GAAP.
Management believes that investors’ understanding of the Company’s operating performance is enhanced by the disclosure of diluted net income per share excluding items related to the previously announced Restructuring Plan, impairment related to trademarks, the loss related to the devaluation of the Argentine Peso and Valspar acquisition-related amortization expense. This adjusted earnings per share measurement is not in accordance with US GAAP. It should not be considered a substitute for earnings per share computed in accordance with US GAAP and may not be comparable to similarly titled measures reported by other companies. The following tables reconcile diluted net income per share computed in accordance with US GAAP to adjusted diluted net income per share.
Year Ended
Three Months EndedYear EndedDecember 31, 2024
December 31, 2023December 31, 2023(after-tax guidance)
Pre-Tax
Tax
Effect (1)
After-TaxPre-Tax
Tax
Effect (1)
After-TaxLowHigh
Diluted net income per share$1.39 $9.25 $10.05 $10.55 
Items related to Restructuring Plan:
Severance and other$— $— — $.06 $.02 .04 
Impairment of assets related to China divestiture— — — .13 .08 .05 
Gain on divestiture of domestic aerosol business— — — (.08)(.02)(.06)
Discrete income tax expense related to China divestiture (1)
— — — — (.06).06 
Total— — — .11 .02 .09 — — 
Impairment related to trademarks.09 .02 .07 .09 .02 .07 
Devaluation of the Argentine Peso.16 — .16 .16 — .16 
Acquisition-related amortization expense (2)
.25 .06 .19 1.03 .25 .78 .80 .80 
Adjusted diluted net income per share$1.81 $10.35 $10.85 $11.35 
Three Months EndedYear Ended
December 31, 2022December 31, 2022
Pre-Tax
Tax
Effect (1)
After-TaxPre-Tax
Tax
Effect (1)
After-Tax
Diluted net income per share$1.48 $7.72 
Items related to Restructuring Plan:
Severance and other$.18 $.03 .15 $.18 $.03 .15 
Impairment.06 .01 .05 .06 .01 .05 
Total.24 .04 .20 .24 .04 .20 
Acquisition-related amortization expense (2)
.26 .05 .21 1.06 .25 .81 
Adjusted diluted net income per share$1.89 $8.73 
(1)    The tax effect is calculated based on the statutory rate and the nature of the item, unless otherwise noted.
(2)    Acquisition-related amortization expense consists primarily of the amortization of intangible assets related to the Valspar acquisition and is included within Selling, general and administrative expenses.




Management believes that investors’ understanding of the Company’s operating performance is enhanced by the disclosure of EBITDA, which is a non-GAAP financial measure defined as Net income before Income taxes and Interest expense, depreciation and amortization, as well as Adjusted EBITDA, which is a non-GAAP financial measure that excludes certain adjustments, such as items related to the previously announced Restructuring Plan, impairment related to trademarks and the loss related to the devaluation of the Argentine Peso. Management considers EBITDA and Adjusted EBITDA useful in understanding the operating performance of the Company. The reader is cautioned that the Company’s EBITDA and Adjusted EBITDA should not be compared to other companies unknowingly. Further, EBITDA and Adjusted EBITDA should not be considered alternatives to Net income or net operating cash as an indicator of operating performance or as a measure of liquidity. The following tables reconcile Net income computed in accordance with US GAAP to EBITDA and Adjusted EBITDA, as applicable.
(millions of dollars)
Three MonthsThree MonthsThree MonthsThree MonthsYear
EndedEndedEndedEndedEnded
March 31, 2023June 30, 2023September 30, 2023December 31, 2023December 31, 2023
Net income$477.4 $793.7 $761.5 $356.2 $2,388.8 
Interest expense109.3 111.7 101.9 94.6 417.5 
Income taxes137.4 218.4 247.5 117.8 721.1 
Depreciation70.4 75.7 71.9 74.3 292.3 
Amortization83.7 83.0 83.5 80.0 330.2 
EBITDA$878.2 $1,282.5 $1,266.3 $722.9 $4,149.9 
Restructuring expense0.9 8.7 — — 9.6 
Impairment related to Restructuring Plan— 34.0 — — 34.0 
Gain on divestiture of domestic aerosol business— (20.1)— — (20.1)
Impairment related to trademarks— — — 23.9 23.9 
Devaluation of the Argentine Peso— — — 41.8 41.8 
Adjusted EBITDA$879.1 $1,305.1 $1,266.3 $788.6 $4,239.1 
Three MonthsThree MonthsThree MonthsThree MonthsYear
EndedEndedEndedEndedEnded
March 31, 2022June 30, 2022September 30, 2022December 31, 2022December 31, 2022
Net income$370.8 $577.9 $685.1 $386.3 $2,020.1 
Interest expense88.4 92.9 101.2 108.3390.8 
Income taxes90.3 162.0 192.1 108.6553.0 
Depreciation65.5 64.8 64.5 69.2 264.0 
Amortization78.0 78.5 81.3 79.3 317.1 
EBITDA$693.0 $976.1 $1,124.2 $751.7 $3,545.0 
Restructuring expense— — — 47.3 47.3 
Impairment related to Restructuring Plan— — — 15.5 15.5 
Adjusted EBITDA$693.0 $976.1 $1,124.2 $814.5 $3,607.8 




The Sherwin-Williams Company and Subsidiaries
Selected Information (Unaudited)
(millions of dollars, except store count data)
Three Months EndedYear Ended
December 31,December 31,
2023202220232022
Depreciation$74.3 $69.2 $292.3 $264.0 
Capital expenditures319.5 233.8 888.4 644.5 
Cash dividends155.3 155.6 623.7 618.5 
Amortization of intangibles80.0 79.3 330.2 317.1 
Significant components of Other general expense (income) - net
Provisions for environmental related matters - net$28.0 $(18.2)$80.7 $(7.1)
(Gain) on divestiture of businesses — (20.1)— 
Loss (gain) on sale or disposition of assets9.0 0.8 0.9 (17.8)
Other(9.8) 5.6  
Significant components of Other expense (income) - net
Loss on extinguishment of debt$12.8 $— $12.8 $— 
Investment (gains) losses(3.7)(6.3)(22.9)9.7 
Net expense from banking activities4.1 3.2 15.0 12.2 
Foreign currency transaction related losses - net (1)
55.8 4.1 80.5 33.6 
Other (2)
13.5 (3.9)(19.9)(8.5)
Store Count Data
Paint Stores Group - net new stores34397075
Paint Stores Group - total stores4,6944,6244,6944,624
Consumer Brands Group - net new stores2111(3)
Consumer Brands Group - total stores318 307318 307
Performance Coatings Group - net new branches
434535
Performance Coatings Group - total branches322317322317
(1) The three months and year ended December 31, 2023 includes the $41.8 million loss related to the devaluation of the Argentine Peso.
(2) Consists of items of revenue, gains, expenses and losses unrelated to the primary business purpose of the Company.


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Cover
Jan. 25, 2024
Cover [Abstract]  
Document Type 8-K
Document Period End Date Jan. 25, 2024
Entity Registrant Name THE SHERWIN-WILLIAMS COMPANY
Entity Incorporation, State or Country Code OH
Entity File Number 1-04851
Entity Tax Identification Number 34-0526850
Entity Address, Address Line One 101 West Prospect Avenue
Entity Address, City or Town Cleveland,
Entity Address, State or Province OH
Entity Address, Postal Zip Code 44115-1075
City Area Code 216
Local Phone Number 566-2000
Written Communications false
Soliciting Material false
Pre-commencement Tender Offer false
Pre-commencement Issuer Tender Offer false
Title of 12(b) Security Common Stock, par value $0.33-1/3 per share
Trading Symbol SHW
Security Exchange Name NYSE
Entity Emerging Growth Company false
Entity Central Index Key 0000089800
Amendment Flag false
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