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What’s Next for Sherwin-Williams (NYSE: SHW)? Q2 Results and the Next Earnings Date

Sherwin-Williams’ next scheduled catalyst is its Q3 report on October 27, after the October 5–11 week. Q2 sales and EPS grew, but management cited soft demand and cost pressures.
From TheFinanceBase Team2 min to read
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Sherwin-Williams’ next scheduled company catalyst is its Q3 2026 earnings report on October 27—not during the week of October 5–11. Its latest results showed higher sales and earnings and increased full-year guidance, while management also described persistently soft demand and raw-material cost pressure.

When does Sherwin-Williams report earnings next?

Sherwin-Williams plans to release Q3 2026 results before the market opens on October 27, 2026, followed by a conference call at 10:00 a.m. EDT. CEO Heidi Petz and other senior executives are scheduled to participate. The date was announced by the company on October 1; it falls after the October 5–11 week, rather than within it. Sherwin-Williams’ Q3 reporting announcement

What did Sherwin-Williams report in Q2?

For the quarter ended June 30, 2026, net sales reached $6,789.3 million, up 7.5% from $6,314.5 million a year earlier. The company reported sales growth across all reportable segments. In its Paint Stores Group, sales increased 5.1% to $3,890.0 million; sales at stores open more than twelve calendar months grew 4.2%. Segment profit rose 4.5% to $957.6 million. Sherwin-Williams’ Q2 2026 results

Net income was $843.6 million, an 11.8% increase year over year. Diluted earnings per share (EPS), the company’s reported GAAP measure, was $3.43, up 14.3% from $3.00. Adjusted diluted EPS, a company-defined non-GAAP measure, was $3.70, up 9.5% from $3.38. These figures are distinct measures and should not be treated as interchangeable.

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How did the company change its 2026 outlook?

With its Q2 report, Sherwin-Williams raised its full-year 2026 EPS guidance. The ranges differ by measure:

Measure 2026 guidance
Diluted EPS (GAAP) $10.92–$11.32
Adjusted diluted EPS (company-defined non-GAAP) $11.80–$12.20

The company’s guidance is its outlook, not a guarantee of results. The adjusted range should be assessed separately from GAAP guidance.

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What supported growth, and what pressures remain?

CEO Heidi G. Petz attributed the sales improvement to growth investments, new account wins, and increased share of wallet. She also characterized the quarter as taking place amid continuing global uncertainty and no meaningful improvement in demand. That is management’s description of conditions, not an independent measure of market demand. Q2 2026 earnings release filed with the SEC

The company identified higher raw-material costs as a source of gross-margin pressure. Its release also cited employee-related costs, Suvinil-related selling, general and administrative expenses, costs associated with its new global headquarters and technology center, and higher interest expense as factors weighing on expenses or profitability. Sales and EPS growth therefore came alongside cost and demand headwinds rather than demonstrating that those pressures had gone away.

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What longer-term context is useful—and what does it not show?

Sherwin-Williams’ investor overview lists $23.6 billion in net sales for 2025, 47 consecutive years of dividend increases, and a 6.9% five-year adjusted EPS compound annual growth rate (CAGR), all as of December 31, 2025. These company-published historical figures provide context on scale and past shareholder returns; they are not a forecast of future growth or an indication of what SHW shares will do next. Sherwin-Williams investor overview

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What can investors reasonably watch this week?

Based on the company’s published schedule, there is no Q3 earnings release during October 5–11. The latest concrete operating evidence is the Q2 report: sales and earnings increased and full-year guidance rose, but management continued to describe weak demand and identified cost pressures. The next scheduled company update is October 27. The cited company materials do not establish SHW’s current-week share-price move or provide a basis for comparing its valuation with peers.

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