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Procter & Gamble Company

$PGConsumer Defensive Save PG

XNYS · Household & Personal Products

Last stored close · Sep 18, 2026

Close · Sep 18, 2026

$146.39-0.79%

The live price is free with an account

Model Target

available with Pro

Implied upside

vs the model target

Valuation methods

the methods behind the target

46/100

Moderate

QUALITY55VALUE11TECH63RISK64SENT48
Quality & growth55
Valuation11
Technical63
Risk64
Sentiment Signal48

weighted blend of the five model families · nightly cross-sectional scoring · the Sentiment Signal breathes intraday

Procter & Gamble Company scores 46 out of 100 overall, which we rate moderate. Risk is its strongest area and Valuation its weakest.

Computed summary · a narrated read appears after the next narration pass

What helps

  • Technical
  • Quality & growth
  • Risk

What to watch

  • Valuation
  • Sentiment Signal

AI narration of the model output · research, not investment advice · Sep 18, 2026, 20:54 UTC

Since its founding in 1837, Procter & Gamble has become one of the world's largest consumer product manufacturers, with annual sales of nearly $85 billion. It operates with a lineup of leading brands, including more than 20 that generate annual global sales of more than $1 billion each, such as Tide laundry detergent, Charmin toilet paper, Pantene shampoo, and Pampers diapers. Sales outside its home turf represent just more than half of the firm's consolidated total.

#34 by market cap in our coverage · ~104,000 employees · Listed 1950-03-22 · us.pg.com

Price history

PG · 260 stored daily closes · Sep 8, 2025Sep 18, 2026-7.9% over the series
$140.00$145.00$150.00$155.00$160.00$165.00Sep 8, 2025Jan 9, 2026May 15, 2026Sep 18, 2026

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Members switch between 1D, 1M, 6M, 1Y, 2Y and 5Y and see the live price. Signed out, this is the one-year stored series the technicals below are computed from.

Market intelligence

Peer position

Consumer Defensive

#32 / 55sector rank by TickerWhale Score

TickerWhale Score 46 vs sector average 47.7 (-1.7)

Revenue growth (industry)Top 50%

Gross margin (industry)Top 70%

Return on equity (industry)Top 40%

P/E (industry)Cheaper than 56%

Compare with peers →

Technical analysis

our read · what classic indicators say

63/100Positive vs universe

Ranks 63rd of 100 covered names on our technical composite — the composite itself scores 54/100 · 25% of the TickerWhale Score

Neutral

2 buy · 2 sell · 4 neutral of 8 votes

Textbook signals on this stock alone — not part of the TickerWhale Score

TickerWhale rates PG's technical setup middling — 63rd percentile of the covered universe. Classic chart indicators lean neutral — they read this stock on its own over days, where our score ranks it against every covered name over months, so the two often part company.

1 / 9constructive

  • vs 200-day-0.7%
  • vs 50-day+0.2%

Mixed

  • RSI (14)52 · neutral
  • Stochasticsell
  • CCIneutral
  • Williams %Rneutral

Mixed

  • ADX (14) trend strength9· weak trend
  • MACD (12,26,9)buy(histogram 0.280)

8 votes · 9 moving averages count as one · Bollinger %B never votes

Strong Sell
Sell
▲ Neutral
Buy
Strong Buy

Moving averages (9) agree on sell 1 buy vs 2 sell — and carry one vote between them.

Oscillators (7) vote individually: 2 buy · 1 sell · 4 neutral.

Result2 buy vs 2 sell of 8 votes = Neutral. Neutral votes never decide the verdict.

Across all 17 tracked indicators: 3 buy · 11 neutral · 3 sell — a different count from the 8 votes above, because the 9 averages are counted individually here · true range basis · data as of Sep 18, 2026

Fundamentals & valuation

2026-09-18 · revised_latest
  • P/E (TTM)22.4
  • P/S (TTM)4.1
  • P/B6.5
  • EV/EBITDA
  • EV/Sales4.3
  • PEG13.21
  • Gross margin50.2%
  • Net margin18.1%
  • ROE29.0%
  • Debt/Equity0.63
  • Revenue growth (YoY)3.3%
  • EPS growth (YoY)1.7%

Green favourable · red stretched — multiples and D/E vs industry peers, margins and growth vs absolute thresholds.

Market capitalisation — $353.2B

Fundamentals history

Reported statement totals across recent periods.

Jun '26 vs Jun '25:Revenue +3.3%Net income +0.5%EPS +1.7%FCF +7.9%
MetricJun '26Jun '25Jun '24
Revenue$87.0B$84.3B$84.0B
Gross profit$43.7B$43.1B$43.2B
Operating income$19.7B$20.5B$18.5B
Net income$16.0B$16.0B$14.9B
EPS (diluted)$6.62$6.51$6.02
Free cash flow$15.1B$14.0B$16.5B
Cash$9.9B$9.6B$9.5B
Total debt$34.1B$34.5B$32.5B
Equity$54.1B$52.0B$50.3B
Net debt$24.2B$25.0B$23.0B
Debt / equity0.630.660.65
Liabilities / assets0.570.580.59

Fundamentals are stored revised/latest (ADR-009): each period reflects the most recent vendor refresh, NOT point-in-time as-reported values. Do not use this series to claim what was known on a past date.

Model Target

Model Target is a Pro feature

Scores, factors and technicals stay free. The model's price target is part of TickerWhale Pro.

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Peers

CompanyScorePulseP/EP/E fwdP/BEV/SalesPriceChgEstimateUpsideRev. gr.
PGCurrentProcter & Gamble Company465422.46.54.3$146.39-0.79%+3.3%
KOCoca-Cola Company687426.610.58.2$88.25+0.22%+6.5%
LAURLaureate Education665115.74.42.8$36.13+0.70%+17.9%
DARDarling Ingredients647117.62.02.2$65.36-1.70%+14.8%
ELEstee Lauder Cos. Inc -6351187.79.02.5$93.43-0.46%+5.1%
IPARInter Parfums636521.54.12.4$112.51+1.60%+2.9%

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