Recent Annual Filings for PPG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $19,433,000,000 $15,845,000,000 $13,993,000,000 $269,000,000 $1,420,000,000 $-1,425,000,000 $-223,000,000
2023 $21,647,000,000 $18,246,000,000 $16,498,000,000 $1,881,000,000 $2,411,000,000 $-1,550,000,000 $415,000,000
2022 $20,744,000,000 $17,652,000,000 $16,271,000,000 $981,000,000 $963,000,000 $-409,000,000 $94,000,000
2021 $21,351,000,000 $16,802,000,000 $14,987,000,000 $1,304,000,000 $1,562,000,000 $93,000,000 $-821,000,000
2020 $19,556,000,000 $13,834,000,000 $12,472,000,000 $825,000,000 $2,130,000,000 $-59,000,000 $630,000,000
2019 $17,708,000,000 $15,146,000,000 $13,485,000,000 $1,218,000,000 $2,080,000,000 $-758,000,000 $314,000,000
2018 $16,015,000,000 $15,374,000,000 $13,681,000,000 $1,211,000,000 $1,467,000,000 $-1,205,000,000 $-534,000,000
2017 $16,538,000,000 $14,750,000,000 $12,742,000,000 $1,928,000,000 $1,568,000,000 $-1,954,000,000 $-384,000,000