The Sherwin-Williams Company
The Sherwin-Williams Company (0L5V.L) Stock Chart & Performance Analysis
Explore The Sherwin-Williams Company’s stock chart, historical data, and performance trends for a deeper market understanding.
Analyzing The Sherwin-Williams Company (0L5V.L) Trends Across Multiple Time Frames
The Sherwin-Williams Company Charts reveal critical insights by breaking down performance into different periods from short-term swings to long-term trends. The Sherwin-Williams Company stock shows 2.33% 1-day change, indicating immediate volatility, while its 5-day change of -5.19% suggests a broader trend. Over a 1-month period, a -10.88% drop could signal a pullback, whereas a 3-month decline of -2.37% may reflect broader market sentiment. Longer timeframes help assess sustained performance. A 6-month change of -14.53% and a YTD drop of -3.80% might concern investors, but a 1-year loss of -0.34% and a 3-year increase of 22.92% could indicate resilience. The 5-year surge of 93.24% highlights strong historical growth, while the all-time return of 181.78% underscores long-term potential. Whether tracking intraday moves or multi-year trends, analyzing these metrics helps traders and investors make data-driven decisions.