Procter & Gamble Co(PG) Price Forecast & Company Analysis. P/E · Dividend · Earnings · Price Target · RSI · MACD | US Stocks Today
Full metrics table
| Index | DJIA, S&P 500 | P/E | 21.55 | EPS (ttm) | 6.62 | Insider Own | 0.07% | Shs Outstand | 2.32B | Perf Week | -2.44% |
| Market Cap | 331.31B | Forward P/E | 19.29 | EPS next Y | 5.98% | Insider Trans | -2.6% | Shs Float | 2.32B | Perf Month | -2.59% |
| Enterprise Value | 357.37B | PEG | 4.54 | EPS next Q | 1.88 | Inst Own | 72.66% | Short Float | 1.06% | Perf Quarter | -4.06% |
| Income | 15.75B | P/S | 3.81 | EPS this Y | 1.24% | Inst Trans | -0.04% | Short Ratio | 2.74 | Perf Half Y | -8.57% |
| Sales | 87.03B | P/B | 6.22 | EPS next 5Y | 4.25% | ROA | 12.75% | Short Interest | 24.56M | Perf YTD | -0.47% |
| Book/sh | 22.95 | P/C | 33.32 | EPS past 3/5Y | 3.94% 3.79% | ROE | 30.25% | 52W High | -14.71% ($167.25) | Perf Year | -10.55% |
| Cash/sh | 4.28 | P/FCF | 21.87 | Sales past 3/5Y | 2% 2.72% | ROIC | 20.69% | 52W Low | 3.65% ($137.62) | Perf 3Y | -6.73% |
| Dividend Est. | $4.38 (3.07%) | EV/EBITDA | 14.94 | EPS Y/Y TTM | 1.15% | Gross Margin | 50.87% | Volatility(W/M) | 1.47% 1.36% | Perf 5Y | -0.94% |
| Dividend TTM | 4.29 | EV/Sales | 4.11 | Sales Y/Y TTM | 3.26% | Oper. Margin | 23.86% | ATR (14) | 2.5 | Perf 10Y | 65.4% |
| Dividend Ex-Date | 2026/7/24 | Quick Ratio | 0.47 | EPS Q/Q | -14.7% | Profit Margin | 18.1% | RSI (14) | 41.21 | Recom | 2.22 |
| Dividend Gr. 3/5Y | 5% 5.63% | Current Ratio | 0.68 | Sales Q/Q | 1.5% | SMA20 | -1.49% ($144.8) | Beta | 0.38 | Target Price | $159.67 |
| Payout | 64.3% | Debt/Eq | 0.65 | Earnings | 2026/7/29 | SMA50 | -2.66% ($146.54) | Rel Volume | 1.03 | Prev Close | $145.58 |
| Employees | 104000 | LT Debt/Eq | 0.43 | EPS/Sales Surpr. | 1.56% -0.83% | SMA200 | -3.32% ($147.54) | Avg Volume(3M) | 8.96M | Price | $142.64 |
| IPO | 1950/3/22 | Option/Short | Yes/Yes | Trades | 86019 | Volume | 9,257,636 | Change | -2.02% |
Company
PG is a Consumer Defensive sector company, analyzed across 14 metrics on this page including P/E, EPS, dividends, RSI, and MACD.
🧴 One of the world’s leading household and personal care companies. Founded in Cincinnati, USA, in 1837, it operates an extensive global brand portfolio and ranks among the largest market-cap consumer staples groups across everyday product categories, including Pampers, Tide, Gillette, Pantene, and Head & Shoulders.
Over the past 1 year, on the lower side
15% below its 1-year high.
PG has weak earning power
23.86% of revenue is kept as operating profit.
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Growth is moderate
Earnings are expected to grow by +1.2% this year.
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But it is not cheap
Trading at 21.6 times earnings.
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It has beaten expectations every time
Beat market estimates in the last 2 quarters.
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Opinions on the outlook are split
Analyst sentiment is Buy.
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Holding long would have lost money
Would have changed by -6.7% if bought 5 years ago.
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Dividends are paid consistently
Pays 3.07% annually in dividends.
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Ownership looks stable
Institutions hold 72.7%.
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Multiple ETFs hold this stock
Buying this ETF gives you exposure to this stock as well.
It is the largest in the industry
Based on market cap of $331B.
FAQ
What kind of company is PG?
PG belongs to the Consumer Defensive sector and operates in the Household & Personal Products industry.
What is the market cap of PG?
The market cap of PG is approximately $331.3B, ranking 43 within its sector.
Does PG pay dividends?
PG has a dividend yield of approximately 3.07%, with an annual dividend of $4.38.
What is the P/E ratio of PG?
PG has a P/E ratio of approximately 21.6x, which can be used to assess its valuation relative to the Consumer Defensive sector average.
What is the 52-week high and low for PG?
PG has recorded a 52-week high of $167.25 and a low of $137.62.