Ppg industries inc (PPG)
Balance Sheet / TTM
Mar'20Dec'19Sep'19Jun'19Mar'19Dec'18Sep'18Jun'18Mar'18Dec'17Sep'17Jun'17Mar'17Dec'16Sep'16Jun'16Mar'16Dec'15Sep'15Jun'15Mar'15Dec'14Sep'14Jun'14Mar'14Dec'13Sep'13Jun'13Mar'13Dec'12Sep'12Jun'12Mar'12Dec'11Sep'11Jun'11Mar'11Dec'10Sep'10Jun'10Mar'10Dec'09Sep'09Jun'09Dec'08
Assets
Current assets:
Cash and cash equivalents

1,886

1,216

1,432

963

784

902

1,103

1,020

1,346

1,436

2,287

1,569

1,349

1,820

929

1,605

909

1,311

1,015

707

735

686

2,468

1,986

2,559

1,116

1,562

1,243

2,021

1,306

1,392

1,017

978

1,457

1,301

982

796

1,341

930

784

689

1,057

898

1,052

1,021

Short-term investments

50

57

58

53

55

61

57

63

58

55

41

48

40

43

46

64

121

144

399

475

435

497

570

927

480

629

687

538

359

1,087

619

230

56

25

37

263

587

637

-

-

-

7

-

-

-

Receivables, net

2,804

2,756

3,028

3,332

3,197

2,845

3,217

3,438

3,343

2,903

3,155

3,191

3,013

2,654

2,962

3,108

3,106

2,709

3,062

3,286

2,961

2,815

2,968

3,184

3,016

2,736

3,122

3,223

2,824

2,813

3,190

3,310

3,236

2,830

3,088

3,345

3,126

2,778

2,958

2,781

2,809

2,628

2,853

2,847

2,804

Inventories

1,859

1,710

1,860

1,945

1,965

1,783

1,962

1,956

1,963

1,730

1,805

1,766

1,699

1,514

1,676

1,803

1,863

1,659

1,841

1,861

1,881

1,825

1,905

1,964

1,929

1,824

1,878

1,862

1,698

1,687

1,777

1,775

1,830

1,607

1,737

1,821

1,755

1,573

1,638

1,541

1,599

1,548

1,656

1,672

1,702

Assets held-for-sale

-

-

-

-

-

-

-

-

-

-

0

177

223

223

443

148

-

285

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Deferred income taxes

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

386

394

373

-

421

430

433

425

424

-

-

430

-

-

-

473

-

-

-

451

-

-

-

485

-

-

515

Other current assets

467

431

439

414

408

370

402

402

400

353

350

390

439

320

361

379

719

604

589

651

699

620

566

544

471

484

447

844

824

392

799

819

844

302

777

828

820

278

779

780

825

256

841

851

306

Total current assets

7,066

6,170

6,817

6,707

6,409

5,961

6,741

6,879

7,110

6,477

7,638

7,141

6,763

6,574

6,417

7,107

6,718

6,712

7,292

7,374

7,084

6,443

8,898

9,035

8,888

7,214

8,120

7,710

7,726

7,715

7,777

7,151

6,944

6,694

6,940

7,239

7,084

7,058

6,305

5,886

5,922

5,981

6,248

6,422

6,348

Property (See Note 4)

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

8,614

-

-

-

8,415

-

-

-

8,313

-

-

8,043

Less accumulated depreciation

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

5,893

-

-

-

5,729

-

-

-

5,559

-

-

5,245

Property, plant and equipment (net of accumulated depreciation of $4,065 and $4,082)

2,863

2,983

2,862

2,929

2,866

2,805

2,738

2,738

2,862

2,824

2,730

2,710

2,659

2,608

2,863

2,950

3,038

2,822

2,919

2,917

2,965

3,092

2,720

2,777

2,724

2,876

2,687

2,637

2,461

2,888

2,759

2,719

2,785

2,721

2,669

2,759

2,696

2,686

2,620

2,533

2,660

2,754

2,765

2,745

2,798

Goodwill

4,243

4,470

4,335

4,312

4,103

4,070

3,939

3,920

4,100

3,942

3,881

3,845

3,720

3,572

3,701

3,602

3,743

3,669

3,643

3,621

3,541

3,801

2,898

2,978

2,969

3,008

3,023

2,937

2,694

2,761

2,706

2,644

2,729

2,660

2,698

2,871

2,814

2,719

2,725

2,526

2,687

2,784

2,798

2,696

2,641

Identifiable intangible assets, net

1,918

2,131

2,083

2,081

2,020

1,972

2,004

1,986

2,132

2,045

2,099

2,118

2,080

1,983

2,073

2,073

2,170

2,178

2,224

2,260

2,277

2,411

1,274

1,304

1,326

1,339

1,371

1,374

1,033

1,085

1,066

1,067

1,132

1,125

1,174

1,280

1,283

1,268

1,297

1,238

1,343

1,416

1,456

1,446

1,472

Deferred income taxes

183

220

194

199

242

229

306

290

351

305

422

321

170

186

516

540

648

711

374

404

450

875

252

230

270

491

629

-

-

669

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Investments

245

258

254

251

261

251

266

258

270

268

261

256

175

179

328

322

370

367

453

459

449

443

449

381

380

393

404

402

418

422

424

419

426

387

400

405

554

550

536

525

503

499

506

499

509

Operating

784

782

742

731

726

0

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Other assets

762

694

777

745

744

727

724

723

719

677

585

582

587

669

592

654

628

617

669

561

602

470

596

595

560

542

404

1,006

1,044

338

874

817

818

795

662

713

672

694

637

658

641

806

796

757

930

Total

18,064

17,708

18,064

17,955

17,371

16,015

16,718

16,794

17,544

16,538

17,616

16,973

16,154

15,771

16,490

17,248

17,315

17,076

17,574

17,596

17,368

17,535

17,087

17,300

17,117

15,863

16,638

16,066

15,376

15,878

15,606

14,817

14,834

14,382

14,543

15,267

15,103

14,975

14,120

13,366

13,756

14,240

14,569

14,565

14,698

Liabilities and Shareholders’ Equity
Current liabilities:
Accounts payable and accrued liabilities

3,367

3,496

3,636

3,746

3,684

3,623

3,806

3,893

3,924

3,781

3,900

3,656

3,517

3,460

3,567

3,577

3,616

3,419

3,611

3,590

3,329

3,547

3,687

3,691

3,712

3,265

3,503

3,343

2,949

3,061

3,105

3,160

3,133

2,996

3,105

3,199

3,045

3,002

2,860

2,724

2,685

2,648

2,720

2,513

2,724

Asbestos settlement

-

-

-

-

-

-

-

-

-

-

-

-

-

-

0

0

831

796

765

840

813

821

773

792

769

763

732

703

680

683

654

642

610

593

575

603

594

578

563

545

544

534

534

514

491

Restructuring reserves

206

196

141

139

83

99

112

132

87

102

107

115

95

100

42

55

71

87

92

102

10

26

42

54

66

73

100

36

50

75

95

116

146

5

6

9

14

17

31

45

77

123

160

179

92

Short-term debt and current portion of long-term debt

1,456

513

639

654

653

651

15

22

19

12

616

619

604

629

652

686

38

281

302

293

621

481

394

425

19

34

27

24

48

642

636

647

669

108

102

111

96

28

69

59

112

272

455

896

903

Operating

166

170

162

167

168

0

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Liabilities held-for-sale

-

-

-

-

-

-

-

-

-

-

0

54

69

64

199

57

-

112

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Total current liabilities

5,195

4,375

4,578

4,706

4,588

4,373

3,933

4,047

4,030

3,895

4,623

4,444

4,285

4,253

4,460

4,375

4,556

4,695

4,770

4,825

4,773

4,875

4,896

4,962

4,566

4,135

4,362

4,106

3,727

4,461

4,490

4,565

4,558

3,702

3,788

3,922

3,749

3,625

3,523

3,373

3,418

3,577

3,869

4,102

4,210

Long-term debt

4,751

4,539

4,885

4,845

4,626

4,365

5,023

5,048

5,199

4,134

4,089

3,998

3,817

3,787

3,752

4,426

4,226

4,026

4,250

4,222

4,023

3,533

2,954

2,958

3,373

3,372

3,368

3,355

3,353

3,368

3,365

2,964

2,988

3,574

3,590

3,613

3,993

4,043

3,066

3,017

3,051

3,074

3,082

3,306

3,009

Operating

627

622

588

572

566

0

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Accrued pensions

737

745

627

637

646

645

626

674

694

729

759

748

712

740

1,001

615

682

695

664

676

663

995

721

734

718

728

909

914

880

1,057

992

997

961

968

672

707

675

819

770

904

914

944

993

1,086

1,250

Other postretirement benefits

656

661

616

621

623

629

685

688

698

699

767

755

720

724

811

1,016

1,017

1,015

1,114

1,122

1,118

1,132

1,004

1,013

1,006

1,007

1,120

1,116

1,097

1,287

1,226

1,216

1,312

1,307

1,156

1,162

1,159

1,151

1,050

1,045

1,016

1,010

1,095

1,088

1,072

Deferred income taxes

399

452

455

382

447

429

460

425

471

442

-

-

-

417

521

546

479

460

506

501

624

666

241

271

281

249

216

224

235

231

263

241

262

272

286

305

302

293

316

301

319

328

336

293

425

Asbestos settlement

-

-

-

-

-

-

-

-

-

-

-

-

-

-

0

0

255

252

248

245

263

259

255

252

249

245

242

239

240

237

234

231

244

241

237

234

246

243

240

236

241

238

234

231

244

Other liabilities

862

911

960

1,005

865

842

913

929

985

967

928

910

934

935

824

837

852

864

826

749

746

810

811

789

835

929

940

811

803

915

904

928

993

872

908

1,036

984

968

1,053

851

1,008

1,147

1,226

1,091

999

Total liabilities

13,227

12,305

12,709

12,768

12,361

11,283

11,640

11,811

12,077

10,866

11,611

11,245

10,868

10,856

11,369

11,815

12,067

12,007

12,378

12,340

12,210

12,270

10,882

10,979

11,028

10,665

11,157

10,765

10,335

11,556

11,474

11,142

11,318

10,936

10,637

10,979

11,108

11,142

10,018

9,727

9,967

10,318

10,835

11,197

11,209

Commitments and contingent liabilities (See Note 14)

-

-

-

-

-

-

-

-

-

-

-

-

-

0

-

-

-

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

-

0

-

-

-

-

-

0

-

Shareholders’ equity:
Common stock

969

969

969

969

969

969

969

969

969

969

969

969

969

969

969

969

969

969

969

969

484

484

484

484

484

484

484

484

484

484

484

484

484

484

484

484

484

484

484

484

484

484

484

484

484

Additional paid-in capital

954

950

925

913

899

788

772

769

761

756

745

723

711

707

683

668

648

635

624

612

1,073

1,028

1,001

983

989

953

936

907

888

870

851

815

797

783

771

759

742

725

679

597

580

609

562

522

580

Retained earnings

19,029

18,906

18,735

18,488

18,330

18,131

17,987

17,725

17,464

17,140

17,101

16,606

16,214

15,980

15,744

16,034

15,770

15,521

15,302

14,966

14,728

14,498

14,506

14,227

13,934

12,757

12,589

12,450

12,196

9,871

9,734

9,486

9,213

9,288

9,159

8,938

8,687

8,548

8,433

8,262

8,080

8,139

8,088

8,017

8,156

Treasury stock, at cost

13,187

13,191

13,054

13,061

13,070

12,958

12,551

12,304

11,843

11,251

10,855

10,616

10,626

10,472

9,824

9,576

9,583

9,440

9,192

9,044

8,898

8,714

8,423

8,281

8,185

8,002

7,329

7,160

7,173

5,496

5,504

5,531

5,548

5,506

5,288

5,044

4,960

4,708

4,442

4,290

4,199

4,218

4,165

4,235

4,259

Accumulated other comprehensive loss

-3,042

-2,350

-2,328

-2,230

-2,224

-2,300

-2,197

-2,275

-2,005

-2,057

-2,063

-2,059

-2,076

-2,356

-2,541

-2,749

-2,643

-2,702

-2,592

-2,332

-2,309

-2,116

-1,447

-1,181

-1,230

-1,260

-1,469

-1,639

-1,608

-1,666

-1,704

-1,793

-1,653

-1,800

-1,464

-1,083

-1,187

-1,411

-1,280

-1,603

-1,353

-1,261

-1,431

-1,613

-1,628

Total PPG shareholders’ equity

4,723

5,284

5,247

5,079

4,904

4,630

4,980

4,884

5,346

5,557

5,897

5,623

5,192

4,828

5,031

5,346

5,161

4,983

5,111

5,171

5,078

5,180

6,121

6,232

5,992

4,932

5,211

5,042

4,787

4,063

3,861

3,461

3,293

3,249

3,662

4,054

3,766

3,638

3,874

3,450

3,592

3,753

3,538

3,175

3,333

Noncontrolling interests

114

119

108

108

106

102

98

99

121

115

108

105

94

87

90

87

87

86

85

85

80

85

84

89

97

266

270

259

254

259

271

214

223

197

244

234

229

195

228

189

197

169

196

193

156

Total shareholders’ equity

4,837

5,403

5,355

5,187

5,010

4,732

5,078

4,983

5,467

5,672

6,005

5,728

5,286

4,915

5,121

5,433

5,248

5,069

5,196

5,256

5,158

5,265

6,205

6,321

6,089

5,198

5,481

5,301

5,041

4,322

4,132

3,675

3,516

3,446

3,906

4,288

3,995

3,833

4,102

3,639

3,789

3,922

3,734

3,368

3,489

Total

18,064

17,708

18,064

17,955

17,371

16,015

16,718

16,794

17,544

16,538

17,616

16,973

16,154

15,771

16,490

17,248

17,315

17,076

17,574

17,596

17,368

17,535

17,087

17,300

17,117

15,863

16,638

16,066

15,376

15,878

15,606

14,817

14,834

14,382

14,543

15,267

15,103

14,975

14,120

13,366

13,756

14,240

14,569

14,565

14,698