PPG Ppg Industries Inc

Price (delayed)

$148.04

Market cap

$34.97B

P/E Ratio

32.39

Dividend/share

$2.1

EPS

$4.57

Enterprise value

$39.31B

Sector: Basic Materials
Industry: Specialty Chemicals

PPG Industries, Inc. is an American Fortune 500 company and global supplier of paints, coatings, and specialty materials. With headquarters in Pittsburgh, Pennsylvania, PPG operates in more than 70 countries ...

Highlights

The quick ratio has grown by 13% since the previous quarter and by 8% year-on-year
The debt has declined by 11% since the previous quarter
Ppg Industries's net income has decreased by 11% YoY but it has increased by 7% from the previous quarter
PPG's EPS is down by 11% year-on-year but it is up by 8% since the previous quarter
The P/E is 42% more than the 5-year quarterly average of 22.8 and 38% more than the last 4 quarters average of 23.5
The revenue has declined by 9% year-on-year

Key stats

What are the main financial stats of PPG
Market
Shares outstanding
236.2M
Market cap
$34.97B
Enterprise value
$39.31B
Valuations
Price to earnings (P/E)
32.39
Price to book (P/B)
6.58
Price to sales (P/S)
2.54
EV/EBIT
25.56
EV/EBITDA
19.12
EV/Sales
2.86
Earnings
Revenue
$13.75B
EBIT
$1.54B
EBITDA
$2.06B
Free cash flow
$1.61B
Per share
EPS
$4.57
Free cash flow per share
$6.84
Book value per share
$22.5
Revenue per share
$58.26
TBVPS
$50.64
Balance sheet
Total assets
$18.3B
Total liabilities
$12.88B
Debt
$6.35B
Equity
$5.31B
Working capital
$2.39B
Liquidity
Debt to equity
1.2
Current ratio
1.52
Quick ratio
1.07
Net debt/EBITDA
2.11
Margins
EBITDA margin
15%
Gross margin
43.6%
Net margin
7.8%
Operating margin
10.5%
Efficiency
Return on assets
6%
Return on equity
21.4%
Return on invested capital
13.2%
Return on capital employed
11.2%
Return on sales
11.2%
Dividend
Dividend yield
1.42%
DPS
$2.1
Payout ratio
46%

PPG stock price

How has the Ppg Industries stock price performed over time
Intraday
-2.44%
1 week
-0.18%
1 month
2.72%
1 year
13.23%
YTD
2.65%
QTD
2.65%

Financial performance

How have Ppg Industries's revenue and profit performed over time
Revenue
$13.75B
Gross profit
$6B
Operating income
$1.45B
Net income
$1.08B
Gross margin
43.6%
Net margin
7.8%
Ppg Industries's net income has decreased by 11% YoY but it has increased by 7% from the previous quarter
The operating income has declined by 10% year-on-year but it has grown by 6% since the previous quarter
The revenue has declined by 9% year-on-year
The net margin rose by 8% since the previous quarter but it has declined by 2.5% year-on-year

Growth

What is Ppg Industries's growth rate over time

Valuation

What is Ppg Industries stock price valuation
P/E
32.39
P/B
6.58
P/S
2.54
EV/EBIT
25.56
EV/EBITDA
19.12
EV/Sales
2.86
The P/E is 42% more than the 5-year quarterly average of 22.8 and 38% more than the last 4 quarters average of 23.5
PPG's EPS is down by 11% year-on-year but it is up by 8% since the previous quarter
PPG's P/B is 27% above its last 4 quarters average of 5.2 and 24% above its 5-year quarterly average of 5.3
The equity rose by 10% QoQ
The price to sales (P/S) is 41% more than the 5-year quarterly average of 1.8 and 41% more than the last 4 quarters average of 1.8
The revenue has declined by 9% year-on-year

Efficiency

How efficient is Ppg Industries business performance
Ppg Industries's ROA has decreased by 14% YoY but it has increased by 7% from the previous quarter
PPG's ROIC is down by 13% year-on-year but it is up by 6% since the previous quarter
PPG's return on equity is down by 12% year-on-year but it is up by 7% since the previous quarter
PPG's return on sales is up by 8% since the previous quarter

Dividends

What is PPG's dividend history
DPS
$2.1
Dividend yield
1.42%
Payout ratio
46%
Recent dividends

Financial health

How did Ppg Industries financials performed over time
The total assets is 42% more than the total liabilities
The quick ratio has grown by 13% since the previous quarter and by 8% year-on-year
The current ratio has grown by 13% from the previous quarter and by 2% YoY
The debt is 20% greater than the equity

All financial data is based on trailing twelve months (TTM) periods - updated quarterly, unless otherwise specified.