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PG · Procter & Gamble Company

S&P 500 #33 · NYSE

Risiko 2/10 · Staples Anchor · $148.88 ▲ 0.17%

Kennzahlen

  • Price $148.88
  • Market cap $346.7B
  • P/E (ttm) 21.77
  • Div yield 2.93%
  • 52-wk range $137.62 – $167.25
  • Index rank #33 / —

Wichtigste Risiken

  • Organic volume growth weakness in emerging markets (Revenue growth) — LOW
  • Private-label trade-down pressure (Market share) — LOW
  • Commodity input cost volatility (resins, pulp) (Gross margins) — LOW
  • Slower-than-peers EPS growth trajectory (Relative performance) — LOW

Fazit

Procter & Gamble has traded in a tight band over the past year — essentially flat — as its pricing-led growth moderates; a 21x PE, near-3% yield, and 60+ consecutive years of dividend growth make it a bedrock defensive position.

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⚠️ Independent research for a video, not financial advice. Figures from public sources/aggregators, can be stale; risk scores are editorial estimates. Verify before relying on any of it.