Your Best Stock

Procter & Gamble PG

$146.87
−$0.52 (-0.35%)
Market open · Sep 24, 1:10 pm ET
After hours $147.24 -0.10%
Open$147.29
Prev close$147.39
Day range$146.75 – $149.18
Volume2.43M
Market cap$341.11B
P/E (TTM)22.2
Dividend yield2.90%

Price chart

Daily bars for up to one year, weekly bars for the 5-year view. Averages are 50/200 trading days (10/40 weeks on the 5-year view).

PG at a glance

PG last changed hands at $146.87 (down 0.35%). At $341.11B, Procter & Gamble is ranked #38 by size among the 300 stocks on BeStock.

Over the past 52 weeks it has traded between $134.62 and $164.77, so it sits 10.9% below the top of that range. Holders are behind 0.8% over twelve months, and down 2.7% across the last three months.

On the chart it holds above both the 50-day ($145.98) and 200-day ($145.94) moving averages; RSI is 58, and the last 30 sessions moved at roughly 14% annualized volatility.

For the quarter ended Jun 2026 it reported $21.20B in revenue, up 1.5% from a year earlier, with $3.08B of net profit (a 18.1% margin).

Valuation works out to 22.2 times trailing earnings, 12% below its five-year average of 25.3. The median for its industry group is 22.2.

16 analysts follow the stock and the average call is "buy". The mean target, $160.86, sits 9.5% over where the stock trades.

This summary is put together from the numbers on the page and updates when they do. It describes the data; it is not a forecast or a recommendation.

Procter & Gamble: the business

Procter & Gamble makes Tide, Pampers, Gillette, Crest and other household brands.

What tends to move it. Pricing power, volume growth and commodity costs drive results. It has raised its dividend every year for decades.

Written by hand by the BeStock desk and revised when a business changes. See how we work. Spot something out of date? Tell us.

Performance

Price return over each window, from adjusted daily and weekly closes

1 day
-0.4%
1 week
-0.1%
1 month
+0.2%
3 months
-2.7%
6 months
+4.1%
Year to date
+4.8%
1 year
-0.8%
Day range
$146.75$149.18
52-week range
$134.62$164.77

Technical signals

Full technicals →
Trend readStrong uptrend

7 bullish · 0 bearish of 7 signals

IndicatorValueSignal
Price vs 20-day average+0.7%Bullish
Price vs 50-day average+0.6%Bullish
Price vs 200-day average+0.6%Bullish
50-day vs 200-day50d above 200dBullish
RSI (14)57.8Bullish
MACD (12,26,9)0.54Bullish
Bollinger band position65%Bullish

Standard indicator readings worked out from daily closes. They describe how the price has behaved, not where it is going.

Key statistics

Bid / Ask$146.84 / $146.87
Average price today$147.78
Volume2.43MAvg (90d) 8.81M
Turnover$359.21M
Turnover rate0.11%of shares outstanding
Volume ratio0.57vs. recent average pace
Day amplitude1.65%
Market cap$341.11B
Float market cap$340.49B
Shares outstanding2.32B
EPS (TTM)$6.62
P/E (TTM)22.18
P/B6.40
Book value / share$22.96
Earnings yield0.29%
Dividend (TTM)$4.26 / shareYield 2.90%
Net profit (TTM)$15.38B
Net assets$53.32B
30-day volatility13.8%annualized
Avg daily range (ATR)1.37%of price, 14 days
Max drawdown (1y)-15.5%-10.8% from 1y peak

Quote as of Sep 24, 2026 1:10 pm ET. Prices can lag the live tape. This is background information, not a recommendation.

How PG ranks on BeStock

Market value#38 of 300
P/E (cheapest = 1)#113 of 283
Dividend yield#67 of 244
Closeness to 52-week high#116 of 300
Dollar volume today#100 of 300

Ranks are among the 300 or so U.S.-listed stocks BeStock covers, recalculated whenever prices refresh. A row is left out when the measure does not apply, such as yield for a stock that pays no dividend.

Latest reported quarter: Q4, ended Jun 2026

Revenue$21.20B+1.5% YoY
Operating profit$3.95B-9.3% YoY
Net profit$3.08B-15.0% YoY
Diluted EPS$1.26-14.9% YoY
Free cash flow$4.11B+3.0% YoY
Operating cash flow$5.13B

Revenue, last 8 quarters

$21.7BSep '24$21.9BDec '24$19.8BMar '25$20.9BJun '25$22.4BSep '25$22.2BDec '25$21.2BMar '26$21.2BJun '26

Net profit, last 8 quarters

$4.0BSep '24$4.7BDec '24$3.8BMar '25$3.6BJun '25$4.8BSep '25$4.3BDec '25$4.0BMar '26$3.1BJun '26

Profitability & balance sheet

Gross margin50.2%
Operating margin22.7%
Net margin18.1%
Return on equity30.1%
Return on assets12.5%
Return on invested capital18.4%
Current ratio0.68
Liabilities / assets57.1%
Cash & investments$9.94B
Total debt$34.78B
Net cash (debt)-$24.84B
Free cash flow / sales17.4%

Where the revenue comes from

Quarter 2026/FY

By business line

  • Fabric & Home Care$30.31B 34.8%
  • Baby, Feminine & Family Care$20.40B 23.4%
  • Beauty$16.02B 18.4%
  • Health Care$12.46B 14.3%
  • GROOMING$6.92B 7.9%
  • Corporate$919.00M 1.1%

By region

  • International$45.30B 52.1%
  • United States$41.70B 47.9%
Average move on report day±2.3%last 15 reports
Closed higher10 of 1567% of the time
Best reaction+4.1%
Worst reaction-4.8%

Stock move on the day after each report

+0.0%2025/Q1+1.9%2025/Q2-3.7%2025/Q3-0.3%2025/Q4+0.9%2026/Q1+2.6%2026/Q2+2.5%2026/Q3-1.9%2026/Q4

"Implied move" is the size of move the options market was pricing ahead of the report. Move is the stock’s change on the first session after the release.

Valuation

Multiples measured against the stock's own five-year history

Valuation detail →
Price / earnings22.1x
CheapRich

Near the bottom of its 5-year range · 14th percentile, 5-year average 25.3x

#1686 of 2977 stocks by PE (1 = cheapest)

Price / book6.4x
CheapRich

Near the bottom of its 5-year range · 7th percentile, 5-year average 7.5x

#4514 of 5303 stocks by PB (1 = cheapest)

Price / sales3.9x
CheapRich

Near the bottom of its 5-year range · 6th percentile, 5-year average 4.4x

#3482 of 5143 stocks by PS (1 = cheapest)

P/E over five years

20x23x27x31xSep '21Mar '24Sep '26

Dashed line is the 5-year average; the shaded band is one standard deviation either side.

Morningstar fair value estimate

Fair value$155.00
Price vs. fair value-5.2%Trading below the estimate
Star rating★★★★☆
Economic moatWide
UncertaintyLow

Analyst view

All ratings →
ConsensusBuy
Analysts16
Average target$160.86+9.5% vs. price
  • Buy 56%
  • Hold 44%
Low $148.00Now $146.87Avg $160.86High $179.00

Latest rating actions

  • 11 Sep 2026EvercoreHOLD · PT $161.00
  • 11 Sep 2026BarclaysHOLD · PT $152.00
  • 3 Sep 2026TD CowenHOLD · PT $150.00
  • 19 Aug 2026RBC CapitalBUY · PT $167.00
  • 7 Aug 2026Argus ResearchHOLD · PT $148.00

Ownership & positioning

Who holds it, who is betting against it, and where the big money is moving

Ownership detail →
Institutional ownership71.5%-0.05 pts vs. prior quarter
Institutions holding4,570-15 vs. prior quarter
Insider trades (recent)18 buys / 11 sellsNet buying
Short interest1.21% of floatDays to cover 2.8 · as of 31 Aug 2026
Short-sale volume share14.6%5-day average of daily volume

Short-sale volume as % of daily volume

4%14%24%33%Aug '26Sep '26Sep '26

Large-order net flow, last 20 sessions

Net of large-order buying minus selling, in USD. Over this window: +$35.85M (7 inflow days, 13 outflow days).

Dividends

Dividend yield (TTM)2.90%
Last dividend$1.09Ex-date 24 Jul 2026
Next-to-last$1.09
Payments on file40

Dividends paid per share, by year

2.8420182.9520193.1220203.4020213.6120223.7420233.9620244.182025

Across the full calendar years shown, the annual payout grew by roughly 5.7% a year.

Latest headlines

More news →
  • TD Cowen Maintains Procter & Gamble(PG.US) With Hold Rating, Maintains Target Price $150Market news · 4 Sep 2026
  • Jefferies Maintains Procter & Gamble(PG.US) With Buy Rating, Cuts Target Price to $177Market news · 15 Sep 2026
  • Barclays Maintains Procter & Gamble(PG.US) With Hold Rating, Maintains Target Price $152Market news · 11 Sep 2026
  • Evercore Maintains Procter & Gamble(PG.US) With Hold Rating, Maintains Target Price $161Market news · 11 Sep 2026

PG stock: common questions

Where is PG trading right now?

$146.87 is the latest print for PG, a move of -0.35% against yesterday's close of $147.39. Today's low and high so far: $146.75 and $149.18.

How large is Procter & Gamble by market value?

Equity value comes to $341.11B at the current price. By that measure it is number 38 of the 300 names in our coverage.

How is Procter & Gamble valued against its profits?

Buyers pay 22.2 times the last twelve months of profit (EPS $6.62). Averaged over five years the multiple has been 25.3, and today's level ranks in the 14th percentile of its own history.

Where does PG sit in its 52-week range?

The year's floor is $134.62 and the ceiling $164.77. Shares are 10.9% away from that ceiling.

Does PG send cash back through a dividend?

It does. Payouts over the past twelve months work out to a 2.90% yield; the latest ex-dividend date was July 24, 2026.

What is the analyst view on Procter & Gamble?

Of 16 analysts, 56% say buy, 44% hold and 0% sell. Price targets average $160.86, with the most cautious at $148.00 and the most optimistic at $179.00.

What does Procter & Gamble do?

Procter & Gamble makes Tide, Pampers, Gillette, Crest and other household brands.

BeStock publishes market data and analysis for information only. Nothing here is investment advice or a solicitation to buy or sell any security. Quotes may be delayed and figures can contain errors; check primary sources before you trade. How we source and calculate these pages.

Scroll to Top