- Stocks
- Basic Materials
- NYSE: PPG

Price (delayed)

$120.47

Market cap

$28.45B

P/E Ratio

26.48

Dividend/share

$2.36

EPS

$4.55

Enterprise value

$35.52B

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

The revenue is up by 20% year-on-year and by 2.5% since the previous quarter

The equity rose by 6% YoY

The quick ratio has declined by 6% year-on-year but it has grown by 2.2% since the previous quarter

Ppg Industries's net income has decreased by 25% from the previous quarter and by 10% YoY

PPG's EPS is down by 25% since the previous quarter and by 10% year-on-year

What are the main financial stats of PPG

Market
Valuations
Earnings

Shares outstanding

236.19M

Market cap

$28.45B

Enterprise value

$35.52B

Price to earnings (P/E)

26.48

Price to book (P/B)

4.57

Price to sales (P/S)

1.65

EV/EBIT

23.45

EV/EBITDA

16.98

EV/Sales

2.06

Revenue

$17.23B

EBIT

$1.52B

EBITDA

$2.09B

Free cash flow

$843M

Per share
Balance sheet
Liquidity

EPS

$4.55

Free cash flow per share

$3.57

Book value per share

$26.35

Revenue per share

$73

TBVPS

$55.36

Total assets

$21.89B

Total liabilities

$15.56B

Debt

$8.03B

Equity

$6.22B

Working capital

$2.46B

Debt to equity

1.29

Current ratio

1.47

Quick ratio

0.91

Net debt/EBITDA

3.38

Margins
Efficiency
Dividend

EBITDA margin

12.1%

Gross margin

37.6%

Net margin

6.3%

Operating margin

7.6%

Return on assets

4.9%

Return on equity

17.3%

Return on invested capital

10.6%

Return on capital employed

9.1%

Return on sales

8.8%

Dividend yield

1.96%

DPS

$2.36

Payout ratio

51.9%

How has the Ppg Industries stock price performed over time

Intraday

-1.54%

1 week

-5.25%

1 month

-6.08%

1 year

-32.74%

YTD

-30.14%

QTD

-8.09%

How have Ppg Industries's revenue and profit performed over time

Revenue

$17.23B

Gross profit

$6.48B

Operating income

$1.3B

Net income

$1.08B

Gross margin

37.6%

Net margin

6.3%

The operating margin has declined by 32% year-on-year and by 26% since the previous quarter

The net margin has declined by 27% since the previous quarter and by 24% year-on-year

The operating income has declined by 25% since the previous quarter and by 18% year-on-year

Ppg Industries's net income has decreased by 25% from the previous quarter and by 10% YoY

What is Ppg Industries's growth rate over time

What is Ppg Industries stock price valuation

P/E

26.48

P/B

4.57

P/S

1.65

EV/EBIT

23.45

EV/EBITDA

16.98

EV/Sales

2.06

PPG's EPS is down by 25% since the previous quarter and by 10% year-on-year

The P/E is 13% more than the 5-year quarterly average of 23.5

PPG's P/B is 21% below its last 4 quarters average of 5.8 and 15% below its 5-year quarterly average of 5.4

The equity rose by 6% YoY

The price to sales (P/S) is 25% less than the last 4 quarters average of 2.2 and 18% less than the 5-year quarterly average of 2.0

The revenue is up by 20% year-on-year and by 2.5% since the previous quarter

How efficient is Ppg Industries business performance

Ppg Industries's ROA has decreased by 27% from the previous quarter and by 22% YoY

PPG's return on equity is down by 26% since the previous quarter and by 21% year-on-year

PPG's return on sales is down by 24% year-on-year and by 23% since the previous quarter

PPG's ROIC is down by 24% since the previous quarter and by 23% year-on-year

What is PPG's dividend history

DPS

$2.36

Dividend yield

1.96%

Payout ratio

51.9%

Recent dividends

How did Ppg Industries financials performed over time

The total assets is 41% more than the total liabilities

The total liabilities has increased by 10% year-on-year and by 4.1% since the previous quarter

The total assets has grown by 9% YoY and by 2.5% from the previous quarter

The debt is 29% greater than the equity

The debt rose by 13% year-on-year and by 8% since the previous quarter

Ppg Industries's debt to equity has increased by 8% QoQ and by 7% YoY

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