PPG Industries Financial Ratios for Analysis 2009-2024 | PPG

Fifteen years of historical annual and quarterly financial ratios and margins for PPG Industries (PPG).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
1.471.521.421.411.411.361.661.551.431.321.741.731.811.951.67
0.420.490.510.470.460.480.420.440.440.400.390.440.510.510.44
0.751.021.030.990.941.060.730.900.850.760.660.931.071.060.85
41.1137.1438.7843.7842.8741.4544.3446.2945.3343.5641.7240.1040.2038.8138.40
12.549.7010.3311.6111.6911.6814.0613.7812.8012.2610.188.639.9810.185.80
12.549.7010.3311.6111.6911.6814.0613.7812.8012.2610.188.639.9810.185.80
15.6012.8413.6715.2915.0614.9117.1816.8615.9315.3113.3511.7813.2113.689.72
9.587.8210.809.8510.9711.0113.605.4612.259.108.596.539.299.655.04
6.965.818.567.668.218.7210.816.129.8714.2122.657.428.335.732.75
0.840.850.790.710.860.960.890.900.830.840.900.800.910.900.86
5.054.884.744.485.065.054.755.064.694.574.564.504.895.224.87
5.565.345.335.075.505.405.085.385.265.255.214.514.654.834.66
65.5968.3068.4771.9266.4267.5471.8567.8869.4369.4770.0180.9478.5375.5478.37
16.3215.7422.4818.4223.4928.3224.5111.5026.2821.0618.7215.7327.9222.9610.86
-217.80-59.23-55.00-65.38-105.93-102.29-441.27-88.28-171.21-117.11114143-283.78-571.43-153.24
6.055.096.755.487.178.378.403.587.806.326.134.286.695.882.99
9.517.9911.109.7512.7614.7314.186.4914.6512.6111.358.8413.7011.176.09
34.1128.5427.1824.5722.9320.0622.5819.1018.9919.3618.7514.0711.3411.9511.84
10.164.066.528.958.735.986.085.056.935.476.175.764.513.954.06
8.002.375.177.687.004.304.693.635.353.454.474.703.573.103.47

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.491.551.471.481.491.681.521.521.501.471.421.341.361.431.411.521.351.361.411.491.431.401.361.711.701.761.661.651.611.561.551.441.621.471.431.531.531.481.321.821.821.951.741.861.882.071.731.731.571.521.811.831.851.891.951.791.751.731.671.611.571.45
0.420.420.420.410.440.490.490.510.520.520.510.490.500.470.470.470.480.500.460.480.480.480.480.500.500.490.420.400.410.420.440.420.450.450.440.450.450.440.400.320.320.360.390.380.390.400.440.450.450.460.510.480.460.500.510.430.450.450.440.450.500.50
0.810.770.750.780.891.011.021.111.131.131.031.061.121.040.991.011.281.280.941.031.061.051.060.991.020.950.730.780.810.840.900.860.940.810.850.880.860.900.760.540.540.560.660.620.640.670.930.970.981.041.070.950.871.021.060.760.850.830.850.951.251.28
42.9743.2841.8240.7441.1740.7337.3236.8637.0337.3735.7537.4939.6942.4943.0445.0243.5243.5042.5143.0043.1442.8039.9740.9742.4142.3242.4244.2845.2445.4445.8345.9647.4445.8249.5644.9944.3243.6145.1243.3543.5142.4942.0642.7441.7240.0933.6441.8141.4441.6137.9038.8739.3639.8038.2739.0839.9737.8137.9338.3339.0738.27
15.3912.8010.2112.8114.2412.678.7510.5410.648.735.449.8112.6613.5813.3416.265.709.8911.5213.499.6712.2010.2912.5011.7412.1411.3314.4916.3014.068.4715.3316.9213.7412.3515.1411.5912.1210.5813.3713.4711.179.409.9411.809.333.0212.5912.904.148.7312.1112.8211.019.0011.5612.297.616.428.968.67-1.76
15.3912.8010.2112.8114.2412.678.7510.5410.648.735.449.8112.6613.5813.3416.265.709.8911.5213.499.6712.2010.2912.5011.7412.1411.3314.4916.3014.068.4715.3316.9213.7412.3515.1411.5912.1210.5813.3713.4711.179.409.9411.809.333.0212.5912.904.148.7312.1112.8211.019.0011.5612.297.616.428.968.67-1.76
--------------------------------------------------------------
14.4612.484.4111.9913.268.067.629.3612.071.816.7310.0913.6012.869.1815.524.189.4510.8412.579.0211.569.3811.8211.6011.1310.2413.8517.3212.793.62-11.6416.6612.8711.2214.8711.0211.74-1.5612.6812.8410.239.036.5410.877.751.9411.8012.07-1.418.0812.0012.549.938.6111.1611.916.596.428.538.12-3.99
11.019.282.079.1710.066.035.697.369.400.426.837.879.899.747.2411.993.387.207.959.596.768.617.089.908.988.834.1016.1513.049.6710.35-5.039.789.7911.4011.628.228.792.659.439.4634.717.265.998.7877.549.399.9510.260.396.148.088.536.456.077.577.870.964.564.934.69-3.99
0.220.200.200.220.220.200.200.210.220.200.200.200.200.190.190.200.170.190.210.210.220.210.230.230.250.220.220.210.220.220.210.220.220.200.160.210.230.210.180.230.240.210.220.230.240.200.150.220.240.220.240.260.260.230.230.250.260.230.220.220.210.20
1.191.051.191.241.141.001.151.171.191.111.241.221.181.171.231.211.001.031.231.171.181.061.231.151.221.111.231.171.181.101.181.181.101.030.841.111.231.100.941.171.171.081.111.151.221.100.951.121.161.061.361.351.331.211.331.291.351.221.251.201.141.02
1.251.201.331.291.281.221.271.261.231.181.331.291.251.281.381.301.131.201.331.261.211.131.281.191.201.131.271.201.191.141.241.241.221.141.021.221.251.241.111.331.281.211.281.211.201.100.861.071.071.031.241.251.191.131.221.171.241.111.191.131.091.03
72.1874.7667.8470.0070.5973.8771.0371.3373.2576.4467.7069.6272.2270.3665.3069.4479.7974.7367.5571.2374.5279.4070.2575.8574.9079.5770.9675.2075.5078.9272.7372.8473.9678.8888.5373.9872.1372.7780.7467.8870.2074.6570.3574.4574.7081.7810584.2484.4487.3872.4272.2175.5379.6373.9976.9472.3880.8775.9179.6282.2687.74
6.765.031.285.496.383.763.675.527.120.364.345.386.756.454.788.261.965.135.616.955.346.335.477.337.536.112.706.648.756.361.67-4.026.356.554.798.106.516.320.846.176.314.654.713.786.113.911.347.508.93-0.466.948.768.686.485.957.128.271.564.164.955.02-3.03
-145.92-99.03-17.14-65.86-49.95-20.19-13.80-16.20-19.68-0.92-10.61-13.08-15.21-25.93-16.97-48.43-7.55-18.73-25.29-35.00-22.97-28.48-19.77-43.01-40.63-43.66-48.571,330-220.18-65.37-12.8131.55-142.56-51.73-31.23-62.74-54.72-49.39-4.6518.8419.5715.7728.7919.0432.7314.9912.1886.11-911.114.64-70.501,006272-253.92-148.05365-240.80-24.48-58.63-35.58-21.839.80
2.471.870.482.032.241.241.191.622.080.111.301.581.941.911.422.450.531.371.712.061.541.821.622.232.231.900.932.272.962.080.52-1.252.001.991.422.401.941.880.252.242.311.651.541.242.021.280.371.992.21-0.111.662.352.441.711.522.072.250.431.141.271.16-0.67
3.922.910.753.223.581.901.862.693.430.172.142.763.383.412.534.371.022.593.053.632.763.292.853.683.743.131.563.955.163.690.94-2.323.503.632.674.463.613.550.504.184.302.992.862.343.742.350.754.144.94-0.253.404.564.713.242.894.074.520.862.332.712.53-1.52
34.0534.6534.1133.6533.0930.8128.5426.1426.7726.8127.1827.0027.0125.1824.5722.9620.9320.5022.9322.6521.9521.2220.0621.1720.5922.4522.5823.6222.3620.6319.1019.4020.4019.7218.9919.3019.4118.9719.3622.6122.9322.0218.7519.3018.5517.6714.0713.4712.0311.5411.3412.6513.6112.6311.9512.5811.0211.3911.8411.1810.219.13
1.29-0.2510.166.372.620.364.061.59-0.57-1.286.524.612.42-0.108.954.891.36-0.678.735.332.02-0.285.982.740.53-0.916.084.001.720.035.052.910.000.296.933.610.68-1.565.473.711.430.586.174.421.70-0.305.763.341.40-0.014.612.450.79-0.483.972.111.10-0.164.062.290.32-0.89
-0.29-1.338.004.871.60-0.152.370.52-1.20-2.095.173.691.83-0.437.684.180.97-0.827.004.391.46-0.474.301.810.05-1.214.693.201.20-0.213.632.02-0.560.035.352.650.09-1.823.452.630.600.214.473.561.19-0.514.702.811.07-0.103.651.810.42-0.603.121.710.85-0.273.471.900.06-1.04