PPG Industries Inc
NYSE:PPG
Balance Sheet
Balance Sheet Decomposition
PPG Industries Inc
PPG Industries Inc
Balance Sheet
PPG Industries Inc
| Dec-2002 | Dec-2003 | Dec-2004 | Dec-2005 | Dec-2006 | Dec-2007 | Dec-2008 | Dec-2009 | Dec-2010 | Dec-2011 | Dec-2012 | Dec-2013 | Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | Dec-2024 | Dec-2025 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | |||||||||||||||||||||||||
| Cash & Cash Equivalents |
117
|
499
|
659
|
466
|
443
|
526
|
1 021
|
1 057
|
1 341
|
1 457
|
1 306
|
1 116
|
686
|
1 311
|
1 820
|
1 436
|
902
|
1 216
|
1 826
|
1 005
|
1 099
|
1 514
|
1 270
|
2 163
|
|
| Cash Equivalents |
117
|
499
|
659
|
466
|
443
|
526
|
1 021
|
1 057
|
1 341
|
1 457
|
1 306
|
1 116
|
686
|
1 311
|
1 820
|
1 436
|
902
|
1 216
|
1 826
|
1 005
|
1 099
|
1 514
|
1 270
|
2 163
|
|
| Short-Term Investments |
0
|
0
|
50
|
0
|
0
|
0
|
0
|
7
|
637
|
25
|
1 087
|
629
|
497
|
144
|
43
|
55
|
61
|
57
|
96
|
67
|
55
|
75
|
88
|
56
|
|
| Total Receivables |
1 486
|
1 631
|
1 797
|
1 871
|
2 016
|
2 759
|
2 804
|
2 628
|
2 778
|
2 830
|
2 813
|
2 736
|
2 815
|
2 709
|
2 654
|
2 903
|
2 845
|
2 756
|
2 726
|
3 152
|
3 303
|
3 279
|
2 985
|
3 336
|
|
| Accounts Receivables |
1 339
|
1 479
|
1 636
|
1 689
|
1 833
|
2 522
|
2 537
|
2 283
|
2 447
|
2 512
|
2 568
|
2 449
|
2 366
|
2 709
|
2 654
|
2 903
|
2 845
|
2 756
|
2 726
|
3 152
|
3 303
|
3 279
|
2 985
|
3 336
|
|
| Other Receivables |
147
|
152
|
161
|
182
|
183
|
237
|
267
|
345
|
331
|
318
|
245
|
287
|
449
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Inventory |
942
|
997
|
1 076
|
1 119
|
1 203
|
1 532
|
1 702
|
1 548
|
1 573
|
1 607
|
1 687
|
1 824
|
1 825
|
1 659
|
1 514
|
1 730
|
1 783
|
1 710
|
1 735
|
2 171
|
2 272
|
2 127
|
1 846
|
1 996
|
|
| Other Current Assets |
400
|
410
|
472
|
563
|
1 193
|
2 124
|
821
|
741
|
729
|
775
|
822
|
909
|
1 027
|
889
|
543
|
353
|
370
|
431
|
415
|
379
|
444
|
436
|
368
|
408
|
|
| Total Current Assets |
2 945
|
3 537
|
4 054
|
4 019
|
4 855
|
6 941
|
6 348
|
5 981
|
7 058
|
6 694
|
7 715
|
7 214
|
6 850
|
6 712
|
6 574
|
6 477
|
5 961
|
6 170
|
6 798
|
6 774
|
7 173
|
7 431
|
6 557
|
7 959
|
|
| PP&E Net |
2 632
|
2 566
|
2 471
|
2 304
|
2 307
|
2 578
|
2 798
|
2 754
|
2 686
|
2 721
|
2 888
|
2 876
|
3 092
|
2 822
|
2 608
|
2 824
|
2 805
|
3 765
|
3 974
|
4 333
|
4 157
|
4 476
|
4 061
|
4 609
|
|
| PP&E Gross |
2 632
|
2 566
|
2 471
|
2 304
|
2 307
|
2 578
|
2 798
|
2 754
|
2 686
|
2 721
|
2 888
|
2 876
|
3 092
|
2 822
|
2 608
|
2 824
|
2 805
|
3 765
|
3 974
|
4 333
|
4 157
|
4 476
|
4 061
|
4 609
|
|
| Accumulated Depreciation |
4 638
|
5 054
|
5 384
|
5 498
|
5 084
|
6 116
|
5 245
|
5 559
|
5 729
|
5 893
|
6 142
|
4 805
|
4 378
|
3 927
|
3 398
|
3 770
|
3 828
|
4 082
|
4 349
|
4 532
|
4 649
|
4 963
|
4 217
|
4 724
|
|
| Intangible Assets |
514
|
495
|
497
|
488
|
582
|
614
|
1 472
|
1 416
|
1 268
|
1 125
|
1 085
|
1 339
|
2 411
|
2 178
|
1 983
|
2 045
|
1 972
|
2 131
|
2 351
|
2 783
|
2 414
|
2 424
|
1 922
|
1 971
|
|
| Goodwill |
1 047
|
1 157
|
1 216
|
1 166
|
1 337
|
1 507
|
2 641
|
2 784
|
2 719
|
2 660
|
2 761
|
3 008
|
3 801
|
3 669
|
3 572
|
3 942
|
4 070
|
4 470
|
5 102
|
6 248
|
6 078
|
6 200
|
5 690
|
6 149
|
|
| Long-Term Investments |
262
|
265
|
298
|
311
|
343
|
370
|
509
|
499
|
550
|
387
|
262
|
245
|
738
|
367
|
179
|
403
|
383
|
387
|
387
|
400
|
378
|
400
|
472
|
483
|
|
| Other Long-Term Assets |
463
|
404
|
396
|
393
|
643
|
619
|
930
|
806
|
694
|
795
|
1 167
|
1 181
|
691
|
1 328
|
853
|
847
|
824
|
785
|
944
|
813
|
544
|
716
|
731
|
927
|
|
| Other Assets |
1 047
|
1 157
|
1 216
|
1 166
|
1 337
|
1 507
|
2 641
|
2 784
|
2 719
|
2 660
|
2 761
|
3 008
|
3 801
|
3 669
|
3 572
|
3 942
|
4 070
|
4 470
|
5 102
|
6 248
|
6 078
|
6 200
|
5 690
|
6 149
|
|
| Total Assets |
7 863
N/A
|
8 424
+7%
|
8 932
+6%
|
8 681
-3%
|
10 067
+16%
|
12 629
+25%
|
14 698
+16%
|
14 240
-3%
|
14 975
+5%
|
14 382
-4%
|
15 878
+10%
|
15 863
0%
|
17 583
+11%
|
17 076
-3%
|
15 769
-8%
|
16 538
+5%
|
16 015
-3%
|
17 708
+11%
|
19 556
+10%
|
21 351
+9%
|
20 744
-3%
|
21 647
+4%
|
19 433
-10%
|
22 098
+14%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
1 105
|
1 190
|
1 315
|
1 467
|
1 634
|
1 845
|
1 402
|
1 384
|
1 626
|
1 612
|
1 620
|
1 790
|
1 919
|
3 419
|
3 460
|
2 321
|
2 177
|
2 098
|
2 259
|
2 734
|
2 538
|
2 612
|
2 161
|
2 212
|
|
| Accrued Liabilities |
232
|
264
|
300
|
273
|
303
|
326
|
378
|
355
|
405
|
414
|
459
|
506
|
497
|
0
|
0
|
441
|
424
|
625
|
685
|
726
|
684
|
868
|
616
|
687
|
|
| Short-Term Debt |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
4
|
10
|
403
|
6
|
10
|
4
|
7
|
4
|
|
| Current Portion of Long-Term Debt |
352
|
327
|
166
|
101
|
140
|
1 819
|
903
|
272
|
28
|
108
|
642
|
34
|
481
|
281
|
629
|
12
|
647
|
503
|
175
|
3
|
303
|
302
|
932
|
702
|
|
| Other Current Liabilities |
231
|
358
|
440
|
508
|
739
|
642
|
1 527
|
1 566
|
1 566
|
1 568
|
1 740
|
1 805
|
1 979
|
995
|
164
|
1 120
|
1 121
|
1 139
|
1 309
|
1 297
|
1 186
|
1 268
|
1 298
|
1 295
|
|
| Total Current Liabilities |
1 920
|
2 139
|
2 221
|
2 349
|
2 816
|
4 632
|
4 210
|
3 577
|
3 625
|
3 702
|
4 461
|
4 135
|
4 876
|
4 695
|
4 253
|
3 894
|
4 373
|
4 375
|
4 831
|
4 766
|
4 721
|
5 054
|
5 014
|
4 900
|
|
| Long-Term Debt |
1 699
|
1 339
|
1 184
|
1 169
|
1 155
|
1 201
|
3 009
|
3 074
|
4 043
|
3 574
|
3 368
|
3 372
|
3 544
|
4 026
|
3 787
|
4 134
|
4 365
|
4 539
|
5 171
|
6 572
|
6 503
|
5 748
|
4 876
|
6 602
|
|
| Deferred Income Tax |
64
|
88
|
145
|
90
|
136
|
164
|
425
|
328
|
293
|
272
|
231
|
249
|
702
|
460
|
417
|
442
|
429
|
452
|
435
|
646
|
501
|
508
|
405
|
457
|
|
| Minority Interest |
131
|
137
|
96
|
108
|
121
|
161
|
156
|
169
|
195
|
197
|
259
|
266
|
85
|
86
|
87
|
115
|
102
|
119
|
126
|
125
|
117
|
191
|
177
|
156
|
|
| Other Liabilities |
1 899
|
1 810
|
1 714
|
1 912
|
2 559
|
2 320
|
3 565
|
3 339
|
3 181
|
3 388
|
3 496
|
2 909
|
3 196
|
2 826
|
2 399
|
2 395
|
2 116
|
2 939
|
3 304
|
2 956
|
2 310
|
2 314
|
2 176
|
2 042
|
|
| Total Liabilities |
5 713
N/A
|
5 513
-4%
|
5 360
-3%
|
5 628
+5%
|
6 787
+21%
|
8 478
+25%
|
11 365
+34%
|
10 487
-8%
|
11 337
+8%
|
11 133
-2%
|
11 815
+6%
|
10 931
-7%
|
12 403
+13%
|
12 093
-2%
|
10 943
-10%
|
10 980
+0%
|
11 385
+4%
|
12 424
+9%
|
13 867
+12%
|
15 065
+9%
|
14 152
-6%
|
13 815
-2%
|
12 648
-8%
|
14 157
+12%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
484
|
484
|
484
|
484
|
484
|
484
|
484
|
484
|
484
|
484
|
484
|
484
|
484
|
969
|
969
|
969
|
969
|
969
|
969
|
969
|
969
|
969
|
969
|
969
|
|
| Retained Earnings |
6 197
|
6 399
|
6 776
|
7 057
|
7 453
|
7 963
|
8 156
|
8 139
|
8 548
|
9 288
|
9 871
|
12 757
|
14 498
|
15 521
|
15 984
|
17 141
|
18 131
|
18 906
|
19 469
|
20 372
|
20 828
|
21 500
|
21 994
|
22 942
|
|
| Additional Paid In Capital |
126
|
158
|
249
|
352
|
408
|
553
|
580
|
609
|
725
|
783
|
870
|
953
|
1 028
|
635
|
701
|
756
|
788
|
950
|
1 008
|
1 081
|
1 130
|
1 202
|
1 272
|
1 325
|
|
| Unrealized Security Profit/Loss |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
75
|
65
|
4
|
9
|
0
|
3
|
2
|
1
|
1
|
0
|
0
|
0
|
0
|
0
|
|
| Treasury Stock |
3 471
|
3 428
|
3 455
|
3 984
|
4 101
|
4 267
|
4 259
|
4 218
|
4 708
|
5 506
|
5 496
|
8 002
|
8 714
|
9 440
|
10 472
|
11 251
|
12 958
|
13 191
|
13 158
|
13 386
|
13 525
|
13 600
|
14 342
|
15 119
|
|
| Other Equity |
1 186
|
702
|
482
|
856
|
964
|
582
|
1 628
|
1 261
|
1 411
|
1 800
|
1 591
|
1 195
|
2 120
|
2 711
|
2 356
|
2 060
|
2 302
|
2 351
|
2 600
|
2 750
|
2 810
|
2 239
|
3 108
|
2 176
|
|
| Total Equity |
2 150
N/A
|
2 911
+35%
|
3 572
+23%
|
3 053
-15%
|
3 280
+7%
|
4 151
+27%
|
3 333
-20%
|
3 753
+13%
|
3 638
-3%
|
3 249
-11%
|
4 063
+25%
|
4 932
+21%
|
5 180
+5%
|
4 983
-4%
|
4 826
-3%
|
5 558
+15%
|
4 630
-17%
|
5 284
+14%
|
5 689
+8%
|
6 286
+10%
|
6 592
+5%
|
7 832
+19%
|
6 785
-13%
|
7 941
+17%
|
|
| Total Liabilities & Equity |
7 863
N/A
|
8 424
+7%
|
8 932
+6%
|
8 681
-3%
|
10 067
+16%
|
12 629
+25%
|
14 698
+16%
|
14 240
-3%
|
14 975
+5%
|
14 382
-4%
|
15 878
+10%
|
15 863
0%
|
17 583
+11%
|
17 076
-3%
|
15 769
-8%
|
16 538
+5%
|
16 015
-3%
|
17 708
+11%
|
19 556
+10%
|
21 351
+9%
|
20 744
-3%
|
21 647
+4%
|
19 433
-10%
|
22 098
+14%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
339
|
342
|
344
|
331
|
328
|
328
|
328
|
331
|
321
|
304
|
307
|
277
|
272
|
267
|
257
|
251
|
236
|
236
|
237
|
236
|
235
|
235
|
230
|
223
|
|