Home

Procter & Gamble (PG)

154.98
+0.00 (0.00%)
NYSE · Last Trade: Aug 12th, 8:48 AM EDT
QuoteNewsPress ReleasesChartHistoricalFAQAboutCompetitors

Detailed Quote

Previous Close154.98
Open-
Bid155.00
Ask155.30
Day's RangeN/A - N/A
52 Week Range149.91 - 180.43
Volume864,073
Market Cap376.20B
PE Ratio (TTM)23.81
EPS (TTM)6.5
Dividend & Yield4.228 (2.73%)
1 Month Average Volume7,925,684

Chart

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

Today's Market Movers: Inflation, Interest Rates, and Tariffs Drive Wall Street Action
Wall Street is currently navigating a complex and volatile landscape, with investor sentiment heavily influenced by a trifecta of critical economic factors: anticipated inflation data, the Federal Reserve's evolving stance on interest rates, and the persistent shadow of global tariff and trade policies. As August 2025 unfolds, market participants are
Via MarketMinute · August 11, 2025
Inflation Watch: CPI and PPI Reports Set to Dictate Federal Reserve's Next Move
As financial markets brace for a pivotal week, all eyes are fixed on the impending release of the Consumer Price Index (CPI) and Producer Price Index (PPI) reports. These critical inflation gauges are poised to significantly influence the Federal Reserve's (Fed) monetary policy decisions, particularly regarding future interest rate adjustments.
Via MarketMinute · August 11, 2025
Market Holds Breath: Major Indexes Pull Back as Wall Street Awaits Key Inflation Data
The U.S. stock market is experiencing a period of cautious trading, with major indexes pulling back slightly from their recent highs as investors brace for crucial inflation data set to be released this week. This subdued sentiment reflects a broader anxiety on Wall Street regarding the trajectory of inflation
Via MarketMinute · August 11, 2025
The Specter of Stagflation: Trump's Tariffs Cast a Long Shadow Over the U.S. Economy
Economists and investors are increasingly sounding the alarm over the growing risk of "stagflation," a perilous economic phenomenon characterized by high inflation coupled with stagnant economic growth. At the heart of these concerns are the tariff policies enacted by former President Donald Trump, which many experts fear could simultaneously drive
Via MarketMinute · August 11, 2025
New Downy® Gentle Soft + Fresh Debuts with Audio Romance Series, “Almost Scandalously Soft Stories”
Downy®, a trusted leader in laundry, announces the launch of Downy Gentle Soft + Fresh, a new fabric softener designed for consumers who want softness and scent without compromising on gentleness. Supporting the launch is an original audio campaign, “Almost Scandalously Soft Stories,” a series of immersive audio romance stories now streaming on Spotify.
By Procter & Gamble · Via Business Wire · August 11, 2025
Get Ready To Pay More For Shopping: Goldman Sachs Warns You May ‘Eat The Tariffs’ This Yearstocktwits.com
American consumers will absorb 67% of the additional costs companies face from tariffs, up from 22% as of June.
Via Stocktwits · August 11, 2025
Is the Vanguard Value ETF the Simplest Way to Consistently Collect More Passive Income Than the S&P 500?fool.com
This ultra-low-cost ETF is an excellent way to invest in large-cap value stocks, many of which pay dividends.
Via The Motley Fool · August 9, 2025
Wall Street's Resilient Rally: What's Driving the Positive Momentum
Wall Street has experienced a broadly positive day, marked by a resilient rally that has added over $1 trillion in market value. This surge in investor confidence is primarily driven by a confluence of strong corporate earnings, sustained momentum in the technology sector, and a perceived easing of anxieties related
Via MarketMinute · August 8, 2025
Rate Cut Buzz Grows: Are These ETFs Gearing Up For A Fed Pivot?benzinga.com
Amid labor market concerns and potential rate cuts, investors are turning to stable sectors like consumer staples, utilities, and real estate. ETFs like XLP, XLU, and VNQ are gaining interest.
Via Benzinga · August 7, 2025
Is Palantir a Buy, Sell, or Hold After Its Most Recent Earnings Report?fool.com
Palantir is hitting all-time highs and has a long runway of future growth.
Via The Motley Fool · August 7, 2025
Stagflation Fears Resurface: Economic Data Signals Market Caution
A troubling confluence of recent economic data points has sent a shiver through financial markets, reigniting fears of "stagflation"—a dreaded economic scenario characterized by stagnant growth, high unemployment, and persistent inflation. The flat reading in the ISM Services index for July, a significantly weaker-than-expected jobs report, and a narrowing
Via MarketMinute · August 6, 2025
Stagflation Specter Haunts Markets as Economic Data Disappoints
The global financial markets are grappling with a growing sense of unease as recent economic data points to a troubling confluence of high inflation and sluggish growth, rekindling fears of stagflation. Weaker-than-expected figures from key indicators, including the ISM Services index, the latest jobs report, and the US trade deficit,
Via MarketMinute · August 6, 2025
Wall Street Giants Warn of Impending Stock Market Pullback: Is a Correction on the Horizon?
Major Wall Street firms, including Morgan Stanley (NYSE: MS), Deutsche Bank AG (NYSE: DB), and Evercore ISI (NYSE: EVR), have issued cautionary advisories to their clients, signaling a potential stock market pullback of 10-15% in the third quarter of 2025. These warnings come on the heels of a robust rally
Via MarketMinute · August 5, 2025
Beyond Jobs: Key Economic Indicators Investors Are Watching for Market Health Clues
While monthly jobs reports often grab headlines, savvy investors are increasingly looking beyond employment figures to a broader array of economic indicators for a more nuanced understanding of market health. Two such crucial metrics, Personal Consumption Expenditures (PCE) inflation and the Chicago Purchasing Managers' Index (PMI), are currently providing critical
Via MarketMinute · August 5, 2025
Are Stocks Overheating? Analysts Debate Market Valuations Amidst Record Highs
Concerns are mounting among financial analysts that the U.S. stock market may be entering an "overheated" phase, with equity valuations reaching levels that some deem unsustainable. This apprehension comes as major indices continue to flirt with record highs, prompting a critical debate about the market's current trajectory and its
Via MarketMinute · August 5, 2025
Consumer Tech News (July 28–August 1): Earnings From Apple, Microsoft, and Amazon Offset by Fed Jitters, Tariff Woesbenzinga.com
Big Tech's strong earnings clashed with economic headwinds, inflation fears, and tariff shocks, leaving markets on edge despite blockbuster results.
Via Benzinga · August 3, 2025
The Motley Fool's Just-Released Report Shows U.S. Inflation Is at 2.7%. Here's How 2 Consumer Goods Staples Are Faring.fool.com
Will these two consumer staples' companies benefit from higher inflation?
Via The Motley Fool · August 2, 2025
2 High-Yield Dow Jones Stocks to Buy in Augustfool.com
These stocks can help you boost your passive income.
Via The Motley Fool · August 1, 2025
Wall Street's Greatest Dividend Stock Hasn't Been This Cheap in Over a Decade -- but Are Investors Paying Attention?fool.com
This is the only U.S.-listed public company that's been paying a consecutive dividend for more than 200 years -- and you've probably never heard of it.
Via The Motley Fool · July 31, 2025
3 Dow Jones Stocks That Fall Short
While the Dow Jones (^DJI) represents industry leaders, not every stock in the index is a safe bet. Some are facing headwinds like declining demand, rising costs, or disruptive new competitors.
Via StockStory · July 31, 2025
Stock Market Today: US Future Edge Higher Ahead Of FOMC Decision—Meta, Microsoft Earnings In Focusbenzinga.com
U.S. stock futures rose on Wednesday after ending lower on Tuesday. Futures of major benchmark indices were slightly higher.
Via Benzinga · July 30, 2025
Dow Falls Over 200 Points Ahead Of Fed Decision: Investor Sentiment Declines, But Fear Index Remains In 'Greed' Zonebenzinga.com
Via Benzinga · July 30, 2025
Options Corner: Procter & Gamble's Tariff Blues Could Signal A Discounted Opportunitybenzinga.com
While Procter & Gamble posted strong fiscal Q4 earnings results, PG stock dipped on tariff concerns. Still, this could be a contrarian trade.
Via Benzinga · July 29, 2025
Procter & Gamble Warns $800M Rise In Tariff Costs, Picks New CEObenzinga.com
Procter & Gamble beat Q4 estimates and issued upbeat FY2026 guidance, but flagged an $800M tariff hit and rising cost headwinds.
Via Benzinga · July 29, 2025
AMD Rises To 1-Year Highs, Crude Eyes $68: What's Moving Markets Tuesday?benzinga.com
Risk appetite took a breather Tuesday, with major U.S. stock indices retreating modestly from record highs as investors braced for a pivotal stretch of earnings and macro events.
Via Benzinga · July 29, 2025