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Procter & Gamble (PG)

158.05
+1.22 (0.78%)
NYSE · Last Trade: Sep 16th, 9:07 PM EDT
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Detailed Quote

Previous Close156.83
Open157.14
Bid158.00
Ask158.38
Day's Range156.89 - 158.39
52 Week Range149.91 - 180.43
Volume6,559,612
Market Cap383.65B
PE Ratio (TTM)24.28
EPS (TTM)6.5
Dividend & Yield4.228 (2.68%)
1 Month Average Volume6,289,231

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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 Storm: Investment Strategies for an Unpredictable 2025
The financial landscape is bracing for a turbulent 2025, as expert consensus points towards a significant uptick in market volatility. This anticipated shift, driven by a complex interplay of global policies, stubbornly high inflation, and persistent geopolitical tensions, signals a departure from recent market dynamics, demanding a proactive and adaptable
Via MarketMinute · September 16, 2025
Global Currency Shake-Up: The Dollar Retreats as Euro and Yen Eye Resurgence
The global financial markets are currently undergoing a significant rebalancing act, with anticipated interest rate cuts by the U.S. Federal Reserve poised to usher in a period of U.S. Dollar weakness. This shift is creating a powerful undertow, strengthening currencies like the Euro and Japanese Yen and setting
Via MarketMinute · September 16, 2025
The Great Divide: Central Banks Chart Divergent Paths as Global Economy Navigates Uneven Waters
In an unfolding saga of global economic strategy, major central banks are poised to embark on distinctly different monetary policy journeys, signaling a significant divergence that could reshape financial markets worldwide. While the U.S. Federal Reserve (Fed) stands on the brink of initiating a series of interest rate cuts,
Via MarketMinute · September 16, 2025
The Silent Squeeze: How Persistent Inflation Widens the Gulf of Inequality
Persistent inflation, a seemingly ubiquitous feature of the global economic landscape, is exacting a heavy toll, particularly on the most vulnerable segments of society. Far from being a uniform economic phenomenon, the current inflationary surge is disproportionately eroding the purchasing power of lower-income households, thereby exacerbating existing inequalities and deepening
Via MarketMinute · September 16, 2025
Colgate Agrees To Show Safe Toothpaste Amounts For Kids After Legal Pressurebenzinga.com
Attorney General Paxton secured a deal with Colgate to ensure kids' toothpaste ads show safe, age-appropriate amounts starting in November 2025..
Via Benzinga · September 16, 2025
The Federal Reserve's Tightrope Walk: Battling Stubborn Inflation Amidst Rate Cut Dilemma
The United States economy finds itself at a critical juncture, grappling with persistent inflationary pressures while the Federal Reserve navigates a delicate path toward potential interest rate adjustments. Recent data on both producer and consumer prices reveal an inflation landscape that, while showing some moderation, remains stubbornly above the central
Via MarketMinute · September 16, 2025
3 Dividend-Paying ETFs to Buy in September Even If the S&P 500 Sells Offfool.com
Dividend-paying growth stocks and covered call ETFs provide opportunities to generate income even in a declining stock market.
Via The Motley Fool · September 16, 2025
The Great Divergence: U.S. Inflation Stubbornly Holds Above Global Trends Amid Domestic Policy Push
The global economic landscape is witnessing a notable divergence in inflationary pressures, with much of the world experiencing a moderation in price increases, while the United States grapples with stubbornly high inflation rates. This disparity is not merely a cyclical anomaly but a consequence of distinct domestic policies, particularly tariffs
Via MarketMinute · September 15, 2025
U.S. Economic Downturn or Global Contraction: A Looming Question for 2025
The financial world is currently grappling with a pivotal question: Is the United States headed for an economic recession, or is a broader global contraction on the horizon? Expert opinions are deeply divided, with some forecasting a relatively benign year for the U.S. while others warn of significant downturns
Via MarketMinute · September 15, 2025
A Gathering Storm: U.S. Economy Grapples with Recessionary Headwinds
The United States economy is facing an increasingly complex and concerning confluence of risk factors, raising the specter of a looming recession. A deteriorating labor market, persistently high inflation, and the ongoing, disruptive impact of trade tariffs are interacting in ways that significantly elevate economic uncertainty for businesses, consumers, and
Via MarketMinute · September 15, 2025
Stalling Job Market Rings Alarm Bells: August Employment Data Signals Economic Headwinds and Intensified Rate Cut Expectations
The latest U.S. employment report for August 2025 has sent a palpable chill through financial markets and economic forecasts, confirming a significant deceleration in the nation's labor market. Following a rare job contraction in June—the first monthly decline in nonfarm jobs since December 2020—the unemployment rate has
Via MarketMinute · September 15, 2025
Inflation's Tug-of-War: CPI, PCE, and the Fed's Elusive 2% Target into 2026
The battle against inflation continues to define the economic narrative, as the Federal Reserve grapples with persistent price pressures that remain stubbornly above its long-term 2% target. A critical divide exists in how this inflation is measured – through the widely cited Consumer Price Index (CPI) and the Federal Reserve's preferred
Via MarketMinute · September 15, 2025
Federal Reserve's Unexpected September Hold: A Looming Market Shock and an Estimated 8% S&P 500 Plunge
Financial markets are currently on edge, grappling with the looming possibility of a significant shock: an unexpected decision by the Federal Reserve to forgo a widely anticipated interest rate cut in September 2025. This deviation from market consensus, which largely projects a 25-basis-point reduction, could trigger a sharp negative reaction
Via MarketMinute · September 15, 2025
September's Shadow: Will the Notorious 'September Effect' Offer Bargains or Bring Bigger Bears to Wall Street?
As autumn leaves begin to fall, a familiar chill often descends upon the financial markets, not just in temperature but in investor sentiment. September has historically earned a notorious reputation among traders and analysts as the weakest month for equities, a phenomenon widely dubbed the "September Effect." This recurring statistical
Via MarketMinute · September 15, 2025
The Great Divide: Why Main Street's Gloom Can't Dent Wall Street's Bloom
The American economy is currently caught in a perplexing paradox: while the nation's stock market soars to unprecedented heights, a deep-seated pessimism pervades the sentiment of the average U.S. consumer regarding future economic conditions. This stark disconnect presents a formidable challenge for policymakers, investors, and businesses alike, signaling a
Via MarketMinute · September 12, 2025
Inflation's Persistent Shadow: A Global Tightrope Walk for Central Banks
Persistent price rises, particularly in the United Kingdom and the United States, are casting a long shadow over global financial markets, fundamentally reshaping interest rate expectations, influencing the cautious policies of central banks, and contributing to a palpable sense of market volatility. While the US Federal Reserve appears to be
Via MarketMinute · September 12, 2025
Navigating the Storm: Diversification and Hedging Amidst Unprecedented Market Volatility
The global financial landscape is currently grappling with a potent concoction of heightened market instability, pervasive policy uncertainty, and an escalating array of geopolitical events. These formidable forces are collectively reshaping investment strategies and underscoring the critical need for robust diversification and strategic hedging within portfolios. As investors navigate these
Via MarketMinute · September 12, 2025
The Enduring Allure of Dividends: Blue-Chip Stocks as a Bedrock for Income and Growth
In an ever-fluctuating financial landscape, where market volatility and economic uncertainties often dominate headlines, the timeless appeal of dividend-paying stocks continues to shine as a classic and dependable strategy for investors. Particularly, an investment focus on established blue-chip companies, renowned for their stability and financial fortitude, offers a compelling pathway
Via MarketMinute · September 12, 2025
The Rate Cut Conundrum: Is the Market Overly Optimistic, or Are Economic Headwinds on the Horizon?
Financial markets are currently abuzz with an almost unwavering conviction: interest rate cuts are coming, and soon. This widespread optimism, particularly concerning the U.S. Federal Reserve, has propelled equity markets to new highs and driven bond yields down. Investors are eagerly pricing in multiple rate reductions, anticipating a much-needed
Via MarketMinute · September 11, 2025
The Federal Reserve's Tightrope Walk: Navigating Sticky Inflation and a Softening Labor Market
The financial markets are abuzz following the latest economic reports, which present a challenging dual narrative of persistent inflation and a noticeably weakening labor market. This intricate interplay is forcing the Federal Reserve into a precarious balancing act, with implications that ripple through public companies and the broader economy. Recent
Via MarketMinute · September 11, 2025
The Slow March of Dedollarization: Are We Witnessing a Paradigm Shift?
The U.S. dollar's long-standing reign as the undisputed king of global finance is facing its most significant challenge in decades. A concerted effort by several nations and economic blocs to reduce their reliance on the greenback, a process known as dedollarization, is gaining momentum, prompting fervent debate among economists
Via MarketMinute · September 10, 2025
The Yuan's Ascendant Arc: Beijing Fuels Global Dedollarization
The global financial landscape is undergoing a profound transformation as the Chinese Yuan (RMB) increasingly asserts its presence in international trade and finance, subtly but steadily chipping away at the long-standing dominance of the U.S. dollar. This calculated ascent, driven by Beijing's strategic policies and amplified by a shifting
Via MarketMinute · September 10, 2025
Tariffs: The Hidden Tax Silently Eroding American Pockets
The United States is currently navigating an economic landscape increasingly shaped by tariffs, which function as a hidden tax on imported goods, directly contributing to higher prices for consumers and businesses across the nation. This mechanism, while often touted as a tool for protecting domestic industries or rebalancing trade, has
Via MarketMinute · September 10, 2025
Tariffs' Tightening Grip: A Looming Threat to U.S. Prosperity and Household Wallets
The shadow of escalating tariffs looms large over the American economy, threatening to significantly curtail long-run U.S. Gross Domestic Product (GDP) and depress average wages, with middle-income households projected to bear the brunt through substantial lifetime income losses. While proponents argue for revenue generation and protection of domestic industries,
Via MarketMinute · September 10, 2025
Cost of Living Crisis Overtakes Health as America's Top Concern in 2025
2025 has marked a pivotal shift in the American psyche, as the pervasive and relentless rise in the cost of living has officially eclipsed health-related anxieties to become the nation's foremost concern. From the grocery aisle to housing markets, the financial squeeze is a daily reality for millions, reshaping household
Via MarketMinute · September 10, 2025