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Financial statements
PPG

Company financials

PPG Industries

Materials Specialty Chemicals Pittsburgh, Pennsylvania Last filing Feb 19, 2026 · FY2025
Revenue FY2025
$15.9B
3y CAGR +0.6% P62
Net income FY2025
$1.6B
Net margin +9.9% P69
Total assets FY2025
$22.1B
ROA +7.1% P65
Operating cash flow FY2025
$1.9B
FCF margin +7.3% P59
19 yrs · FY2007–FY2025 9 filed · 0 derived · 0 blank

Running CAGR since the earliest displayed year.

Balance Sheet

Assets, liabilities, and equity

34 accounts · 10 years
Total assets $22.1B
Total liabilities $14.0B
Shareholders equity $7.9B
Account 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 Trend
Assets
Cash and Cash Equivalents +1.9% -4.4% -2.6% -8.1% -11.2% +0.1% -12.6% -29.6% -21.1%
Short Term Investments +3.0% +9.4% +8.3% +4.2% +9.3% +22.2% +9.9% +19.1% +27.9%
Accounts Receivable +4.3% +1.0% +3.3% +3.6% +3.3% +1.3% +2.7% +4.6% +11.8%
Inventory +3.1% +2.5% +5.0% +7.0% +7.5% +3.5% +4.1% +8.5% +14.3%
Prepaid Expenses +2.7% +1.8% +4.5% +5.6% +3.4% +6.7% +10.4% +7.5% +10.3%
Other Current Assets +2.7% +1.8% +4.5% +5.6% +3.4% +6.7% +10.4% +7.5% +10.3%
Total Current Assets +2.1% -0.0% +1.8% +1.5% +0.6% +0.8% -2.1% -4.8% -1.5%
Property,Plant and Equipment +4.9% +3.6% +4.9% +4.1% +5.7% +4.6% +4.6% +3.7% +8.3%
Operating Lease Assets
Goodwill +6.2% +6.0% +8.0% +9.3% +11.8% +9.3% +7.8% +6.7% +10.4%
Intangible Assets -0.1% -0.4% +2.9% +3.3% +7.0% +4.3% +2.4% -0.3% +3.1%
Long Term Investments +7.1% +8.0% +5.4% +5.3% +8.9% +10.5% +13.0% +18.4% +49.7%
Deferred Tax Assets -8.9% -15.0% -18.1% -33.6% -29.2% -23.5% -41.7% -54.5% -27.5%
Other Noncurrent Assets -1.3% -2.0% -1.9% -2.3% +2.1% +0.6% +1.2% +4.2% +1.2%
Total Assets +3.8% +2.6% +4.6% +4.7% +6.2% +5.5% +3.9% +0.8% +4.9%
Liabilities
Accounts Payable +8.4% +1.6% +4.6% +4.9% +7.5% +4.3% +3.2% +6.8% +21.7%
Accrued Liabilities +1.5% +0.9% +3.7% +2.8% +4.9% +2.3% +0.3% +2.3% +9.2%
Current Portion of Long Term Debt +3.2% +7.3% -7.7% -8.9% -64.5% -24.2% -1.7% +10.5% -99.2%
Operating Lease Liabilities
Total Current Liabilities +1.6% +2.1% +2.5% +1.8% +2.3% +3.2% +0.9% +1.4% -8.4%
Long Term Debt +6.4% +3.2% +6.1% +9.4% +11.7% +8.1% +6.2% +7.4% +9.2%
Operating Lease Liabilities Noncurrent
Deferred Tax Liabilities -11.3% -13.9% -12.9% -15.1% -13.6% -24.5% -30.4% -43.4% -29.3%
Other Noncurrent Liabilities -4.0% -2.7% -5.0% -6.3% -4.1% +0.4% -0.9% -5.1% +3.4%
Total Liabilities +2.9% +1.7% +3.3% +4.4% +6.6% +6.1% +4.3% +1.9% +0.1%
Equity
Preferred Stock
Common Stock +0.0% +0.0% +0.0% +0.0% +0.0% +0.0% +0.0% +0.0% +0.0%
Additional Paid In Capital +7.3% +7.7% +8.0% +8.3% +9.0% +9.5% +10.7% +6.0% +7.8%
Retained Earnings +4.1% +4.1% +4.3% +4.5% +5.0% +5.1% +5.8% +6.5% +7.2%
Treasury Stock +4.2% +4.0% +3.8% +4.4% +5.0% +5.9% +8.0% +11.2% +7.4%
Accumulated Other Comprehensive Income
Noncontrolling Interest +6.7% +9.3% +11.9% +5.1% +7.5% +9.7% +11.0% +8.3% +32.2%
Total Stockholders Equity +5.7% +4.4% +7.2% +5.3% +5.4% +4.2% +3.1% -2.1% +15.2%
Total Liabilitiesand Equity +3.8% +2.6% +4.6% +4.7% +6.2% +5.5% +3.9% +0.8% +4.9%

Key Ratios

Margins, returns, liquidity, leverage, efficiency

Computed at import · 10 years
Ratio 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
Profitability
Gross margin +41.3% +41.6% +40.4% +36.1% +38.8% +43.8% +42.9% +41.5% +44.3%
Operating margin +9.9% +8.5% +16.5% +13.1% +12.9% +15.2% +15.0% +13.8% +15.5% +16.7%
Net margin +9.9% +7.0% +7.8% +6.6% +8.6% +7.7% +8.2% +8.7% +10.8% +6.1%
FCF margin +7.3% +4.4% +11.7% +3.1% +7.1% +13.2% +11.0% +6.9% +8.2% +6.8%
Growth
Revenue CAGR (3y) +0.6% -1.9% +5.5% +1.0% +3.0% -2.1% +2.0% +2.6% -0.1% -1.9%
Returns
ROE +19.8% +16.4% +16.2% +15.6% +22.9% +18.6% +23.5% +29.0% +28.7% +18.1%
ROA +7.1% +5.7% +5.9% +4.9% +6.7% +5.4% +7.0% +8.4% +9.6% +5.5%
ROIC +9.3% +8.8% +16.2% +12.7% +14.5% +18.0% +19.0% +19.2% +19.2% +23.6%
Liquidity
Current ratio 1.62x 1.31x 1.47x 1.52x 1.42x 1.41x 1.41x 1.36x 1.66x 1.55x
Quick ratio 1.12x 0.75x 0.87x 0.83x 0.77x 0.88x 0.84x 0.78x 1.03x 0.97x
Leverage
D/E 1.76x 1.84x 1.74x 2.13x 2.38x 2.42x 2.33x 2.44x 1.95x 2.25x
Interest coverage 6.52x 5.58x 10.83x 12.23x 17.94x 15.28x 17.20x 17.95x 21.83x 19.06x
Efficiency
Asset turnover 0.72x 0.82x 0.75x 0.75x 0.79x 0.71x 0.86x 0.96x 0.89x 0.90x
Cash conversion cycle -0d +45d +46d +56d +38d +39d +43d +43d +37d

Valuation

Price against fundamentals

FY2025 fundamentals · no price

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