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PPG · Ppg Industries Inc

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$112.46 -1.47 (-1.29%)
Market Cap
$25.39B
Shares
222.90M

Price & Indicators

20d MA 50d MA 200d MA Earnings Filing Insider Congress Investor day
Close$113.92 Open$114.17 Day$112.96–115.34 52W close$94.34–131.56 Avg vol 30d1.7M Short int6.2M · 2.8% float · 2.8d Short vol73% Last earningsJul 29, 2026 DataJan 2020–Aug 2026 Filing10-Q · Jul 29

Up next

Next earnings call
Oct 28, 2026 Est · unconfirmed · in 10 wks
FQ3-26 quarter ends
~Sep 30, 2026 Est
filed Jul 29, 2026

AI Brief

TL;DR.

Bullish
    Bearish

      AI-generated from the earnings call and 8-K · may contain errors · not investment advice

      Ask ALVIS about this →

      Equibles Rating

      blended score · not investment advice
      Overall
      Neutral
      SellHoldBuy
      Technical Neutral Momentum Weak Sentiment Bullish Fundamentals Excellent Quant / Vol Moderate
      Market backdrop VIX 14.9 · calm Equity put/call 0.52
      Technical
      price trend
      Neutral
      50 / 200-day cross No cross
      Price vs 200-day avg +3%
      above
      Price vs 50-day avg −3%
      below
      RSI (14) 47
      neutral
      MACD trend Negative
      52-week position 53%
      mid-range
      Momentum
      relative strength
      Weak
      1-month return −3%
      trailing
      6-month return −8%
      trailing
      YTD return +11%
      this year
      Relative strength −19%
      vs S&P · 6-mo
      Sentiment
      smart money
      Bullish
      Trend (MA cross) No cross
      50d $117 › 200d $110 — 50d above 200d
      Institutional flow Accumulating
      +4% holders QoQ · +132 funds added
      Insider flow Accumulating
      Net +$1.2K over 90 days · 0% sells
      Short interest Falling
      2.76% of float · ▼ -2.6% MoM · 2.8 days cover
      Volume signal Normal
      Volume near normal
      Institution breadth Steady
      1,093 holders — mid 3-yr range
      Squeeze score 49
      elevated · 0–100
      Fundamentals
      Excellent
      Revenue growth +12%
      Y/Y
      EPS growth +46%
      Y/Y
      Free cash flow $1.2B
      Valuation P/E 16.3
      below peers
      Buyback $2.5B
      authorized
      Balance sheet $5.1B
      net debt
      Quant / Vol
      risk profile
      Moderate
      Volatility 30%
      annualized · 1-yr
      Max drawdown −26%
      past year
      ATR 2.7%
      of price · 14-day

      Blended from price, momentum, positioning, fundamentals & volatility · daily-close · not investment advice. Market backdrop is context, not part of the score.

      Guidance & track record

      Latest guidance · from the Earnings Call filed Jun 30, 2026
      Aggregate organic sales growth · the third quarter at least 0%
      Prior guidance period ended · from the Earnings Call filed Mar 31, 2024
      Adjusted Q2 EPS · second quarter $2.42 – $2.52

      Guidance from company 8-Ks · delivered figures from as-reported statements · no analyst estimates involved.

      Technicals

      trend & momentum for long-term holders Neutral
      1 · 4 · 1
      50 / 200-day cross
      No cross Neutral
      Price vs 200-day avg
      +3% Bullish
      Price vs 50-day avg
      −3% Neutral
      RSI (14)
      47 Neutral
      MACD trend
      Negative Bearish
      52-week position
      53% Neutral
      Market signals — smart money & positioning
      Bullish · 3 of 6
      Trend (MA cross) No cross
      50d $117 › 200d $110 — 50d above 200d
      Institutional flow Accumulating
      +4% holders QoQ · +132 funds added
      Insider flow Accumulating
      Net +$1.2K over 90 days · 0% sells
      Short interest Falling
      2.76% of float · ▼ -2.6% MoM · 2.8 days cover
      Volume signal Normal
      Volume near normal
      Institution breadth Steady
      1,093 holders — mid 3-yr range
      Price context
      position in its 52-week range
      Range low $94 Now $114 · 53% Range high $132
      vs 200-day avg +3% vs 50-day avg -3%

      Illustrative technical + ownership context — a signal mix, not investment advice.

      Key metrics

      the company's own KPIs, from written earnings releases and filings
      Metric Latest Period YoY
      Adjusted EBITDA non-GAAP $780M Second Quarter 2026
      GAAP → non-GAAP reconciliation
      GAAP EBITDA $726M
      +$13M Business restructuring-related costs, net
      +$5M Portfolio optimization
      +$25M Legacy environmental remediation charges
      +$11M Legal settlement
      = Adjusted EBITDA $780M
      Adjusted EBITDA margin non-GAAP 17.4% Second Quarter 2026
      Adjusted EPS non-GAAP $2.23 Q2 2026
      Cash and short-term investments $1.6B Q2 2026
      EBITDA non-GAAP $726M Second Quarter 2026
      GAAP → non-GAAP reconciliation
      GAAP Reported net income from continuing operations $439M
      +$29M Interest expense, net of interest income
      +$127M Income tax expense
      +$3M Net income attributable to noncontrolling interests
      +$102M Depreciation
      +$26M Amortization
      = EBITDA $726M
      Net debt $5.3B Q2 2026
      Operating Working Capital $3.28B June 30, 2026
      Operating Working Capital as a percent of quarter sales, annualized 18.2% June 30, 2026
      Segment EBITDA margin 19% 1Q 2026
      Segment margin 16% 1Q 2026
      Aerospace coatings order backlog $315M fourth quarter 2025
      Operating cash flow $1.9B full-year 2025
      Restructuring savings benefits $75M full-year 2025
      Share repurchases and dividends $1.4B full-year 2025

      Figures exactly as the company stated them in writing · click a metric with a to chart its history · period links open the stating document · "filing" marks figures stated in the 10-K/10-Q · YoY needs an exactly comparable prior-year period

      Versus peers

      Specialty Chemicals — same industry group
      Open screener →
      Company Mkt cap YTD Rev growth Y/Y P/E Short % shares
      PPG
      Ppg Industries Inc
      this stock
      $25.39B +11.2% +11.8% 16.3 2.8%
      LIN
      Linde PLC
      $221.79B +12.8% +3.0% 31.0 1.2%
      AIQUF
      L Air Liquide SA /Fi
      $122.12B +4.3% 0.0%
      SHW
      Sherwin Williams Co
      $83.98B +9.1% +2.1% 31.9 2.6%
      ECL
      Ecolab Inc.
      $79.62B +8.8% +2.2% 38.1 1.1%

      Peers by industry group · P/E from as-reported trailing EPS · short % is of shares outstanding

      At a glance

      key data from every section
      Ownership
      Institutional Holders Reducing
      Holders
      1,093
      % held
      90.8%
      Net QoQ
      -1.0M sh
      Top holder
      BlackRock, Inc.
      Held Float
      View
      Held by Funds
      Fund positions
      815
      View
      Short & Settlement
      Short Interest Falling
      Shares short
      6.2M
      Days to cover
      2.8d
      Change
      -165.3K sh
      View
      Short Volume
      Short vol %
      73%
      As of
      Aug 19, 2026
      Short Total
      View
      Fails to Deliver
      FTD shares
      1
      Value
      $119
      As of
      Jul 17, 2026
      View
      Off-Exchange
      Off-exchange %
      41.7%
      Week of
      Jul 13, 2026
      Off-exch Lit
      View
      Smart Money
      Insider Trades Net buying
      Net (90d)
      +$1.2K
      Buyers / Sellers
      1 / 0
      Buyers Sellers
      View
      Congressional Trades Buy
      Member
      Lloyd Doggett
      Amount
      $1.0K–$15.0K
      Traded
      Jun 12, 2026
      View
      Financials
      Financials
      Revenue (FY)
      $15.9B
      Net income (FY)
      $1.6B
      EPS diluted
      $6.94
      View
      Buybacks
      Authorized
      $2.5B
      View
      Filings
      SEC Filings
      Latest
      10-Q
      Filed
      Jul 29, 2026
      This year
      16
      View
      Proposed Sales
      Value
      $447.8K
      Shares
      3.6K
      Filed
      Feb 20, 2026
      View
      Earnings & Events
      Earnings Calls
      Last call
      Aug 12, 2026
      View
      Investor Relations
      Latest news
      PPG appoints leaders of global bu…
      Published
      Aug 19, 2026
      View

      Performance

      5D 20D 120D MTD YTD
      PPG -0.6% -3.0% -7.7% +3.1% +11.2%
      SPY -0.4% +2.9% +11.6% +3.0% +12.8%
      vs SPY -0.2% -5.9% -19.3% +0.1% -1.6%

      Capital returns

      Latest dividend
      $0.74 / share · ex Aug 10, 2026
      Raised 4.2%
      Paid (TTM)
      $2.87 / share · 4 payouts
      Dividend yield (TTM, derived)
      2.52%
      Buyback program · as of Apr 1, 2024
      Authorized
      $2.50B
      Spent (derived)
      Remaining

      Dividends per share over the trailing 365 days by ex-date · buyback figures as last reported in SEC filings ("spent" derived as authorized − remaining; when several programs run concurrently, authorized is their combined total per the newest filing) · components shown separately — trailing-year buyback spend isn't tracked, so no combined shareholder yield is derived.

      Key facts CIK 79879 CUSIP 693506107 13F (30d) 963 filings 922 filers Visit website Investor relations