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Procter & Gamble (PG)

148.02
-2.35 (-1.56%)
NYSE · Last Trade: Nov 4th, 12:44 AM EST
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Detailed Quote

Previous Close150.37
Open150.10
Bid147.78
Ask148.50
Day's Range147.77 - 150.22
52 Week Range146.96 - 180.43
Volume8,946,442
Market Cap359.31B
PE Ratio (TTM)21.61
EPS (TTM)6.9
Dividend & Yield4.228 (2.86%)
1 Month Average Volume7,555,836

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About Procter & Gamble (PG)

Procter & Gamble is a multinational consumer goods corporation that specializes in a wide array of personal care, health, and hygiene products. The company develops, manufactures, and markets well-known brands that encompass various categories, including beauty, grooming, health care, fabric and home care, and baby and family care. By focusing on innovation and quality, Procter & Gamble aims to improve the everyday lives of consumers worldwide through its diverse product portfolio, which includes items such as laundry detergents, shampoos, diapers, and skincare products. The company's commitment to sustainability and social responsibility further underscores its role as a leader in the consumer goods industry, as it works to create a positive impact on society and the environment. Read More

News & Press Releases

Treasury Secretary Declares 'Housing Recession,' Pressures Fed for Immediate Rate Cuts
In a stark warning echoing through the financial markets, U.S. Treasury Secretary Scott Bessent declared this week that the American housing sector is already mired in a recession, directly attributing the downturn to the Federal Reserve's "tight policies." Speaking on CNN, Secretary Bessent called for an accelerated pace of
Via MarketMinute · November 3, 2025
Cooler CPI Ignites Institutional Crypto Buying, Receding Inflation Fears
A surprisingly "cooler" U.S. Consumer Price Index (CPI) report, released in November 2025 and reflecting October's data, has sent a wave of optimism through global financial markets. Signaling a much-anticipated moderation in inflationary pressures, the report has significantly eased long-standing inflation fears and, crucially, sparked a notable surge in
Via MarketMinute · November 3, 2025
T-Note Yield Surge Bolsters Dollar, Pressures Gold and Silver
The financial markets are currently grappling with the notable ascent in U.S. Treasury note yields, a development that is sending significant ripples through global currency and commodity markets. As of November 3, 2025, the 10-year T-note yield has climbed to 4.11%, marking a 0.03 percentage point increase
Via MarketMinute · November 3, 2025
Federal Reserve at a Crossroads: Powell's Exit Looms as New Leadership Threatens Monetary Policy Shift
As of November 3, 2025, Federal Reserve Chair Jerome Powell's second term is nearing its conclusion in May 2026, setting the stage for a pivotal leadership transition that could dramatically reshape U.S. monetary policy and the trajectory of interest rates. With President Donald Trump actively seeking a successor, the
Via MarketMinute · November 3, 2025
Tech Titans Unite and Consumer Giants Merge: Amazon-OpenAI Partnership and Kenvue Buyout Ignite S&P 500 and Nasdaq Gains
November 3, 2025 – The U.S. stock markets are experiencing a significant surge today, with both the S&P 500 and Nasdaq Composite pushing towards new highs. This bullish sentiment is largely fueled by two monumental corporate announcements: a strategic $38 billion partnership between Amazon Web Services (AWS) and OpenAI,
Via MarketMinute · November 3, 2025
Kenvue's Megadeal Fuels Stock Market Rise at Week's Start: A New Consumer Health Giant Emerges
The financial markets have kicked off the week with a significant surge, largely propelled by the blockbuster acquisition of Kenvue Inc. (NYSE: KVUE) by Kimberly-Clark Corporation (NYSE: KMB). This monumental $48.7 billion cash-and-stock deal, announced on November 3, 2025, has sent positive ripples through the stock market, particularly benefiting
Via MarketMinute · November 3, 2025
Tech Titans and Consumer Giants Reshape Markets: Amazon's AI Leap and Kimberly-Clark's Mega-Merger
November 3, 2025, marks a pivotal day in the financial markets, witnessing two seismic corporate announcements that promise to redefine their respective industries. Amazon.com Inc. (NASDAQ: AMZN) has seen its stock surge following a monumental $38 billion cloud services deal with OpenAI, solidifying its position in the fiercely competitive
Via MarketMinute · November 3, 2025
Market Watch: Dow Soars, Bitcoin Volatility Persists, and Kimberly-Clark Makes a Bold $48.7 Billion Move for Kenvue
[ one to two paragraphs describing the current event and its immediate implications ] As November 3, 2025, unfolds, the financial markets are abuzz with a confluence of significant events. The Dow Jones Industrial Average (DJIA) continues its impressive ascent, buoyed by robust corporate earnings and favorable economic conditions, while the notoriously
Via MarketMinute · November 3, 2025
The S&P 500 Is Sounding a Familiar Alarm. Here's Why You Should Buy and Hold Stocks Anyway.fool.com
Artificial intelligence (AI) growth stocks continue to lead the major indexes to all-time highs.
Via The Motley Fool · November 3, 2025
Should You Buy Shares in the Super-Safe Dividend King Stock That Expects to Return $10 Billion to Shareholders in Its Fiscal 2026?fool.com
P&G is one of the best dividend stocks for risk-averse investors to buy now and hold for years to come.
Via The Motley Fool · November 2, 2025
2 Undervalued, High-Quality Companies to Buy Now and Hold Foreverfool.com
These two Dividend Kings have similar businesses and both are attractively priced today.
Via The Motley Fool · November 2, 2025
MarketBeat Week in Review – 10/27 - 10/31marketbeat.com
Via MarketBeat · November 1, 2025
Elliott Wave International Sounds Alarm: S&P 500's Ascent Nears Critical Bearish Inflection Point
As the calendar turns to late October 2025, a prominent voice in technical analysis, Elliott Wave International (EWI), is issuing a stark warning to investors, highlighting specific chart patterns that suggest the stock market's current bullish momentum may be on the precipice of a significant reversal. This analysis, rooted in
Via MarketMinute · October 31, 2025
The Top 5 Analyst Questions From Procter & Gamble’s Q3 Earnings Call
Procter & Gamble’s third quarter results were marked by steady organic revenue gains and a modest beat on profit expectations, but with operating margins under pressure from increased investment and competitive activity. Management attributed the quarter’s performance to broad-based growth led by Skin & Personal Care, ongoing innovation across brands like Tide and Pampers, and continued portfolio optimization. CFO Andre Schulten highlighted, “This marks 40 consecutive quarters of organic sales growth and keeps us on track for the tenth consecutive year of core EPS growth.” The company noted that growth was supported by both price and product mix improvements, despite market share softness and intensified promotions in key categories.
Via StockStory · October 31, 2025
Smithfield Foods (SFD) Declares Quarterly Dividend, Reinforcing Stability in Consumer Staples
Smithfield Foods, Inc. (Nasdaq: SFD) today announced its latest quarterly dividend declaration, setting a payout of $0.25 per share. This move, declared on October 30, 2025, with a record date of November 13, 2025, and a payment date of November 26, 2025, signals a continued commitment to shareholder returns
Via MarketMinute · October 30, 2025
Navigating the Aftermath: What Lies Ahead for Markets Post-Decline
The financial markets are grappling with the reverberations of a significant day of declines, leaving investors and analysts alike pondering the immediate and long-term trajectory. This recent downturn has injected a fresh wave of uncertainty, prompting a re-evaluation of investment strategies and a heightened focus on key economic indicators. As
Via MarketMinute · October 30, 2025
From Record Heights to Pullback: Analyzing the Current Market Correction
The global financial markets, which had soared to unprecedented valuations through late 2024 and early 2025, experienced a sharp and unsettling correction in April 2025. This significant downturn, triggered by the sudden implementation of aggressive tariff policies, marked a dramatic shift from widespread optimism to palpable fear, wiping out trillions
Via MarketMinute · October 30, 2025
Navigating the Aftermath: Market Outlook Post-Declines Amidst Trade Truce and Rate Uncertainty
The global financial markets, as of October 30, 2025, are grappling with a complex interplay of factors, following a day characterized by stock futures pointing to a lower open and investor caution. This recent dip comes on the heels of major indexes hitting record highs, only to retract slightly after
Via MarketMinute · October 30, 2025
Wall Street's Early Jitters: Unpacking the Forces Behind Today's Market Dip
As the clock ticked past the opening bell on October 30, 2025, Wall Street found itself navigating a familiar, yet unsettling, landscape: an early trading dip. Investors are keenly watching as major indices show signs of weakness, signaling a cautious mood permeating the financial markets. This downturn appears to be
Via MarketMinute · October 30, 2025
Federal Reserve Delivers Rate Cut, But Powell's Hawkish Tone Jolts Markets and Clouds Future Easing Path
Washington D.C. – October 30, 2025 – The Federal Reserve, yesterday, delivered a widely anticipated 25-basis-point interest rate cut, bringing the federal funds rate to a target range of 3.75%-4.00%. This marks the second consecutive reduction in 2025, signaling a response to a softening labor market and ongoing
Via MarketMinute · October 30, 2025
My Top Value Stock to Buy for 2026 (and It's Not Even Close)fool.com
This boring dividend stock could appeal to investors who are concerned about growth stock valuations heading into next year.
Via The Motley Fool · October 30, 2025
Fed Cuts Rates Again Amidst Persistent Inflation and Economic Headwinds: A Closing Bell Report
As the closing bell rang on October 29, 2025, financial markets grappled with the implications of the Federal Reserve's latest monetary policy adjustments. For the second time this year, the Fed opted to cut its benchmark interest rate by 25 basis points, bringing the federal funds rate to a target
Via MarketMinute · October 29, 2025
Data Fog Descends: Government Shutdown Blindsides Federal Reserve, Stalling Economic Clarity
The financial markets are grappling with a profound "data fog" as an ongoing government shutdown severely curtails the availability of critical economic indicators. This unprecedented blackout is challenging the Federal Reserve's ability to accurately assess the nation's economic health, leaving policymakers and investors "flying blind" at a crucial juncture for
Via MarketMinute · October 29, 2025
Powell's Prudent Pause: December Rate Cut Far From Certain, Fed Chair Signals
Federal Reserve Chair Jerome Powell delivered a sobering message to financial markets on October 29, 2025, casting a significant shadow of doubt over expectations for a December interest rate cut. His remarks, made following the Federal Open Market Committee's (FOMC) decision to implement its second rate reduction of the year,
Via MarketMinute · October 29, 2025
Global Food Crisis Deepens: Soaring Prices Drive Hunger, Undermine Stability, and Force Drastic Consumer Cuts
Global food prices continue to exert significant pressure on households and economies worldwide, with the latest data revealing a persistent upward trend and dire consequences, particularly for vulnerable populations. While some commodity prices have seen recent moderation, the overall cost of food remains elevated, leading to increased hunger, compromised nutrition,
Via MarketMinute · October 29, 2025