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PG Overview

-
$
0.000
0.000(0.000%)
At close
0.000(0.000%)Aft-market
ET
$
0.000
0.000(0.000%)
At close
0.000(0.000%)Aft-market
ET
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Intellectia

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High
145.840
Open
145.520
VWAP
144.48
Vol
2.95M
Mkt Cap
343.45B
Low
143.210
Amount
426.45M
EV/EBITDA(TTM)
15.32
Total Shares
2.33B
EV
369.15B
EV/OCF(TTM)
19.02
P/S(TTM)
4.13
The Procter & Gamble Company is focused on providing branded consumer packaged goods to consumers across the world. The Company’s segments include Beauty, Grooming, Health Care, Fabric & Home Care and Baby, Feminine & Family Care. The Company’s products are sold in approximately 180 countries and territories primarily through mass merchandisers, e-commerce, including social commerce channels, grocery stores, membership club stores, drug stores, department stores, distributors, wholesalers, specialty beauty stores, including airport duty-free stores), high-frequency stores, pharmacies, electronics stores and professional channels. It also sells direct to individual consumers. It has operations in approximately 70 countries. It offers products under brands, such as Head & Shoulders, Herbal Essences, Pantene, Rejoice, Olay, Old Spice, Safeguard, Secret, SK-II, Braun, Gillette, Venus, Crest, Oral-B, Ariel, Downy, Gain, Tide, Always, Always Discreet, Tampax, Bounty and others.
Show More

Events Timeline

(ET)
2026-05-18
13:10:00
Algorhythm Holdings Expands Contract with Procter & Gamble India to $4.2M
select
2026-04-24 (ET)
2026-04-24
16:40:00
Intel's Strong Earnings Boost Chip Stocks
select
2026-04-24
12:10:00
Intel Reports Strong Earnings, Driving Market Volatility
select

News

Newsfilter
9.5
05-27Newsfilter
PinnedGillette India Reports 21.3% Q4 Profit Increase Driven by Grooming Demand
  • Significant Profit Growth: Gillette India reported a profit of 1.93 billion rupees ($20.16 million) in Q4, marking a 21.3% increase from 1.59 billion rupees a year ago, indicating strong performance and enhanced profitability in the market.
  • Cost Reduction Benefits: The company benefited from lower costs, allowing it to improve profit margins while maintaining product quality, thereby strengthening its position in the highly competitive personal care market.
  • Strong Market Demand: Increased consumer demand for grooming products led to a notable rise in sales for Gillette India, reflecting market recognition and trust in its offerings, which further propelled the company's performance.
  • Stock Price Surge: Following the positive earnings report, Gillette India's shares reached a three-month high, demonstrating investor confidence and optimistic expectations regarding the company's future growth prospects.
Fool
8.5
11:06 AMFool
Analysis of High-Yield Dividend ETF Investments
  • Overview of High-Yield ETFs: The Vanguard High Dividend Yield ETF (VYM) includes 608 stocks with a current dividend yield of 2.24%, and while it has underperformed the S&P 500 over the past five years, it has outperformed it in 2026, indicating its potential for providing steady income during volatile periods.
  • Portfolio Diversification: VYM's largest sector is financials (20.2%), followed by technology (14.8%) and industrials (14.2%), allowing investors to diversify risks across different economic sectors and reduce reliance on a single industry.
  • Schwab Dividend ETF Performance: The Schwab U.S. Dividend Equity ETF (SCHD) holds 103 stocks with a dividend yield of 3.29%, and although its long-term performance has lagged behind VYM and the S&P 500, it has shown strong performance in 2026 with a year-to-date total return of about 17.8%.
  • Considerations for ETF Selection: When choosing between VYM and SCHD, investors should consider diversification and safety, as VYM offers greater diversification with 608 stocks, while SCHD is more attractive in terms of dividend yield, making it suitable for those seeking stable income.
NASDAQ.COM
9.5
11:04 AMNASDAQ.COM
Vanguard High Dividend ETF Underperforms S&P 500
  • Long-Term Performance: The Vanguard High Dividend Yield ETF has an annualized return of 11.9% over the past five years, and while it has shown strong performance in 2026, it still lags behind the S&P 500, indicating relative weakness in market volatility.
  • Expense Ratio Advantage: With an ultra-low expense ratio of 0.04% for the Vanguard ETF and 0.06% for the Schwab U.S. Dividend Equity ETF, both funds are competitively positioned for cost-conscious investors seeking steady income.
  • Portfolio Diversification: The Vanguard ETF holds 608 stocks across various sectors, particularly in finance and technology, providing better diversification compared to the Schwab ETF's 103 stocks, thereby reducing single-sector risk.
  • Dividend Yield Comparison: The Vanguard ETF offers a dividend yield of 2.24%, while the Schwab ETF provides a higher yield of 3.29%; despite the Schwab ETF's attractiveness in yield, the Vanguard's diversified portfolio may better withstand market fluctuations.
Fool
6.5
05-28Fool
Investment Comparison: Procter & Gamble vs Clorox
  • Market Position of Procter & Gamble: In fiscal year 2025, Procter & Gamble reported revenue of $84.3 billion, a slight increase of 0.3%, with a net income of $15.7 billion and a net margin of 19%, showcasing its strong market presence across 180 countries, although its reliance on Walmart poses certain risks.
  • Clorox's Financial Performance: Clorox generated $7.1 billion in revenue for the same fiscal year, reflecting a modest growth of 0.2%, with net income reaching $810 million and a net margin of 11.4%, indicating some improvement despite a significant 27% of sales coming from Walmart.
  • Risk Analysis: Procter & Gamble faces intense competition from global rivals like Unilever, along with challenges from geopolitical instability and cybersecurity threats, while Clorox is impacted by raw material cost volatility and inflation, which could squeeze its profitability.
  • Cash Flow Comparison: Procter & Gamble's adjusted free cash flow for the latest quarter was $3.0 billion, an increase from the previous year, indicating its ability to maintain and potentially raise dividends, whereas Clorox's free cash flow was $761 million, showing growth but still significantly lower than Procter & Gamble, highlighting its cash flow management challenges.
NASDAQ.COM
8.5
05-28NASDAQ.COM
Investment Comparison: Procter & Gamble vs Clorox
  • Market Performance Comparison: Procter & Gamble reported $84.3 billion in revenue for fiscal 2025, reflecting a 0.3% increase year-over-year, with a net income of $15.7 billion and a net margin of 19%, showcasing its robust competitive position globally; in contrast, Clorox generated $7.1 billion in revenue, a 0.2% growth, with a net income of $810 million and a net margin of 11.4%, indicating stability in its niche markets.
  • Customer Concentration Risk: Procter & Gamble relies on Walmart for approximately 16% of its sales, while Clorox's dependence is even higher at nearly 27%, exposing both companies to risks associated with changes in retail space and pricing terms, which could significantly impact their financial results.
  • Free Cash Flow Status: Procter & Gamble's adjusted free cash flow reached $3.0 billion in the latest fiscal quarter, an increase from the previous year's $2.8 billion, indicating strong cash generation capabilities that support dividend maintenance and growth; Clorox, on the other hand, reported free cash flow of $761 million, which, while improved from $483 million in 2024, remains significantly lower than Procter & Gamble's.
  • Dividend Yield Analysis: Procter & Gamble offers a dividend yield of 2.9%, while Clorox provides a higher yield of 5.1%; however, Procter & Gamble's superior free cash flow suggests a stronger capacity to sustain and potentially increase dividends over the long term.
Newsfilter
5.0
05-28Newsfilter
Tyson Foods Appoints New CEO Amid Market Challenges
  • Executive Transition: Tyson Foods has appointed former Procter & Gamble executive Jeff Schomburger as the new CEO, set to take over from Donnie King in October, bringing extensive management experience from his board role since 2016, which is expected to drive the company's transformation amid market challenges.
  • Leadership Change Context: Donnie King, who has been with Tyson for over four decades and served as CEO since 2021, successfully navigated the company through multiple challenges, including the COVID-19 pandemic and recent spikes in beef prices, with Schomburger's appointment anticipated to introduce a fresh strategic perspective.
  • Financial Performance Improvement: Tyson Foods reported better-than-expected quarterly earnings earlier this month, driven by rising chicken sales that helped offset a sharp decline in demand for high-priced beef, demonstrating the company's resilience in a volatile market.
  • Full-Year Income Forecast Raised: The company has raised its full-year income forecast, reflecting management's confidence in future market conditions, with Schomburger's leadership expected to further enhance this positive trend.
Wall Street analysts forecast PG stock price to rise
17 Analyst Rating
Wall Street analysts forecast PG stock price to rise
10 Buy
7 Hold
0 Sell
Moderate Buy
Current: 0.000
sliders
Low
150.00
Averages
164.50
High
180.00
Current: 0.000
sliders
Low
150.00
Averages
164.50
High
180.00
UBS
Buy
maintain
$166 -> $172
AI Analysis
2026-04-27
Reason
UBS
Price Target
$166 -> $172
AI Analysis
2026-04-27
maintain
Buy
Reason
UBS raised the firm's price target on Procter & Gamble to $172 from $166 and keeps a Buy rating on the shares. Numbers are likely moving lower on cost pressures, but the firm remains encouraged by the improved delivery on the top line, the analyst tells investors in a research note.
Deutsche Bank
Steve Powers
Buy
maintain
$162 -> $163
2026-04-27
Reason
Deutsche Bank
Steve Powers
Price Target
$162 -> $163
2026-04-27
maintain
Buy
Reason
Deutsche Bank analyst Steve Powers raised the firm's price target on Procter & Gamble to $163 from $162 and keeps a Buy rating on the shares post the fiscal Q3 report. The company is building momentum despite cost pressures, the analyst tells investors in a research note.
Unlock Full Analyst Thesis, Get the complete breakdown of rating reason for PG
Unlock Now

Valuation Metrics

The current forward P/E ratio for Procter & Gamble Co (PG.N) is 20.70, compared to its 5-year average forward P/E of 23.62. For a more detailed relative valuation and DCF analysis to assess Procter & Gamble Co's fair value, Click here.

Forward PE

The forward P/E ratio is a valuation metric that divides a company's current stock price by its estimated future earnings per share over the next 12 months.
StronglyUndervaluedUndervaluedFairOvervaluedStronglyOvervalueddotted line Image
5Y Average PE
23.62
Current PE
20.70
Overvalued PE
25.13
Undervalued PE
22.11

Forward EV/EBITDA

The forward EV/EBITDA ratio is a valuation metric that divides a company's enterprise value (EV) by its estimated future earnings before interest, taxes, depreciation, and amortization (EBITDA) over the next 12 months.
StronglyUndervaluedUndervaluedFairOvervaluedStronglyOvervalueddotted line Image
5Y Average EV/EBITDA
17.11
Current EV/EBITDA
15.53
Overvalued EV/EBITDA
18.26
Undervalued EV/EBITDA
15.95

Forward PS

The forward P/S ratio is a valuation metric that divides a company's current stock price by its estimated future sales (or revenue) per share over the next 12 months.
StronglyUndervaluedUndervaluedFairOvervaluedStronglyOvervalueddotted line Image
5Y Average PS
4.30
Current PS
3.84
Overvalued PS
4.58
Undervalued PS
4.02

Financials

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Whales Holding PG

T
The Glenmede Trust Company, National Association
Holding
PG
+72.21%
3M Return
R
Rakuten Investment Management, Inc.
Holding
PG
+32.67%
3M Return
T
Texas Yale Capital Corp.
Holding
PG
+29.20%
3M Return
L
LGPS Central Limited
Holding
PG
+25.82%
3M Return
D
D. E. Shaw & Co., L.P.
Holding
PG
+25.38%
3M Return
G
Graham Capital Management, L.P.
Holding
PG
+23.80%
3M Return

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Frequently Asked Questions

What is Procter & Gamble Co (PG) stock price today?

The current price of PG is 144.39 USD — it has decreased -1.04

What is Procter & Gamble Co (PG)'s business?

The Procter & Gamble Company is focused on providing branded consumer packaged goods to consumers across the world. The Company’s segments include Beauty, Grooming, Health Care, Fabric & Home Care and Baby, Feminine & Family Care. The Company’s products are sold in approximately 180 countries and territories primarily through mass merchandisers, e-commerce, including social commerce channels, grocery stores, membership club stores, drug stores, department stores, distributors, wholesalers, specialty beauty stores, including airport duty-free stores), high-frequency stores, pharmacies, electronics stores and professional channels. It also sells direct to individual consumers. It has operations in approximately 70 countries. It offers products under brands, such as Head & Shoulders, Herbal Essences, Pantene, Rejoice, Olay, Old Spice, Safeguard, Secret, SK-II, Braun, Gillette, Venus, Crest, Oral-B, Ariel, Downy, Gain, Tide, Always, Always Discreet, Tampax, Bounty and others.

What is the price predicton of PG Stock?

Wall Street analysts forecast PG stock price to rise over the next 12 months. According to Wall Street analysts, the average 1-year price target for PG is164.50 USD with a low forecast of 150.00 USD and a high forecast of 180.00 USD. However, analyst price targets are subjective and often lag stock prices, so investors should focus on the objective reasons behind analyst rating changes, which better reflect the company's fundamentals.

What is Procter & Gamble Co (PG)'s revenue for the last quarter?

Procter & Gamble Co revenue for the last quarter amounts to 21.23B USD, increased 7.38

What is Procter & Gamble Co (PG)'s earnings per share (EPS) for the last quarter?

Procter & Gamble Co. EPS for the last quarter amounts to 1.63 USD, increased 5.84

How many employees does Procter & Gamble Co (PG). have?

Procter & Gamble Co (PG) has 109000 emplpoyees as of May 29 2026.

What is Procter & Gamble Co (PG) market cap?

Today PG has the market capitalization of 343.45B USD.