Procter & Gamble (PG)

144.49
+1.31 (0.91%)
NYSE · Last Trade: Dec 24th, 4:22 PM EST
QuoteNewsPress ReleasesChartHistoricalFAQAboutCompetitors

Detailed Quote

Previous Close143.18
Open142.90
Bid144.40
Ask144.65
Day's Range142.83 - 144.74
52 Week Range138.14 - 179.99
Volume3,258,960
Market Cap350.74B
PE Ratio (TTM)21.09
EPS (TTM)6.9
Dividend & Yield4.228 (2.93%)
1 Month Average Volume11,673,081

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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

Santa Claus Rally Delivers: S&P 500 Surpasses 6,900 in Historic 2025 Performance
As Wall Street winds down for the Christmas holiday, investors have received the ultimate gift: a record-shattering close for the benchmark S&P 500 index. On the final full trading day before the break, the S&P 500 (INDEXSP: .INX) officially breached the psychological 6,900 barrier, closing at an
Via MarketMinute · December 24, 2025
2 Oversold Stocks Set for a Comeback and 1 We Brush Off
The past year hasn't been kind to the stocks featured in this article. Each has tumbled to their lowest points in 12 months, leaving investors to decide whether they're witnessing fire sales or falling knives.
Via StockStory · December 23, 2025
The Quiet Tape’s Loud Message: Markets Surge on GDP Surprise Amid Holiday Thinness
As the final full trading week of 2025 unfolds, the traditional end-of-year "quiet tape" is proving to be anything but silent. Despite the holiday-shortened schedule and trading volumes plummeting to nearly 50% of their annual averages, a series of high-stakes economic data releases and corporate breakthroughs have injected unexpected volatility
Via MarketMinute · December 23, 2025
3 Reasons to Buy Coca-Cola Stock Like There's No Tomorrowfool.com
Buying a great company at a reasonable price is too good an opportunity to pass up.
Via The Motley Fool · December 23, 2025
The Best Dividend Stocks to Buy and Hold Foreverfool.com
Consumer staples makers are out of favor, but nobody is going to stop buying food, drinks, or hygiene products.
Via The Motley Fool · December 22, 2025
The Great Rotation of 2025: Investors Ditch AI Hype for Utility Stability
As the final trading days of 2025 approach, a tectonic shift is reshaping Wall Street. For years, the market’s momentum was dictated by a handful of silicon giants and the promise of an artificial intelligence revolution. However, as of December 22, 2025, the narrative has flipped. Investors are aggressively
Via MarketMinute · December 22, 2025
Tech Giants Lead S&P 500 Higher as Holiday Rally Gains Momentum
The S&P 500 climbed 0.4% on Monday, December 22, 2025, as technology shares spearheaded a broad-based market advance to kick off a holiday-shortened trading week. This gain extends a resilient three-day winning streak for the major indexes, signaling strong investor confidence as the year draws to a close.
Via MarketMinute · December 22, 2025
The Great Recalibration: Tech Reclaims the Throne as Santa Claus Rally Ignites
As the final trading days of 2025 approach, the long-anticipated "Santa Claus Rally" has arrived with a vengeance, but not in the way many expected. After a jittery start to December that saw investors flee to the safety of "defensive" sectors like Utilities and Consumer Staples, the market is witnessing
Via MarketMinute · December 19, 2025
Shares of P&G Struggled in 2025. What Will It Do in 2026?fool.com
Tariffs and souring consumer sentiment made 2025 a tough year for Procter & Gamble shareholders.
Via The Motley Fool · December 19, 2025
The 10% Shadow: Analyzing the Growing Risk of a 30% Market Correction in 2026
As 2025 draws to a close, a sobering forecast from Barron’s has sent ripples through the financial community, suggesting a 10% probability of a massive 30% stock market crash in 2026. While the broader consensus remains cautiously optimistic for the new year, this "tail risk" scenario highlights a precarious
Via MarketMinute · December 19, 2025
P&G to Webcast Discussion of Second Quarter 2025/26 Earnings Results on January 22
The Procter & Gamble Company (NYSE:PG) will webcast a discussion of its second quarter earnings results on January 22, 2026, beginning at 8:30 a.m. ET.
By Procter & Gamble · Via Business Wire · December 19, 2025
The Best Stocks to Invest $1,000 in Right Nowfool.com
If you are looking for interesting investments, here's a Dividend King, a turnaround, and a reliable dividend ETF for your perusal.
Via The Motley Fool · December 19, 2025
2 Profitable Stocks to Consider Right Now and 1 We Turn Down
Even if a company is profitable, it doesn’t always mean it’s a great investment. Some struggle to maintain growth, face looming threats, or fail to reinvest wisely, limiting their future potential.
Via StockStory · December 18, 2025
Want $10,000 in Passive Income? This Vanguard ETF Could Be Your Ticket to Making It Happen.fool.com
Investors would need to have over $330,000 invested in this Vanguard dividend ETF.
Via The Motley Fool · December 18, 2025
Global Markets Surge as US Inflation Thaw Ends the 'Data Dark Age'
The global financial landscape underwent a seismic shift on December 18, 2025, as the release of long-awaited U.S. inflation data triggered a massive relief rally across international markets. After a grueling 43-day federal government shutdown that left investors blind to economic reality—a period now dubbed the "Data Dark
Via MarketMinute · December 18, 2025
The Great Rotation: Small-Cap Growth Surges as Investors Ditch Defensive Safety for Post-Fed Gains
The financial markets are witnessing a historic "Great Rotation" this December, as the era of defensive posturing and mega-cap concentration appears to be giving way to a broad-based growth rally. Following the Federal Reserve’s third consecutive interest rate cut on December 10, 2025, institutional capital has begun a rapid
Via MarketMinute · December 18, 2025
Inflation Relief Sparks Year-End Rally: A Tale of Two Indices as Nasdaq and Dow Diverge
The financial markets breathed a collective sigh of relief on December 18, 2025, as a long-awaited inflation report finally provided clarity to an investment community that had been trading in the dark for weeks. The release of the November Consumer Price Index (CPI) data—delayed by a historic 43-day government
Via MarketMinute · December 18, 2025
The Yield Search: Why Retirees are Swapping Growth for Defense in a Shifting 2025 Market
As of December 18, 2025, the financial landscape is undergoing a significant transformation, forcing retirees to reconsider their high-octane growth strategies in favor of more stable, income-generating assets. Following a year dominated by artificial intelligence speculation and aggressive tech rallies, a mid-December rotation has seen investors pulling capital away from
Via MarketMinute · December 18, 2025
The Emotional Rollercoaster: How Fear and Greed Shape Investor Behavior in Market Downturns
The financial markets, often perceived as bastions of rational decision-making, are, in reality, deeply swayed by the powerful currents of human emotion. As the global economy navigates its inherent cycles, the interplay of fear and greed emerges as a dominant force, particularly during periods of market downturns. This psychological phenomenon
Via MarketMinute · December 17, 2025
Market Turbulence Ahead: Navigating Divergent Monetary Policies and Geopolitical Crosscurrents
As December 2025 draws to a close, global financial markets find themselves in a period of heightened volatility, a complex tapestry woven from disparate central bank strategies, a fragile global economic outlook, and persistent geopolitical tensions. Investors are grappling with significant shifts, most notably a projected interest rate cut by
Via MarketMinute · December 17, 2025
The Market's Shifting Sands: Investor Behavior Points to Risk-Off Pivot Amidst Year-End Selloff
The financial markets are currently experiencing a significant recalibration, with investor behavior data as of December 17, 2025, signaling a distinct "risk-off" posture despite underlying bullish sentiments for the year-end and into 2026. A widespread market-wide selloff is gripping Wall Street, leading to sharp declines across major U.S. indices
Via MarketMinute · December 17, 2025
Investors Rotate Out of Big Tech and AI: A Market Reassessment Underway
As late 2025 draws to a close, a significant recalibration is underway in global financial markets, with investors increasingly rotating capital away from the once-dominant Big Tech and Artificial Intelligence (AI) sectors. This strategic shift marks a departure from the tech-led rallies that have characterized much of the past decade,
Via MarketMinute · December 17, 2025
Wall Street Reels as Market-Wide Selloff Grips Major Indices
As December 17, 2025, draws to a close, Wall Street finds itself in the throes of a significant market-wide selloff, sending shockwaves across global financial markets. Major U.S. indices—the Dow Jones Industrial Average (DJIA), S&P 500, and Nasdaq Composite—have all experienced sharp declines, erasing substantial gains
Via MarketMinute · December 17, 2025
US Inflation Data Looms: A Critical Juncture for Global Stock Markets
Global stock markets are bracing for a pivotal week as crucial US inflation data, particularly the November 2025 Consumer Price Index (CPI), is set to be released. With inflation still hovering above the Federal Reserve's target despite an ongoing easing cycle, investors are keenly awaiting these figures, which are expected
Via MarketMinute · December 17, 2025
S&P 500 Battles to Break Losing Streak Amidst Economic Uncertainty
The S&P 500, a bellwether for the broader U.S. economy, is facing a critical juncture on December 17, 2025, as it attempts to halt a three-day slide that has wiped billions off market valuations. Investors are keenly watching today's trading session, hoping for a rebound that could signal
Via MarketMinute · December 17, 2025