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XNYS
PPG
Market cap26bUSD
Jul 24, Last price  
115.02USD
1D
-1.36%
1Q
12.14%
Jan 2017
21.38%
Name

PPG Industries Inc

Chart & Performance

D1W1MN
P/E
18.96
P/S
1.65
EPS
6.07
Div Yield, %
1.72%
Shrs. gr., 5y
-0.33%
Rev. gr., 5y
0.91%
Revenues
15.85b
-13.16%
10,201,000,00011,037,000,00011,206,000,00015,849,000,00012,239,000,00013,423,000,00014,885,000,00015,200,000,00015,108,000,00015,360,000,00015,330,000,00014,751,000,00014,750,000,00015,374,000,00015,146,000,00013,834,000,00016,802,000,00017,652,000,00018,246,000,00015,845,000,000
Net income
1.38b
+8.43%
596,000,000711,000,000834,000,000538,000,000336,000,000769,000,0001,095,000,000941,000,0003,231,000,0002,102,000,0001,406,000,000873,000,0001,594,000,0001,341,000,0001,243,000,0001,059,000,0001,439,000,0001,026,000,0001,270,000,0001,377,000,000
CFO
1.42b
-41.10%
1,065,000,0001,130,000,000996,000,0001,358,000,0001,345,000,0001,310,000,0001,436,000,0001,787,000,0001,791,000,0001,528,000,0001,837,000,0001,325,000,0001,568,000,0001,467,000,0002,080,000,0002,130,000,0001,562,000,000963,000,0002,411,000,0001,420,000,000
Dividend
Aug 12, 20240.68 USD/sh

Profile

PPG Industries, Inc. manufactures and distributes paints, coatings, and specialty materials worldwide. The company's Performance Coatings segment offers coatings, solvents, adhesives, sealants, sundries, and software for automotive and commercial transport/fleet repair and refurbishing, light industrial coatings, and specialty coatings for signs; and coatings, sealants, transparencies, transparent armor, adhesives, engineered materials, and packaging and chemical management services for commercial, military, regional jet, and general aviation aircraft. It also provides coatings and finishes for the protection of metals and structures, such as metal fabricators, heavy duty maintenance contractors, and manufacturers of ships, bridges, and rail cars; paints, wood stains, adhesives, and purchased sundries for painting and maintenance contractors, and consumers for decoration and maintenance of residential and commercial building structures; and paints, thermoplastics, pavement marking products, and other technologies for pavement marking. The company's Industrial Coatings segment offers coatings, adhesives and sealants, and metal pretreatments, as well as services and coatings applications for appliances, agricultural and construction equipment, consumer electronics, automotive parts and accessories, building products, kitchenware, and transportation vehicles and other finished products; and on-site coatings services. It also provides coatings for metal cans, closures, plastic tubes, and promotional and specialty packaging; amorphous precipitated silica for tire, battery separator, and other end-uses; TESLIN substrates for labels, e-passports, drivers' licenses, breathable membranes, and loyalty and identification cards; and organic light emitting diode materials, displays and lighting lens materials, optical lenses, color-change products, and photochromic dyes. The company was incorporated in 1883 and is headquartered in Pittsburgh, Pennsylvania.
IPO date
Dec 17, 1945
Employees
52,000
Domiciled in
US
Incorporated in
US

Valuation

Title
USD in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFYFYFY
2024‑122023‑122022‑122021‑122020‑122019‑122018‑122017‑122016‑122015‑12
Income
Revenues
15,845,000
-13.16%
18,246,000
3.37%
17,652,000
5.06%
Cost of revenue
13,066,000
15,583,000
15,638,000
Unusual Expense (Income)
NOPBT
2,779,000
2,663,000
2,014,000
NOPBT Margin
17.54%
14.59%
11.41%
Operating Taxes
475,000
439,000
325,000
Tax Rate
17.09%
16.49%
16.14%
NOPAT
2,304,000
2,224,000
1,689,000
Net income
1,377,000
8.43%
1,270,000
23.78%
1,026,000
-28.70%
Dividends
(622,000)
(598,000)
(570,000)
Dividend yield
2.22%
1.69%
1.91%
Proceeds from repurchase of equity
(752,000)
(86,000)
(190,000)
BB yield
2.69%
0.24%
0.64%
Debt
Debt current
1,065,000
694,000
496,000
Long-term debt
5,910,000
7,186,000
7,322,000
Deferred revenue
Other long-term liabilities
1,722,000
1,692,000
1,674,000
Net debt
5,286,000
6,032,000
6,420,000
Cash flow
Cash from operating activities
1,420,000
2,411,000
963,000
CAPEX
(721,000)
(549,000)
(518,000)
Cash from investing activities
(399,000)
(556,000)
(461,000)
Cash from financing activities
(1,425,000)
(1,550,000)
(409,000)
FCF
2,919,000
6,576,000
962,000
Balance
Cash
1,358,000
1,589,000
1,154,000
Long term investments
331,000
259,000
244,000
Excess cash
896,750
935,700
515,400
Stockholders' equity
20,032,000
20,421,000
19,104,000
Invested Capital
14,182,250
15,813,300
15,465,600
ROIC
15.36%
14.22%
10.87%
ROCE
17.95%
15.43%
12.22%
EV
Common stock shares outstanding
234,300
237,200
237,300
Price
119.45
-20.13%
149.55
18.94%
125.74
-27.08%
Market cap
27,987,135
-21.10%
35,473,260
18.89%
29,838,102
-27.72%
EV
33,450,135
41,696,260
36,375,102
EBITDA
3,271,000
3,267,000
2,568,000
EV/EBITDA
10.23
12.76
14.16
Interest
241,000
247,000
167,000
Interest/NOPBT
8.67%
9.28%
8.29%