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Procter & Gamble (PG)

149.69
+0.92 (0.62%)
NYSE · Last Trade: Oct 30th, 2:24 PM EDT
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Detailed Quote

Previous Close148.77
Open149.47
Bid149.66
Ask149.70
Day's Range149.39 - 150.80
52 Week Range146.96 - 180.43
Volume3,243,864
Market Cap363.36B
PE Ratio (TTM)21.85
EPS (TTM)6.9
Dividend & Yield4.228 (2.82%)
1 Month Average Volume7,417,873

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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

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
S&P 500: Decoding the Daily Market Pulse on October 29, 2025
As the trading day of October 29, 2025, draws to a close, investors and analysts alike are keenly focused on the S&P 500, the bellwether index for the U.S. stock market. Representing 500 of the largest publicly traded companies, its daily movements offer a critical snapshot of investor
Via MarketMinute · October 29, 2025
Market Mania: Soaring Investor Confidence Propels Global Indices to Uncharted Heights
As October 29, 2025, dawns, financial markets are awash with an extraordinary wave of investor confidence, a sentiment so potent it is propelling major global indices to unprecedented record highs. This pervasive bullishness, underpinned by a potent cocktail of robust corporate earnings, groundbreaking technological innovation, and supportive economic policies, has
Via MarketMinute · October 29, 2025
Navigating the Financial Tides: An Investor's Timeless Guide to Bull and Bear Markets
In the dynamic world of financial markets, two iconic figures dominate the landscape: the Bull and the Bear. These powerful symbols represent the contrasting forces that drive asset prices, investor sentiment, and economic conditions. Understanding the characteristics, historical precedents, and strategic implications of bull and bear markets is not merely
Via MarketMinute · October 29, 2025
Fed Navigates Economic Crosscurrents: Rate Cut Anticipated Amidst Inflation and Softening Labor Market
As the Federal Reserve approaches its highly anticipated October 28-29, 2025, Federal Open Market Committee (FOMC) meeting, financial markets are on tenterhooks, meticulously dissecting a complex tapestry of economic indicators. Investors are scrutinizing every data point, from stubborn inflation figures to a visibly softening labor market and mixed signals from
Via MarketMinute · October 29, 2025
Wayfair: A Way Good Stock to Buy and Hold for 2026marketbeat.com
Via MarketBeat · October 29, 2025
Financial Horror Stories Vol. 4: Grave Financial Robbingfool.com
That chill in the air tells us that it's that season again.
Via The Motley Fool · October 28, 2025
Global Central Banks Caught in a Storm: Persistent Inflation and Political Pressure Challenge Market Stability
As of late 2025, global central banks find themselves in an increasingly precarious position, navigating the treacherous waters of persistent inflation and mounting political pressure. This convergence of economic and political forces is profoundly influencing monetary policy decisions, challenging the very independence of these institutions, and injecting significant uncertainty into
Via MarketMinute · October 28, 2025
Federal Reserve's Rate Cut: A Global Economic Ripple Effect
The financial world is abuzz with the Federal Reserve's highly anticipated interest rate decision, with markets largely pricing in a 25-basis-point reduction in October 2025, following an earlier cut in September. This move, driven by signs of a moderating U.S. economy and a softening labor market despite lingering inflation
Via MarketMinute · October 28, 2025
Cooling US Job Market Paves Way for Fed Rate Cuts Amidst Economic Uncertainty
The U.S. job market is exhibiting undeniable signs of a significant slowdown, a trend that is profoundly influencing the Federal Reserve's monetary policy trajectory. Recent data, as of October 28, 2025, points to a substantial cooling, with job growth figures being revised downwards and unemployment ticking upwards. This shift
Via MarketMinute · October 28, 2025
Consumer Staples Stumble as Growth Sectors Surge: A Sign of Shifting Tides in the S&P 500
October 28, 2025, marked a notable divergence in the S&P 500, as the Consumer Staples sector experienced a 0.33% decline, standing out as one of the few laggards on a day when growth-oriented sectors celebrated significant surges. This underperformance hints at a broader rotation of investor capital, suggesting
Via MarketMinute · October 28, 2025
Navigating the Inflationary Current: A Guide for Investors in Late 2025
As October 2025 draws to a close, the specter of inflation continues to cast a long shadow over global financial markets, presenting both challenges and opportunities for investors. While recent data suggests a slight moderation, the annual inflation rate in the United States remains stubbornly above the Federal Reserve's target,
Via MarketMinute · October 28, 2025
Federal Reserve Convenes: Markets Brace for Expected Rate Cut Amidst Economic Nuances
Washington D.C. – October 28, 2025 – The financial world is holding its breath as the U.S. Federal Reserve's Federal Open Market Committee (FOMC) commenced its crucial two-day policy meeting today, with a highly anticipated interest rate decision slated for tomorrow, October 29, 2025. This gathering comes at a pivotal
Via MarketMinute · October 28, 2025
Worried About a Stock Market Sell-Off? Consider These 5 Dow Jones Dividend Stocks For 2026.fool.com
Dow Jones dividend stocks can be great buys for risk-averse investors looking for reliable passive income.
Via The Motley Fool · October 28, 2025
3 Reasons to Buy Coca-Cola Stock Like There's No Tomorrowfool.com
Coca-Cola doesn't go on sale very often, so when you can get a fair price, it is probably worth jumping in to buy.
Via The Motley Fool · October 28, 2025
Stubborn Inflation Forces Central Banks into a Delicate Balancing Act
Global financial markets are bracing for a pivotal week as persistent inflation data continues to challenge central bank strategies, particularly regarding interest rates. As of October 27, 2025, a clear divergence is emerging among major monetary authorities, with some poised for further rate cuts to stave off economic slowdowns, while
Via MarketMinute · October 27, 2025