PPG Industries, Inc.

NYSE:PPG

120.21 (USD) • At close December 20, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) USD.

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,5141,0991,0051,8261,2169021,4361,8201,3116861,1161,3931,4571,3411,0571,02152645546670949911710811115812812969.6105.662.1111.961.437.659.364.6103.482.166.324.3
Kortetermijnbeleggingen 75556796576155431444976291,00025637401,7060466500000000000000000000
Liquide middelen en kortetermijnbeleggingen 1,5891,1541,0721,9221,2739631,4911,8631,4551,1831,7452,3931,4821,9781,0571,0212,23245546670949911710811115812812969.6105.662.1111.961.437.659.364.6103.482.166.324.3
Nettovorderingen 3,2793,3033,1522,7262,7562,8452,9032,6542,7092,8152,7362,8132,8302,7782,6282,8042,3982,1681,8711,797001,4161,5631,5941,3661,3531,2261,2451,228.9996.71,023.41,057.91,069.31,107.91,0101,037.3896764.6
Voorraad 2,1272,2722,1711,7351,7101,7831,7301,5461,7051,8251,8241,6861,6071,5731,5481,7021,3681,3901,1191,0769979429041,1211,016917863796.5737.5686.4683.3742.3875.3945.1753.7683.1650.7601.6527.6
Overige vlottende activa 4364443794154313703535438896209098227757297448211,1385795634722,0411,886275298294249239203.8187.4190.8234123.7202.5143.2130.1102.565.55253.6
Totaal vlottende activa 7,4317,1736,7406,7986,1705,9616,4656,4226,5546,8557,2147,7026,6947,0585,9816,3487,1364,5924,0194,0543,5372,9452,7033,0933,0622,6602,5842,296.42,275.52,168.22,025.91,950.82,173.32,216.92,056.31,8991,835.61,615.91,370.1
Niet-vlottende activa:
Materiële vaste activa, netto 4,4764,1574,3333,9743,7652,8052,8242,7593,0173,0922,8762,8882,7212,6862,7542,7982,4262,4962,3042,4712,5662,6322,7522,9412,9332,9052,8552,913.52,834.82,742.32,787.32,971.53,183.23,255.13,006.82,757.72,6852,660.62,478.5
Goodwill 6,2006,0786,2485,1024,4704,0703,9423,5723,6693,8013,0082,7612,6602,7192,7842,6411,4761,3961,1661,2161,1571,04700000000000000000
Immateriële activa 2,4242,4142,7832,3512,1311,9722,0451,9832,1782,4111,3391,0851,1251,2681,4161,4726125861,6541,7131,6521,5611,5421,6481,6625760000000000000
Goodwill en immateriële activa 8,6248,4929,0317,4536,6016,0425,9875,5555,8476,2124,3473,8463,7853,9874,2004,1132,0881,9821,6541,7131,6521,5611,5421,6481,6625760000000000000
Langetermijnbeleggingen 25924427426725825126817936744339342238755049950937034331129826526200000000000000000
Belastingvorderingen 273951973792202293051546725054914304730051541839434530625421900000000000000000
Overige niet-vlottende activa 584583742685-10,84472767767061948154257732269480641519121448901502441,4551,4431,2571,2461,4291,231.51,084983.4838.3739.4699.7636.2582.3497.4467.3364.9235.2
Totaal niet-vlottende activa 14,21613,57114,57712,75811,53810,05410,0619,31710,52210,7338,6498,1637,6887,9178,2598,3505,4935,4294,6624,8784,8874,9185,7496,0325,8524,7274,2844,1453,918.83,725.73,625.63,710.93,882.93,891.33,589.13,255.13,152.33,025.52,713.7
Totaal activa 21,64720,74421,35119,55614,31716,01513,70912,98417,07613,67015,86312,14714,3827,25314,24014,69812,62910,0218,6818,9328,4247,8638,4529,1258,9147,3876,8686,441.46,194.35,893.95,651.55,661.76,056.26,108.25,645.45,154.14,987.94,641.44,083.8
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,6122,5383,7352,2592,9102,0652,2211,8131,7801,8581,7102,4282,4231,6261,3841,4021,1821,1359279101,5041,3781,259764755630646602583517.8921.2447915.11,015.7851.40000
Kortlopende schulden 6946793939388536511262928148134642108282729031,8191401011663273526961,161954637444648485370.7355.1434.4410.4431.8441.1426.4509.5345.8238.7
Belastingschulden 128373646461121009310662807151563362490000000000000000000000
Uitgestelde opbrengsten 3001,0684401,1185031,1957501,0708951,2896581,3891,3931,2641,41401,0090000000634564503.6520.1516.6000000000
Overige kortlopende verplichtingen 1,6201,4676021,5885661,5451,5621,7182,5282,4602,3111,3201,1201,9151,8881,8431,6111,5121,3211,1453081900618675645572518.9561.45364.7371.6152345.2838.1765.3629.9584.9
Totaal kortlopende verplichtingen 5,0544,7214,7454,8164,3754,3643,9024,2844,6064,8614,1354,4573,7023,6253,5774,2104,6612,7872,3492,2212,1391,9201,9552,5432,3841,9121,6621,768.91,629.41,424.51,2811,2531,340.51,470.51,337.71,264.51,274.8975.7823.6
Langlopende verplichtingen:
Langetermijnschulden 6,3707,1327,2655,8485,1534,3744,1343,7874,0263,5443,3723,3683,5744,0433,0743,0091,2011,1551,1691,1841,3391,6991,7091,8101,8361,0811,257834736773.4774872.31,163.21,186.21,177.5876.9903.31,008.4983.3
Uitgestelde opbrengsten niet-vlottend 001,5061,678-1,3631,274-4,576-4,204-4,502-4,246-3,621-3,5992,275-1,5041,9542,32200000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 508501646435452429442417460702249231272293328425164136901458864552543520440406419.1354.9302.7268.6471.6475.6460.9416.9399.4370.4367.70
Overige niet-vlottende verplichtingen 1,6921,6812,2632,6272,3252,1072,3952,3992,8263,1492,9093,4963,3883,1813,3393,5652,3192,5611,9121,7141,8101,8991,0341,004970987952860.7836.6766802.9305.6346.9374.7367369.9395.9311.8571.6
Totaal niet-vlottende verplichtingen 8,5709,31410,1748,9104,5396,9104,1343,7874,0423,5443,3723,3687,2344,0436,7417,1553,6843,8523,1713,0433,2373,6623,2953,3573,3262,5082,6152,113.71,927.51,842.11,845.51,649.51,985.72,021.81,961.41,646.21,669.61,687.91,554.9
Totaal passiva 13,62414,03514,94013,7418,91411,2838,0368,0718,6488,4057,5077,82510,9367,66810,31811,3658,3456,6395,5205,2645,3765,5825,2505,9005,7104,4204,2773,882.63,556.93,266.63,126.52,902.53,326.23,492.33,299.12,910.72,944.42,663.62,378.5
Eigen vermogen:
Preferente aandelen 00000000000000000713700000000000000000000
Gewone aandelen 969969969969969969969969969484484484484484484484484484484484484484484484484484484484.3484.3484.3000000000
Ingehouden winsten 21,50020,82820,37219,46918,90618,13117,14115,98415,52114,49812,7579,8719,2888,5488,1398,1567,9637,4537,0576,7766,3996,1976,5516,4446,0985,7915,2394,759.84,2493,717.13,436.83,631.83,501.13,397.73,088.82,781.22,459.52,213.92,009.3
Overige gereserveerde algehele resultaten -2,239-2,810-2,750-2,599-2,350-2,300-2,057-2,356-2,702-2,116-1,260-1,666-1,800-1,411-1,261-1,628-582-1,010-856-482-702-1,186-568-425-312-302-323-190.9-185.8-223.3000000000
Overige totale aandeelhoudersvermogen -12,398-12,395-12,305-12,150-12,241-12,170-10,495-9,765-8,805-7,686-7,049-4,626-4,723-3,983-3,609-3,679-3,714-3,693-3,632-3,206-3,270-3,345-3,387-3,406-3,164-3,093-2,891-2,570-1,978-1,421.1-963.7-932.9-846.6-851.2-806.5-537.8-416-236.1-304
Totaal eigen vermogen van aandeelhouders 7,8326,5926,2865,6895,2844,6305,5584,8264,9835,1804,9324,0633,249-6103,7533,3334,1513,2343,0533,5722,9112,1503,0803,0973,1062,8802,5092,482.62,569.22,5572,473.12,698.92,654.52,546.52,282.32,243.42,043.51,977.81,705.3
Totaal eigen vermogen 8,0236,7096,4115,8155,4034,7325,6734,9135,0695,2655,1984,3223,446-4153,9223,4894,2843,3823,1613,6683,0482,2813,2023,2253,2042,9672,5912,558.82,637.42,627.32,5252,759.22,7302,615.92,346.32,243.42,043.51,977.81,705.3
Totaal passiva en aandeelhoudersvermogen 21,64720,74421,35119,55614,31716,01513,70912,98413,71713,67012,70512,14714,3827,25314,24014,69812,62910,0218,6818,9328,4247,8638,4529,1258,9147,3876,8686,441.46,194.35,893.95,651.55,661.76,056.26,108.25,645.45,154.14,987.94,641.44,083.8