PPG Industries Inc (PPG)

Industry Specialty Chemicals

This stock can be held in an Investment ISA and an Investment Account
Sell

$111.00

Buy

$120.00

arrow-down$-1.67 (-1.47%)

PPG Industries Inc is engaged in manufacturing and distributing coatings, specialty materials and glass products. It sells its products to a wide variety of end users, including the automotive, aerospace, construction, and industrial markets.
Prices updated at 14 May 2025, 09:31 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
14,748m15,374m15,146m13,834m16,802m15,614m16,242m15,845m
6,539m6,373m6,493m6,057m6,516m5,639m6,564m6,593m
2,014m1,862m1,946m1,780m1,686m1,666m2,035m2,287m
13.6612.1112.8512.8710.0310.6712.5314.43
1,594m1,341m1,243m1,059m1,439m1,026m1,270m1,116m
2,570m2,308m2,304m2,009m2,497m2,024m2,451m2,585m
Sales, General and administrative3,614m3,573m3,604m3,389m3,830m3,037m3,591m3,391m
Interest expenses105m118m132m138m121m167m247m241m
Provision for income taxes615m353m392m291m374m320m428m475m
Operating expenses4,525m4,511m4,547m4,277m4,830m3,973m4,529m4,306m
Income before taxes2,005m1,693m1,661m1,362m1,815m1,355m1,690m1,852m
Net income available to common shareholders1,594m1,341m1,243m1,059m1,439m1,026m1,270m1,116m
6.215.55.254.476.064.345.384.77
Net interest income-85m-95m-100m-115m-95m-113m-107m-64m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)6.175.475.224.456.014.325.354.75
Free cash flow per share4.65953.30496.96646.78657.18081.31576.61825.428
Book value/share23.497621.114122.263222.434826.506225.668532.953433.8715
Debt equity ratio0.7439270.9427650.9767221.0279491.1557431.0829790.7871550.785556

Balance sheet

20172018201920202021202220232024
Current assets6,477m5,961m6,170m6,798m6,774m7,173m7,431m6,557m
Current liabilities3,894m4,373m4,375m4,831m4,766m4,721m5,054m5,014m
Total capital9,692m8,995m9,823m10,860m12,858m13,095m13,580m11,661m
Total debt4,146m5,016m5,844m6,606m7,466m7,635m6,870m6,395m
Total equity5,558m4,630m5,284m5,689m6,286m6,592m7,832m6,785m
Total non current liabilities--------
Loans4,134m4,365m4,539m5,171m6,572m6,503m5,748m4,876m
Total assets16,538m16,015m17,708m19,556m21,351m20,744m21,647m19,433m
Total liabilities--------
Cash and cash equivalents1,436m902m1,216m1,826m1,005m1,099m1,514m1,270m
Common stock251m236m236m237m236m235m235m230m

Cash flow

20172018201920202021202220232024
Cash at beginning of period1,820m1,436m902m1,216m1,826m1,005m1,099m1,493m
Cash dividends paid-434m-453m-468m-496m-536m-570m-598m-622m
1,208m1,056m1,667m1,826m1,191m445m1,862m699m
Investments (gains) losses-67m-764m-1,009m-1,447m-2,404m-461m-556m107m
1,436m902m1,216m1,826m1,005m1,099m1,514m1,270m
Net income--------
1,568m1,467m2,080m2,130m1,562m963m2,411m1,420m
-360m-411m-413m-304m-371m-518m-549m-721m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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