$132.25
+ $1.30 (0.99%)
End-of-day quote: 05/02/2024
NYSE:PPG

PPG Industries Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$18.25B $17.65B $16.80B $13.83B $15.15B $15.37B $14.75B $14.27B $14.24B $14.79B $14.27B $12.69B $13.15B $13.42B $12.24B $15.85B $12.22B $10.94B $9.03B $9.51B
GM % Gross Margin %
41.36% 37.38% 39.03% 44.03% 43.09% 41.45% 44.34% 46.29% 45.33% 43.56% 41.72% 40.10% 40.20% 38.81% 38.40% 36.52% 35.94% 36.40% 38.00% 36.94%
OM Operating Margin
12.33% 9.76% 10.84% 11.96% 12.03% 11.00% 13.47% 13.90% 13.00% 10.48% 10.87% 9.59% 9.53% 9.75% 6.88% 8.69% 10.89% 12.00% 13.11% 11.65%
EPS Earnings Per Share
$0.00 $7.67 $6.05 $6.77 $5.70 $6.22 $5.92 $5.87 $5.91 $5.69 $4.88 $4.14 $3.97 $3.40 $2.59 $1.47 $2.30 $2.52 $2.57 $2.27 $2.01
Div. Dividends
$2.54 $2.42 $2.26 $2.10 $1.98 $1.86 $1.70 $1.56 $1.41 $1.31 $1.21 $1.17 $1.13 $1.09 $1.07 $1.05 $1.02 $0.96 $0.93 $0.90
PR % Payout Ratio %
33.12% 40.00% 33.38% 36.84% 31.83% 31.42% 28.96% 26.40% 24.78% 26.84% 29.23% 29.47% 33.24% 42.08% 72.79% 45.65% 40.48% 37.35% 40.97% 44.78%
Sha. Shares
235.21m 235.07m 235.91m 236.69m 235.68m 235.86m 251.17m 257.33m 266.88m 271.96m 277.29m 307.13m 303.78m 320.76m 331.34m 328.4m 327.6m 328.16m 330.55m 344m
OCF Operating Cash Flow
$2.41B $963.00M $1.56B $2.13B $2.08B $1.47B $1.57B $1.35B $1.90B $1.53B $1.79B $1.79B $1.44B $1.31B $1.35B $1.44B $1.06B $1.12B $1.07B $1.02B
FCF Free Cash Flow
$1.86B $445.00M $1.19B $1.83B $1.69B $1.09B $1.21B $923.00M $1.33B $941.00M $1.28B $1.38B $1.05B $1.00B $1.11B $1.05B $699.00M $746.00M $810.00M $774.00M
FCFS Free Cash Flow Per Share
$7.89 $1.88 $5.01 $7.71 $7.04 $4.33 $4.72 $3.66 $5.40 $3.49 $4.52 $4.75 $3.53 $3.05 $3.36 $3.20 $2.12 $2.25 $2.39 $2.25