CF Industries Holdings, Inc. vs Sherwin-Williams Company (The) — Stock Comparison
Q·Score Breakdown
7.9
Buy
Overall
6.4
Hold
Quality
Health
Growth
Valuation
Sentiment
CF
High-quality business with 23% return on equity and 21% profit margins.
⚠ cautious analyst consensus — few Buy ratings.
SHW
High-quality business with 61% return on equity and 11% profit margins.
⚠ high leverage at 3.3× debt-to-equity.
Analyst Consensus
HOLD
Target $120.42 (-3.7%)
19 analysts
BUY
Target $377.95 (+17.3%)
21 analysts
Fundamentals
CF
SHW
13.9×
Trailing P/E
30.9×
12.9×
Forward P/E
24.2×
20.5%
Profit Margin
10.9%
38.5%
Gross Margin
49.0%
23.4%
ROE
60.7%
22.8%
Revenue Growth
6.8%
37.1%
Earnings Growth
7.5%
0.52
Beta
1.27
—
Price / Book
—
$19.2B
Market Cap
$79.5B
$75 – $142
52-Week Range
$302 – $380
Q·Score is an educational tool and is not financial advice. Data provided by Yahoo Finance. Updated on each page load.