The Procter & Gamble Company (PG)
$146.59+1.32%Close
SELLBEAR · day 17
Key stats
Short interest · FINRA settlement 2026-07-31
52-week IV12.4%–38.4%
- Market cap
- $341.3B
- Avg volume
- 9.0M
- Beta
- 0.38
- Div yield
- 2.93%
- P/E (TTM)
- 21.72
- IV-%ile
- 27
- IV ATM
- 19.9%
- Short % float
- 1.17%
- Days to cover
- 3.3
- SI change
- +17.3%
- 1W
- +2.42%
- 1M
- -0.56%
- 3M
- +1.49%
- YTD
- +3.39%
- vs SPY 1W
- +3.61%
- vs SPY 1M
- -3.88%
- vs SPY 3M
- -0.90%
- vs SPY YTD
- -8.37%
Sector peers
Same-sector names ranked by LOPJLB quality proximity · Consumer
- NATRSELLNature's Sunshine Products, Inc.CRISISQ 23$14.30-0.28%
- IMKTASELLIngles Markets, IncorporatedBEARQ 12$85.45+0.60%
- HSYBUYThe Hershey CompanyRECOVERYQ 18$189.94+1.87%
- KOBUYThe Coca-Cola CompanyBULLQ 10$91.99+0.98%
- WILCSELLG. Willi-Food International Ltd.RECOVERYQ 17$27.37-1.83%
- TGTBUYTarget CorporationBULLQ 15$169.89+2.70%
- SFDSELLSmithfield Foods, Inc.CRISISQ 22$22.31+0.27%
- TJXSELLThe TJX Companies, Inc.BEARQ 27$140.71+0.14%
- CHDSELLChurch & Dwight Co., Inc.BULLQ 25$102.53+3.78%
- ROSTSELLRoss Stores, Inc.BEARQ 28$241.52+1.04%
- MDLZBUYMondelez International, Inc.BULLQ 10$64.70+0.39%
- DGSELLDollar General CorporationRECOVERYQ 11$125.33+1.56%
Industry peers
FMP comparable companies · ranked by market cap
- COSTBUYCostco Wholesale Corporation$430.8BRECOVERYQ 24$971.40+2.50%
- KOBUYThe Coca-Cola Company$395.8BBULLQ 10$91.99+0.98%
- PMSELLPhilip Morris International Inc.$298.4BBEARQ 13$191.46+1.72%
- ULBUYUnilever PLC$140.7BRECOVERYQ 11$65.32+1.84%
- CLSELLColgate-Palmolive Company$74.1BBEARQ 18$92.55+1.61%
- KVUESELLKenvue Inc.$37.3BRECOVERYQ -6$19.43+1.94%
- KMBSELLKimberly-Clark Corporation$37.0BBEARQ 9$111.37+1.88%
- CLXBUYThe Clorox Company$13.0BRECOVERYQ 10$107.17+0.45%
- SPBSELLSpectrum Brands Holdings, Inc.$2.0BBEARQ 17$88.34+1.65%
- EPCBUYEdgewell Personal Care Company$1.3BBULLQ 6$28.36-0.74%
Prediction markets
Kalshi · Polymarket · … linked
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FUNDAMENTALS
[SCORES & PROFILE]
- FUND
- 33
- VALUE
- 32
- GROWTH
- 56
- GARP
- 17
- TYPE
- Value / Recovery
Composite of Value · Growth · GARP
ROIC17.9%
REV YoY-
ROE7.3%
EPS YoY-
ROA12.7%
GROSS50
OP23
NET18
[VALUATION]
P/E TTM21.72
P/E FWD-
SECTOR PE-
INDUSTRY PE15.91
P/B6.54
P/FCF-
EV/EBITDA17.58
EV/EBIT-
PEG-
FCF YIELD-
RISK
INT COV-
D/E64.49
ALTMAN Z-
CURR RATIO0.68
ND/EBITDA-
BETA0.38



















