PPG Industries, Inc.
PPG Industries, Inc.
PPG
Valuace
18
Růst
0
Zdraví
70
Cena
$ 95.09
Dnes
+0.15 (0.14%)
Souhrn
Výkazy
Ukazatele
Profil
Držitelé
Návštěvnost webu
Konkurence
Zprávy společnosti
Kapitalizace
21.3B
Obrat
16B
Zisk
2B
Aktiva
22B
Dluh
8B
ROE
0%
ROA
0%
PE
19
PS
2
Cena 1R
90-125
⌀ Cena
106.56
Dividenda
0.0(0.0%)
Čtvrtletní 10-Q
10-Q
Celoroční 10-K
8-K
Nadcházející oznámení zisků
16-04-2026
Poslední dividenda
20-02-2026

Profil

PPG Industries, Inc. vyrábí a distribuuje barvy, nátěry a speciální materiály po celém světě. Segment Performance Coatings společnosti nabízí nátěry, rozpouštědla, lepidla, těsnicí materiály, slunečnice a software pro automobilovou a komerční dopravu/opravy a renovaci vozového parku, lehké průmyslové nátěry a speciální nátěry pro značky; a nátěry, těsnicí materiály, průhledné pancéřování, lepidla, inženýrské materiály a balicí a chemické služby pro komerční, vojenská, regionální proudová a všeobecná letecká letadla. Zajišťuje také nátěry a povrchové úpravy pro ochranu kovů a konstrukcí, jako jsou kovoobráběcí stroje, dodavatelé údržby těžkých nákladů a výrobci lodí, mostů a železničních vozů; barvy, skvrny na dřevě, lepidla a zakoupené slunečnice pro smluvní dodavatele malby a údržby a zákazníci pro dekoraci a údržbu bytových a obchodních stavebních konstrukcí; a barvy, termoplasty, výrobky pro značení chodníků a další technologie pro značení chodníků. Segment průmyslových nátěrů společnosti nabízí nátěry, lepidla a těsnicí materiály a předúpravy kovů, jakož i služby a aplikace nátěrů pro spotřebiče, zemědělská a stavební zařízení, spotřební elektroniku, automobilové díly a příslušenství, stavební výrobky, kuchyňské a dopravní prostředky a jiné hotové výrobky; a služby nátěrů na místě. Poskytuje také nátěry pro plechovky, uzávěry, plastové trubky a propagační a speciální obaly; amorfní vysrážený oxid křemičitý pro pneumatiky, separátor baterií a další koncové použití; substráty TESLIN pro štítky, e-pasy, řidičské průkazy, prodyšné membrány a věrnostní a identifikační karty; a organické diodové materiály vyzařující světlo, displeje a materiály pro osvětlovací čočky, optické čočky, produkty pro změnu barvy a fotochromická barviva. Společnost byla založena v roce 1883 a sídlí v Pittsburghu v Pensylvánii.
Sektor
Basic Materials
Odvětví
Chemicals - Specialty
Počet zaměstnanců
46000
Založení
1980-03-17
Adresa
One PPG Place
CEO
Timothy M. Knavish

Zahraniční články

Výsledovka

Rozvaha

Peněžní toky

Výsledovka

Výsledovka
Rozvaha
Peněžní toky
V miliardách (USD)
Revenue TTM 2025202420232022202120202019201820172016201520142013201220112010
Total Revenues15.8815.8815.8518.2517.6516.8013.8315.1515.3714.7514.7515.3315.3615.1115.2014.8913.42
Cost of Revenues9.459.849.2510.7011.1010.297.788.659.008.208.068.598.798.649.079.088.21
Gross Profit6.436.036.597.556.566.526.066.496.376.556.696.746.576.476.135.805.21
Revenue 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Total Revenues3.914.084.203.682.174.584.244.314.354.64
Cost of Revenues2.452.432.432.141.412.662.452.452.532.75
Gross Profit1.461.661.761.540.761.911.791.871.821.89
Operating Income TTM 2025202420232022202120202019201820172016201520142013201220112010
R&D Expenses0.000.000.000.430.450.440.380.430.440.450.470.490.490.490.460.430.39
Selling General & Admin Expenses0.000.000.004.453.843.833.393.603.573.635.054.174.254.193.793.663.37
Depreciation & Amortization0.530.530.490.600.550.560.510.510.500.460.460.500.480.480.470.470.47
Total Operating Expenses4.413.864.314.764.844.834.284.554.514.545.594.664.734.664.264.133.73
Operating Income2.022.172.292.781.831.991.771.971.872.011.152.121.891.861.931.671.35
Operating Income TTM 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
R&D Expenses0.000.000.000.000.000.000.000.000.110.11
Selling General & Admin Expenses0.000.000.000.000.000.000.000.001.111.05
Depreciation & Amortization0.130.140.140.120.090.150.120.140.180.15
Total Operating Expenses1.011.221.111.060.371.301.091.311.381.30
Operating Income0.450.440.650.480.380.620.700.550.180.58
Net Income TTM 2025202420232022202120202019201820172016201520142013201220112010
Interest Income0.150.150.180.140.050.030.020.030.020.020.030.040.050.040.040.040.03
Interest Expense0.240.240.240.250.170.120.140.130.120.110.130.130.190.200.210.210.19
Other Expense0.03-0.12-0.44-1.04-0.45-0.17-0.41-0.31-0.070.09-0.17-0.110.03-0.17-0.300.090.10
IBT2.052.051.851.751.381.821.361.661.692.010.831.881.421.491.401.601.30
Income Tax Expense0.460.460.480.440.330.370.290.390.350.580.240.460.260.330.340.390.42
Net Income1.581.581.121.271.031.441.061.241.341.630.881.412.103.230.941.100.77
Net Income TTM 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Interest Income0.020.040.040.040.040.050.050.040.040.04
Interest Expense0.060.070.060.060.060.070.060.060.060.06
Other Expense-0.060.12-0.050.02-0.37-0.01-0.04-0.01-0.21-0.04
IBT0.390.560.600.500.010.610.650.540.190.56
Income Tax Expense0.080.120.140.120.050.140.150.130.090.12
Net Income0.300.450.450.37-0.280.470.530.400.090.43
Per Share Data TTM 2025202420232022202120202019201820172016201520142013201220112010
EPS$0.00$0.00$0.00$5.38$4.32$6.06$4.47$5.25$5.50$6.22$3.30$5.18$7.60$11.27$3.07$3.48$2.34
EPS Diluted$0.00$0.00$0.00$5.35$4.29$6.01$4.45$5.22$5.46$6.18$3.28$5.14$7.52$11.14$3.03$3.44$2.32
Shares Outstanding0.220.230.230.240.240.240.240.240.240.260.270.270.280.290.310.310.33
Diluted Shares Outstanding0.230.230.230.240.240.240.240.240.250.260.270.270.280.290.310.320.33
Per Share Data TTM 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
EPS$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.38$1.80
EPS Diluted$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.38$1.79
Shares Outstanding0.220.230.230.230.230.230.230.240.240.24
Diluted Shares Outstanding0.230.230.230.230.230.230.240.240.240.24
Current Assets TTM 202420232022202120202019201820172016201520142013201220112010
Cash And Equivalents1.131.271.511.101.011.831.220.901.441.821.310.691.121.391.461.34
Short Term Investments0.060.090.080.060.070.100.060.060.060.040.140.500.631.000.030.64
Total Cash & ST Investments1.191.361.591.151.071.921.270.961.491.861.461.181.752.391.481.98
Accounts Receivable3.852.993.283.303.152.732.762.852.902.692.792.822.742.812.832.78
Inventory2.301.852.132.272.171.741.711.781.731.551.711.831.821.691.611.57
Other Current Assets0.450.370.444.904.575.060.434.184.744.884.855.035.396.020.780.73
Total Current Assets7.786.567.437.176.746.806.175.966.476.426.556.867.217.706.697.06
Current Assets 3-20252-20251-20254-20243-20242-20241-20244-20233-20232-2023
Cash And Equivalents1.831.561.831.271.251.131.181.511.221.23
Short Term Investments0.080.060.060.090.070.060.050.080.060.07
Total Cash & ST Investments1.911.631.891.361.321.191.241.591.281.30
Accounts Receivable3.723.893.432.993.653.853.583.283.613.82
Inventory2.182.222.121.852.262.302.332.132.222.51
Other Current Assets0.420.450.460.370.680.450.520.440.440.45
Total Current Assets8.228.197.906.567.917.787.677.437.558.07
Long-Term Assets TTM 202420232022202120202019201820172016201520142013201220112010
Net Property, Plant & Equipment4.454.064.484.164.333.973.772.812.822.763.023.092.882.892.722.69
Goodwill6.055.696.206.086.255.104.474.073.943.573.673.803.012.762.662.72
Intangible Assets2.271.922.422.412.782.352.131.972.051.982.182.411.341.091.131.27
Long-Term Investments0.300.330.260.240.270.270.260.250.270.180.370.440.390.420.390.55
Other Long-Term Assets0.570.570.580.580.740.69-10.840.730.680.670.620.480.540.580.320.69
Total Long-Term Assets13.9512.8814.2213.5714.5812.7611.5410.0510.069.3210.5210.738.658.167.697.92
Total Assets21.7319.4321.6520.7421.3519.5614.3216.0213.7112.9817.0813.6715.8612.1514.387.25
Long-Term Assets 3-20252-20251-20254-20243-20242-20241-20244-20233-20232-2023
Net Property, Plant & Equipment0.004.324.164.064.424.454.444.484.234.25
Goodwill6.126.115.825.696.086.056.146.206.186.29
Intangible Assets1.982.031.931.922.202.272.402.422.422.49
Long-Term Investments0.340.340.320.330.300.300.280.260.260.26
Other Long-Term Assets5.480.590.600.570.580.570.600.580.630.00
Total Long-Term Assets13.9213.9113.2412.8813.9513.9514.2014.2213.9513.55
Total Assets22.1422.1021.1419.4321.8621.7321.8721.6521.5021.61
Current Liabilities TTM 202420232022202120202019201820172016201520142013201220112010
Accounts Payable4.333.042.612.923.102.582.382.462.582.182.172.182.021.831.611.63
Short-Term Debt0.831.070.690.500.200.760.680.650.010.630.280.480.030.640.110.03
Other Current Liabilities0.060.781.621.310.371.040.200.750.110.731.081.300.801.330.590.58
Current Liabilities5.235.015.054.724.754.824.384.363.904.284.614.864.144.463.703.63
Current Liabilities 3-20252-20251-20254-20243-20242-20241-20244-20233-20232-2023
Accounts Payable3.954.060.003.040.000.000.003.574.214.31
Short-Term Debt1.551.551.821.070.540.830.500.690.981.19
Other Current Liabilities0.120.154.020.784.464.394.440.66-0.09-0.08
Current Liabilities5.615.765.845.015.005.234.945.055.105.42
Long-Term Liabilities TTM 202420232022202120202019201820172016201520142013201220112010
Long-Term Debt5.765.336.377.147.275.854.544.374.133.794.043.543.373.373.574.04
Capital Leases0.610.580.820.180.190.180.170.000.000.000.000.000.000.000.000.00
Def. Tax Liability0.510.410.510.500.650.440.450.430.440.420.460.700.250.230.270.29
Total Liabilities13.7812.4713.6214.0414.9413.748.9111.288.048.078.658.417.517.8310.947.67
Long-Term Liabilities 3-20252-20251-20254-20243-20242-20241-20244-20233-20232-2023
Long-Term Debt6.366.396.045.336.736.376.546.376.226.73
Capital Leases0.140.140.600.580.790.610.610.630.810.19
Def. Tax Liability0.510.500.460.410.500.510.550.510.570.58
Total Liabilities14.1914.3614.0512.4713.8913.7813.7413.6213.575.42
Total Common Equity TTM 202420232022202120202019201820172016201520142013201220112010
Common Stock0.970.970.970.970.970.970.970.970.970.970.970.480.480.480.480.48
Retained Earnings22.1221.9921.5020.8320.3719.4718.9118.1317.1415.9815.5214.5012.769.879.298.55
Comprehensive Income-2.66-3.11-2.24-2.81-2.75-2.60-2.35-2.30-2.06-2.36-2.70-2.12-1.26-1.67-1.80-1.41
Total Common Equity7.776.797.836.596.295.695.284.635.564.834.985.184.934.063.25-0.61
Total Common Equity 3-20252-20251-20254-20243-20242-20241-20244-20233-20232-2023
Common Stock0.970.970.970.970.970.970.970.970.970.97
Retained Earnings22.8022.5122.2121.9922.4322.1221.7521.5021.5621.29
Comprehensive Income-2.26-2.34-2.83-3.11-2.78-2.66-2.25-2.24-2.47-2.30
Total Common Equity7.807.586.936.797.797.777.947.837.757.61
Other TTM 202420232022202120202019201820172016201520142013201220112010
Total Debt7.206.406.877.640.190.185.225.024.154.424.334.033.414.013.684.07
Book Value7.956.968.026.716.415.825.404.735.674.918.435.278.364.323.45-0.42
Other 3-20252-20251-20254-20243-20242-20241-20244-20233-20232-2023
Total Debt0.160.170.170.180.180.180.190.190.180.18
Book Value7.807.586.936.797.797.777.947.837.757.61
Cash Flow From Operating Activities TTM 2025202420232022202120202019201820172016201520142013201220112010
Net Income1.451.571.381.271.061.441.071.271.341.390.591.431.161.161.061.210.88
Depreciation & Amortization0.620.550.490.600.550.560.510.510.500.460.460.500.480.480.470.470.47
Stock-Based Compensation0.050.000.040.060.040.060.040.040.040.040.040.060.070.080.000.000.00
Change Working Capital0.02-0.12-0.600.31-0.56-0.190.340.06-0.41-0.34-0.14-0.09-0.160.01-0.12-0.220.01
Change In Accounts Receivable-0.07-0.19-0.180.01-0.27-0.100.13-0.01-0.07-0.08-0.06-0.15-0.120.040.090.000.00
Change In Accounts Payable0.020.07-0.260.13-0.010.300.13-0.06-0.070.140.16-0.010.15-0.05-0.010.000.00
Change In Inventories0.16-0.04-0.030.20-0.23-0.280.110.15-0.11-0.120.060.05-0.100.040.03-0.07-0.03
Other Non-cash Items0.62-0.030.210.350.03-0.340.210.20-0.05-0.020.23-0.210.070.100.38-0.02-0.05
Cash from Operations2.100.000.002.410.961.562.132.081.471.571.331.841.531.791.791.441.31
Cash Flow From Operating Activities 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Net Income0.300.440.460.38-0.040.500.500.410.090.44
Depreciation & Amortization0.140.140.140.120.090.150.120.140.180.14
Stock-Based Compensation0.000.000.010.020.010.010.010.010.020.01
Change Working Capital0.440.14-0.31-0.500.040.10-0.26-0.550.580.31
Change In Accounts Receivable0.380.17-0.35-0.400.260.11-0.28-0.340.370.20
Change In Accounts Payable-0.12-0.120.100.20-0.23-0.010.04-0.010.06-0.08
Change In Inventories0.190.03-0.03-0.230.140.000.02-0.230.130.25
Other Non-cash Items0.00-0.020.10-0.020.280.03-0.02-0.020.080.02
Cash from Operations0.000.000.000.000.000.000.000.000.900.89
Cash Flow From Investing Activities TTM 2025202420232022202120202019201820172016201520142013201220112010
Capital Expenditure-0.68-0.78-0.72-0.55-0.52-0.37-0.30-0.41-0.41-0.36-0.40-0.48-0.59-0.52-0.41-0.39-0.31
Acquisitions0.010.040.29-0.07-0.11-2.14-1.17-0.64-0.380.270.75-0.27-0.49-0.04-0.12-0.06-0.03
Investments0.140.000.000.000.000.00-0.01-0.01-0.03-0.04-0.04-0.13-1.25-1.27-1.36-0.13-0.62
Sales of Investment0.010.000.000.000.000.000.020.030.020.040.120.461.381.830.250.750.03
Other Investing Activities-0.110.000.000.070.170.100.010.030.030.020.010.030.080.000.030.18-0.01
Cash from Investing-0.640.000.00-0.56-0.46-2.40-1.45-1.01-0.76-0.070.44-0.40-0.860.00-1.610.35-0.95
Cash Flow From Investing Activities 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Capital Expenditure-0.30-0.15-0.12-0.21-0.20-0.16-0.12-0.26-0.17-0.14
Acquisitions0.040.000.000.000.320.00-0.020.000.040.00
Investments0.000.000.000.000.000.000.000.000.000.14
Sales of Investment0.000.000.000.000.000.110.000.000.000.01
Other Investing Activities0.000.000.000.000.000.000.000.00-0.02-0.12
Cash from Investing0.000.000.000.000.000.000.000.00-0.16-0.11
Cash Flow From Financing Activities TTM 2025202420232022202120202019201820172016201520142013201220112010
Debt Repaid-1.240.000.00-0.85-0.74-1.46-2.42-0.66-0.01-0.59-0.38-0.34-1.80-0.61-0.20-0.40-0.26
Debt Issued8.266.40-0.480.098.181.47-2.620.870.880.320.470.642.420.000.530.014.33
Issuance of Common Stock0.000.000.000.000.000.050.050.060.020.050.030.050.060.070.120.080.15
Repurchase of Common Stock-0.40-0.79-0.75-0.09-0.19-0.212.86-0.33-1.72-0.81-1.05-0.75-0.75-1.00-0.09-0.86-0.59
Dividends Paid-0.610.000.00-0.60-0.57-0.54-0.50-0.47-0.45-0.43-0.41-0.38-0.36-0.35-0.36-0.36-0.45
Other Financing Activities-0.130.000.00-0.021.092.25-0.060.630.96-0.170.630.671.89-0.100.18-0.101.05
Cash from Financing-1.470.000.00-1.55-0.410.09-0.06-0.76-1.21-1.95-1.18-0.75-0.97-1.98-0.35-1.63-0.10
Cash Flow From Financing Activities 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Debt Repaid0.000.000.000.000.000.000.000.00-0.28-0.60
Debt Issued7.91-0.030.091.47-0.870.070.160.170.147.43
Issuance of Common Stock0.000.000.000.000.000.000.000.000.000.00
Repurchase of Common Stock-0.10-0.15-0.15-0.39-0.24-0.20-0.16-0.15-0.090.00
Dividends Paid0.000.000.000.000.000.000.000.00-0.15-0.15
Other Financing Activities0.000.000.000.000.000.000.000.00-0.020.02
Cash from Financing0.000.000.000.000.000.000.000.00-0.55-0.74
Cash position TTM 2025202420232022202120202019201820172016201520142013201220112010
Net Change in Cash-0.100.89-0.220.420.09-0.820.610.31-0.53-0.380.510.63-0.43-0.19-0.150.120.28
Closing Cash Balance1.132.161.271.511.101.011.831.220.901.441.821.310.691.121.311.461.34
Cash position 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Net Change in Cash0.330.27-0.270.560.020.12-0.05-0.330.30-0.01
Closing Cash Balance2.161.831.561.831.271.251.131.181.511.22
Free Cash Flow TTM 2025202420232022202120202019201820172016201520142013201220112010
Free Cash Flow1.411.160.701.860.451.191.831.671.061.210.921.360.941.281.381.051.00
Real Free Cash Flow1.371.160.661.800.411.131.781.631.021.170.881.310.871.201.381.051.00
Free Cash Flow 4-20253-20252-20251-20254-20243-20242-20241-20244-20233-2023
Free Cash Flow0.590.540.27-0.230.150.610.25-0.320.730.75
Real Free Cash Flow0.590.540.25-0.250.140.600.24-0.330.710.75
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P/FCF54.828.31273.1
Market cap$21.3$27.2
P/E (Price to Earnings Ratio) – Poměr ceny akcie k zisku za posledních 12 měsíců. Říká, kolik korun investor zaplatí za 1 korunu zisku. Např.: P/E = 15 znamená, že pokud akcie stojí 15 Kč, firma vydělala 1 Kč za poslední rok.

Finance

Ukazatel Aktuální Historické Srovnání
Debt to Assets0 %25 %0 %
Debt to Income502.2 %372.2 %0 %
Debt to Free cash flow702.2 %137.8 %0 %
Interest expense percentage11.9 %9.4 %106.2 %
Current ratio1.5 1.6 0

Efektivita

Ukazatel Aktuální Historické Srovnání
ROE20.2 %25.2 %0 %
ROA7.1 %8 %0 %
CapEx to Revenue3 %2.8 %10 %
RaD to Revenue0 %2.8 %0 %
ROEM345,108.7 2452334.1

Marže

Ukazatel Aktuální Historické Srovnání
Gross margin40.5 %41.5 %49.8 %
Operating margin12.7 %11.9 %30.7 %
Net margin9.9 %9 %19.8 %

Dividenda

Ukazatel Aktuální Historické Srovnání
Dividend yield0 %1.7 %0 %
Dividend payout percentage0 %36.2 %0 %
Dividend yield (Dividendový výnos) ukazuje aktuální procentuální výnos z dividend vůči ceně akcie.

Ostatní

Ukazatel Aktuální Historické
Shares outstanding225.2 mil 262.9 mil
Employee count46.0 tis 35.1 tis

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Vyzkoušejte placený obsah na akciích: Apple Inc. nebo CEZ, a. s.

Placený obsah

Pro přístup na tuto stránku budete potřebovat placené členství.

Vyzkoušejte placený obsah na akciích: Apple Inc. nebo CEZ, a. s.

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