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PPG Industries (PPG): What Does the Company Do? - Stock Outlook, Earnings, Market Cap, Related Stocks, and Headquarters Overview

2026년 5월 21일 갱신 · 최초 발행 2026년 4월 1일

PPG Industries (PPG) is a global large-cap paint and coatings leader, combining revenue diversification across automotive, aerospace, industrial, and architectural coatings, steady share buybacks and dividend returns, exposure to the global industrial cycle, and related-stock dynamics into a large-cap industrial materials name.

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🏢 What kind of company is PPG Industries?

PPG Industries (PPG) is a global paint, coatings, and specialty materials company founded in 1883 and headquartered in Pittsburgh, Pennsylvania, USA. It serves multiple end-use markets including automotive, aerospace, industrial, architectural, and packaging coatings, holding a leading-group position in the global paint and coatings market.

It operates along two main axes—Performance Coatings (architectural, automotive refinish coatings, etc.) and Industrial Coatings (automotive OEM, industrial, aerospace, and packaging coatings)—while also running a specialty chemicals and materials business. It holds a leading-group position in the global paint and coatings market and maintains a global supply network spanning some 70 countries.

How does PPG Industries make money?
Business SegmentRevenue ShareDescription
Performance CoatingsCoreArchitectural, automotive refinish, aerospace refinish, and industrial maintenance coatings
Industrial CoatingsKey Growth AxisAutomotive OEM, industrial, aerospace, and packaging coatings
Specialty MaterialsDiversification AxisOptical coatings, rubber, sealants, and other specialty chemical materials
International RevenueExpandingRevenue expansion across European, Asian, and Latin American global markets

Recent revenue has remained on a steady trajectory, supported by the recovery in the global automotive and industrial cycle and resilient demand for automotive refinish and architectural coatings. Performance Coatings and Industrial Coatings account for the bulk of revenue, while Specialty Materials serves as a diversification axis. Operating margins tend to reflect the stable margin structure characteristic of the coatings business, with raw material and FX swings along with pricing-policy execution acting as quarterly margin swing factors.

📐 PPG Industries Market Cap and Company Scale

Market capitalization stands at $25.0B, with 43,500명 employees.

As a large-cap leader in the global paint and coatings market, it occupies a comparable position alongside peers such as SHW, AXTA, and RPM. A diversified multi-end-market structure spanning automotive, industrial, architectural, and aerospace reduces dependence on any single cycle, and steady free cash flow is allocated to a combination of M&A-driven business expansion and capital returns through share buybacks and dividends.

📈 PPG Industries Outlook and Share Price Trends

📊 최근 1년 주가흐름
🎯 애널리스트 컨센서스
2.2
매도 보유 적극 매수
목표가 $126 +12.8% 현재 $112
📏 52주 가격 범위
$112
최저 $93 최고 $133
최저 대비 +19.97% 최고 대비 -16.04%

Recovery in the global automotive and industrial cycle, resilient architectural coatings demand, and an expanding aerospace OEM and refinish cycle serve as the core medium- to long-term growth drivers. M&A-driven expansion into new application areas, growth in eco-friendly and low-emission coatings solutions, and international revenue diversification can act as additional revenue-multiple axes. In the near term, fluctuations in the global automotive OEM cycle, raw material price swings, FX volatility, and share competition from peers such as SHW can act as potential sources of volatility.

  • Global automotive and industrial cycle recovery
  • Resilient architectural coatings demand
  • Expansion of eco-friendly and low-emission coatings solutions
  • M&A-driven business area expansion

⚔️ PPG Industries Core Competitive Strengths and Risks

Its leading position in the global paint and coatings market and multi-end-market diversification are key strengths, while global industrial cycle swings and raw material and FX volatility are the core risks.

💪 Core Competitive Strengths

Global Coatings Leadership
A leading-group position in the global paint and coatings market contributes on both the pricing-power and economies-of-scale axes.
Multi-End-Market Diversification
Multiple business segments (Performance, Industrial, Specialty Materials) and multiple end markets (automotive, aerospace, architectural, industrial) work to reduce dependence on any single cycle.
Global Supply Network
A global supply network and technology center footprint spanning some 70 countries serve as differentiating capabilities in serving multinational customers.
Capital Return Policy
Backed by steady free cash flow, the company consistently runs a capital return policy combining share buybacks and dividends.

⚠️ Core Risks

Industrial Cycle Volatility
Global automotive OEM and industrial cycle swings are the key driver of industrial coatings revenue volatility.
Raw Material Price Volatility
Price swings in raw materials such as pigments, resins, and solvents can weigh on short-term margins.
FX Volatility
As the share of global revenue grows, FX volatility can affect translated revenue.
Peer Competition
Share and price competition from peers such as SHW and AXTA can pressure margins.

🔄 PPG Industries Competitors and Related (Beneficiary) Stocks

Direct competitors include SHW, another global paint and coatings leader, AXTA in automotive and industrial coatings, and RPM in diversified paints and materials. Related names grouped with PPG include diversified chemicals and materials players DOW and LYB, as well as industrial gases and materials name APD, all of which share exposure to the global industrial and automotive cycle.

⚔️ 경쟁주
종목회사명가격등락시총PERPBRROE배당률
SHWSherwin-Williams Co$344.84+0.3%$83.7B31.821.765.12%0.87%
AXTAAXTAAxalta Coating Systems Ltd$36.03+3.5%$7.7B22.23.114.58%-
RPMRPMRPM International Inc$107.83-0.5%$13.8B20.94.221.26%2.12%
🔗 관련주 (수혜주)
종목회사명가격등락시총PERPBRROE배당률
DOWDOWDow Inc$30.09-1.2%$21.7B-1.4-7.89%4.64%
LYBLYBLyondellBasell Industries NV$60.44-0.1%$19.5B-1.9-6.06%5.06%
APDAir Products & Chemicals Inc$300.20+2.0%$66.8B31.84.313.94%2.41%

✅ PPG Industries Investor Checklist

Key points to monitor when investing in PPG Industries. The global automotive and industrial cycle, architectural coatings demand, the raw material price environment, expansion of eco-friendly and low-emission coatings revenue, and the continuity of the capital return policy are the key short- and medium-term variables.

CheckpointWhat to VerifyCurrent Status
Automotive and Industrial CycleRecovery in the global automotive OEM and industrial cycleRecovering
Architectural CoatingsGlobal architectural coatings demand and pricing environmentStable
Eco-Friendly CoatingsShare of revenue from eco-friendly and low-emission coatings solutionsExpanding
Capital ReturnShare buyback and dividend trendsConsistent returns

Volatility in the global automotive and industrial cycle and raw material price swings are the key drivers of short-term margin variability. FX volatility and share and price competition from peers can also act as variables influencing revenue and margin trends.

PPG Industries is a large-cap industrial materials name combining a leading position in the global paint and coatings market, multi-end-market diversification across automotive, aerospace, industrial, and architectural applications, and a steady capital return policy. The global automotive and industrial cycle and the raw material price environment are the key variables to watch, and a scaled-buy and long-term-hold approach is recommended.

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이 글은 2026년 5월 21일 기준 정보입니다.

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