PPG INDUSTRIES INC (PPG)

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CIK 0000079879 · NYSE · Paints, Varnishes, Lacquers, Enamels & Allied Prods

  • Sector Manufacturing
  • Incorporated PA
  • Fiscal year ends Dec 31

In fiscal 2025, PPG INDUSTRIES INC reported revenue of $15.88B, up 0.2% from the prior year. The company was profitable, with a net margin of 9.9%. It held $22.10B in total assets against $14.00B in total liabilities.

Key ratios (FY2025)

9.9%
Net margin
19.5%
Return on equity
+0.2%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$15.88B$15.85B$16.24B$15.61B$16.80B$13.83B$15.15B$15.37B$14.75B$14.27B
Cost of Revenue$9.32B$9.25B$9.68B$9.97B$10.29B$7.78B$8.65B$9.00B$8.21B
Operating Income$2.67B$2.04B$2.17B$2.11B$2.27B$2.12B$2.29B$2.38B
Net Income$1.58B$1.12B$1.27B$1.03B$1.44B$1.06B$1.24B$1.34B$1.59B$873.00M
EPS (Diluted)$6.94$4.75$5.35$4.32$6.01$4.45$5.22$5.47$6.18$3.27
Total Assets$22.10B$19.43B$21.65B$20.74B$21.35B$19.56B$17.71B$16.02B$16.54B$15.77B
Total Liabilities$14.00B$12.47B$13.62B$14.04B$14.94B$13.74B$12.30B$11.28B$10.87B$10.86B
Shareholders' Equity$8.10B$6.96B$8.02B$6.71B$6.41B$5.82B$5.40B$4.73B$5.67B$4.92B
Cash & Equivalents$2.16B$1.27B$1.49B$1.10B$1.00B$1.83B$1.22B$902.00M$1.44B$1.82B
Operating Cash Flow$1.94B$1.42B$2.41B$963.00M$1.56B$2.13B$2.08B$1.47B$1.57B$1.35B
Capital Expenditures$778.00M$721.00M$516.00M$486.00M$371.00M$304.00M$413.00M$411.00M$360.00M$380.00M
Shares Outstanding223.43M229.93M235.21M235.07M235.91M236.69M235.68M235.86M251.17M257.33M
Dividends Per Share$2.78$2.66$2.54$2.42$2.26$2.10$1.98$1.86$1.70$1.56