SequelSEC

PPG INDUSTRIES INC PPG

Paints, Varnishes, Lacquers, Enamels & Allied Prods · CIK 0000079879 · Fiscal year ends 1231

Revenue
$15.88B
Fiscal year ended 2025-12-31
Operating income
Unavailable
Fiscal year ended 2025-12-31
Free cash flow
$1.16B
Fiscal year ended 2025-12-31

PPG INDUSTRIES INC (PPG) reported revenue of $15.88B and net income of $1.58B for the fiscal year ended 2025-12-31. This page shows 10 annual periods of income statement, balance sheet and cash flow figures normalized from PPG INDUSTRIES INC’s SEC filings, each linked to the filing it came from. It is classified by the SEC under Paints, Varnishes, Lacquers, Enamels & Allied Prods.

Income

PPG INDUSTRIES INC income by fiscal year, in US dollars, normalized from SEC filings.
Metric2025-12-312024-12-312023-12-312022-12-312021-12-312020-12-312019-12-312018-12-312017-12-312016-12-31
Revenue$15.88B$15.84B$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$9.98B$10.29B$7.78B$8.65B$9.00B$8.21BUnavailable
Gross profit$6.56B$6.59B$6.56B$5.64B$6.52B$6.06B$6.49B$6.37B$6.54BUnavailable
Operating incomeUnavailableUnavailable$2.68B$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
Research & development$446.00M$447.00M$446.00M$457.00M$463.00M$401.00M$456.00M$464.00M$472.00M$473.00M
Weighted-average diluted sharesshares 227.10Mshares 234.90Mshares 237.20Mshares 237.30Mshares 239.40Mshares 237.90Mshares 238.20Mshares 245.40Mshares 257.80Mshares 267.40M
Pretax income$2.04B$1.85B$1.69B$1.36B$1.82B$1.36B$1.66B$1.69B$2.00B$779.00M
Income tax expense$458.00M$475.00M$428.00M$320.00M$374.00M$291.00M$392.00M$353.00M$615.00M$214.00M
Diluted EPS$6.94$4.75$5.35$4.32$6.01$4.45$5.22$5.47$6.18$3.27
Selling, general & administrative$3.44B$3.39B$3.40B$3.04B$3.78B$3.39B$3.60B$3.57B$3.55B$3.56B
General & administrativeUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailable
Selling & marketingUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailable

Balance

PPG INDUSTRIES INC balance by fiscal year, in US dollars, normalized from SEC filings.
Metric2025-12-312024-12-312023-12-312022-12-312021-12-312020-12-312019-12-312018-12-312017-12-312016-12-31
Cash & equivalents$2.16B$1.27B$1.49B$1.10B$1.00B$1.83B$1.22B$902.00M$1.44B$1.82B
Total assets$22.10B$19.43B$21.65B$20.74B$21.35B$19.56B$17.71B$16.02B$16.54B$15.77B
Current assets$7.96B$6.56B$7.43B$7.17B$6.77B$6.80B$6.17B$5.96B$6.48B$6.57B
Total liabilities$14.00B$12.47B$13.62B$14.04B$14.94B$13.74B$12.30B$11.28B$10.87B$10.86B
Current liabilities$4.90B$5.01B$5.05B$4.72B$4.77B$4.83B$4.38B$4.37B$3.90B$4.25B
Total equity incl. NCI$8.10B$6.96B$8.02B$6.71B$6.41B$5.82B$5.40B$4.73B$5.67B$4.92B
Temporary (mezzanine) equityUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailable
Inventory$2.00B$1.85B$1.93B$2.27B$2.17B$1.74B$1.71B$1.78B$1.73B$1.51B
Accounts receivable$3.34B$2.48B$2.62B$2.82B$2.69B$2.41B$2.48B$2.50B$2.56B$2.29B
Goodwill$6.15B$5.69B$6.12B$5.99B$6.25B$5.10B$4.47B$4.07B$3.94B$3.57B
Long-term debt$6.60B$4.88B$5.75B$6.50B$6.57B$5.17B$4.54B$4.36B$4.13B$3.79B
Accounts payableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailable

Cash flow

PPG INDUSTRIES INC cash flow by fiscal year, in US dollars, normalized from SEC filings.
Metric2025-12-312024-12-312023-12-312022-12-312021-12-312020-12-312019-12-312018-12-312017-12-312016-12-31
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
Investing cash flow-$700.00M$107.00M-$556.00M-$461.00M-$2.40B-$1.45B-$1.01B-$764.00M-$67.00M$436.00M
Financing cash flow-$545.00M-$1.42B-$1.55B-$409.00M$93.00M-$59.00M-$758.00M-$1.20B-$1.95B-$1.21B
Net change in cash$893.00M-$223.00M$410.00M$91.00M-$821.00M$610.00M$314.00M-$534.00M-$384.00M$509.00M
Stock-based compensation$46.00M$42.00M$56.00M$34.00M$57.00M$44.00M$39.00M$37.00M$35.00M$45.00M
Common dividends paid$628.00M$622.00M$598.00M$570.00M$536.00M$496.00M$468.00M$453.00M$434.00M$414.00M
Common share repurchases$790.00M$752.00M$86.00M$190.00M$210.00M$0$325.00M$1.72B$813.00M$1.05B
Depreciation & amortization$528.00M$492.00M$514.00M$502.00M$561.00M$509.00M$511.00M$497.00M$460.00M$440.00M

Derived

PPG INDUSTRIES INC derived by fiscal year, in US dollars, normalized from SEC filings.
Metric2025-12-312024-12-312023-12-312022-12-312021-12-312020-12-312019-12-312018-12-312017-12-312016-12-31
Free cash flow$1.16B$699.00M$1.90B$477.00M$1.19B$1.83B$1.67B$1.06B$1.21B$971.00M
Gross margin41.3%41.6%40.4%36.1%38.8%43.8%42.9%41.5%44.3%Unavailable
Operating marginUnavailableUnavailableUnavailableUnavailable12.9%15.2%15.0%13.8%15.5%16.7%
FCF margin7.3%4.4%11.7%3.1%7.1%13.2%11.0%6.9%8.2%6.8%
SBC / revenue0.3%0.3%0.3%0.2%0.3%0.3%0.3%0.2%0.2%0.3%
Current ratio1.62x1.31x1.47x1.52x1.42x1.41x1.41x1.36x1.66x1.55x
Revenue YoY growth0.2%-2.4%4.0%-7.1%21.5%-8.7%-1.5%4.2%3.3%Unavailable
Net margin9.9%7.0%7.8%6.6%8.6%7.7%8.2%8.7%10.8%6.1%
R&D / revenue2.8%2.8%2.7%2.9%2.8%2.9%3.0%3.0%3.2%3.3%
CapEx / revenue4.9%4.6%3.2%3.1%2.2%2.2%2.7%2.7%2.4%2.7%
Long-term debt / equity0.82xUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailableUnavailable
Effective tax rate22.4%25.6%25.3%23.6%20.6%21.4%23.6%20.9%30.7%27.5%

Amounts are abbreviated; the exact reported value is carried in each cell. — means unavailable, not zero. Open PPG in the interactive workspace to inspect any figure back to its filing.

Source filings

10-Q · Filed 2026-04-29View SEC filing
10-K · Filed 2026-02-19View SEC filing
10-Q · Filed 2025-10-29View SEC filing
10-Q · Filed 2025-07-30View SEC filing
10-Q · Filed 2025-04-30View SEC filing
10-K · Filed 2025-02-20View SEC filing

Companies in the same industry

Every accounting identity this site checks — the balance sheet, the gross profit bridge and the cash flow statement — reconciles in every period shown.