The Procter & Gamble Company ( PG ) Nowojorska Giełda Papierów Wartościowych

Cena: 158.78 ( 0.32% )

Aktualizacja 07-24 21:59
Nowojorska Giełda Papierów Wartościowych
Branża: Household & Personal Products

Notowania:


Opis firmy:

Firma Procter & Gamble zapewnia markowe towary pakowane konsumentów na całym świecie. Działa przez pięć segmentów: piękno; Pielęgnacja; Opieka zdrowotna; Tkanina i opieka domowa; oraz opieka nad dzieckiem, kobiecą i rodzinną. Segment urody oferuje odżywki, szampony, pomoce stylizacyjne oraz zabiegi pod głową i ramionami, esencjami ziołowymi, Pantene i radościami; oraz antyperspiranty i dezodoranty, osobiste oczyszczanie i produkty do pielęgnacji skóry pod markami Olay, Old Spice, SafeGuard, Secret i SK-II. Segment pielęgnacyjny zapewnia produkty i urządzenia do pielęgnacji golenia pod nazwami marek Braun, Gillette i Venus. Segment opieki zdrowotnej oferuje szczoteczki do zębów, pasty do zębów i inne produkty do pielęgnacji jamy ustnej pod nazwami marki Crest i Oral-B; oraz przewód pokarmowy, szybka diagnostyka, oddech, witaminy/minerały/suplementy, łagodzenie bólu i inne osobiste produkty opieki zdrowotnej pod markami metamucilu, neurobionu, pepto-bismolu i vicks. Segment tkanin i opieki domowej zapewnia wzmacniacze tkanin, dodatki do prania i detergenty pralni pod markami Ariel, Downy, Gain i Tide; oraz opieka powietrzna, pielęgnacja naczyń, P&G Professional oraz produkty do pielęgnacji powierzchni pod markami Cascade, Dawn, Fairy, Febreze, Mr. Clean i Swiffer. Segment Baby, Feminine & Family Care oferuje chusteczki dla niemowląt, tapione pieluchy i spodnie pod markami LUVS i PAMPERS; Produkty nietrzymania moczu dorosłych i produkty do pielęgnacji żeńskiej pod zawsze, zawsze dyskretne i Tampax; oraz ręczniki papierowe, tkanki i papiery toaletowe pod markami nagród, Charmin i Puffs. Firma sprzedaje swoje produkty przede wszystkim za pośrednictwem masowych towarów, handlu elektronicznego, sklepów spożywczych, sklepów z klubami członkowskimi, sklepami z narkotykami, domów towarowych, dystrybutorów, hurtowników, sklepów specjalnych, sklepów o wysokiej częstotliwości, aptekach, sklepach elektronicznych i profesjonalnych kanałach, a także bezpośrednio konsumentom. Firma Procter & Gamble została założona w 1837 roku i ma siedzibę w Cincinnati, Ohio.

Informacje o spółce:
Sektor: Dobra konsumpcyjne – niecykliczne
Branża: Household & Personal Products
Zatrudnienie: 108 000
Giełda: Nowojorska Giełda Papierów Wartościowych
Ilość akcji w obrocie: 99.9407
Ilość akcji: Brak danych
Debiut giełdowy: 1978-01-13
WWW: https://www.pginvestor.com
CEO: Mr. Jon R. Moeller
Adres: One Procter & Gamble Plaza
Siedziba: 45202 Cincinnati
ISIN: US7427181091
Wskaźniki finansowe
Kapitalizacja (USD) 372 277 783 900
Aktywa: 122 639 000 000
Cena: 158.78
Wskaźnik Altman Z-Score: 6.0
Stabilny (niskie ryzyko bankructwa)
Dywidenda: 4
P/E: 25.2
Ilość akcji w obrocie: 100%
Średni wolumen: 8 188 970
Ilość akcji 2 344 540 000
Wskaźniki finansowe
Przychody TTM 84 346 000 000
Zobowiązania: 71 196 000 000
Przedział 52 tyg.: 151.9 - 180.43
Piotroski F-Score: 6
Umiarkowany (średnia jakość finansowa)
EPS: 6.3
P/E branży: 21.1
Beta: 0.414
Raport okresowy: 2025-07-29
WWW: https://www.pginvestor.com
Zarząd
Imie i Nazwisko Stanowisko Wynagrodzenie Rok urodzenia
Mr. Jon R. Moeller President, Chief Executive Officer & Chairman of the Board 6 718 062 1964
Mr. Shailesh G. Jejurikar Chief Operating Officer 3 044 239 1967
Ms. Ma. Fatima de Vera Francisco Chief Executive Officer of Baby, Feminine & Family Care 2 744 506 1969
Ms. R. Alexandra Keith Chief Executive Officer of Beauty & Executive Sponsor of Corporate Sustainability 2 555 599 1968
Mr. Andre Schulten Chief Financial Officer 2 548 841 1971
Mr. John T. Chevalier Senior Vice President of Investor Relations 0 0
Mr. Damon D. Jones Chief Communications Officer 0 1976
Mr. Ken Patel Chief Ethics & Compliance Officer and Chief Patent Counsel 0 0
Ms. Susan Street Whaley Chief Legal Officer & Secretary 0 1974
Mr. Matthew W. Janzaruk Senior Vice President & Chief Accounting Officer 0 1974
Lista ETF z ekspozycją na akcje The Procter & Gamble Company
Symbol ETF Ilość akcji Wartość
VOO 66 689 593 11 329 894 954
SPY 28 350 662 4 570 480 189
IVV 27 950 137 4 485 996 933
SCHI 26 740 000 25 172 019
VTV 20 607 265 3 500 968 250
VECP.L 13 885 000 11 743 412
VECA.DE 13 885 000 13 597 420
VECP.DE 13 885 000 13 597 420
VECA.L 13 885 000 11 743 412
VIG 12 608 909 2 142 127 550
VYM 8 993 472 1 527 900 958
XLP 8 425 142 1 356 647 531
VDC 6 013 125 1 021 569 806
VGPA.L 5 627 000 5 295 750
VUCE.DE 5 627 000 4 510 390
VCPA.L 5 627 000 3 896 348
VDCP.L 5 627 000 5 295 750
VUCP.DE 5 627 000 4 510 390
VDPA.L 5 627 000 5 295 750
VUCP.L 5 627 000 3 896 348
GSPX.L 5 490 410 881 210 729
CSPX.L 5 490 410 881 210 729
CSPX.AS 5 490 410 881 210 729
CSP1.L 5 490 410 881 210 729
SXR8.DE 5 490 410 881 210 729
CSSPX.MI 5 490 410 881 210 729
DIA 5 449 768 874 444 257
IWD 5 253 030 843 111 389
QUAL 4 993 638 803 126 799
VDCA.L 4 597 000 4 498 672
VUSC.L 4 597 000 3 309 898
VDUC.L 4 597 000 4 498 672
VSCA.L 4 597 000 3 309 898
VUSC.DE 4 597 000 3 831 519
DGRO 4 530 844 727 200 462
SPHQ 4 255 222 684 367 354
IVE 3 754 508 602 598 487
IWDG.L 3 481 924 558 848 867
IWDD.AS 3 481 924 558 848 867
IWDA.AS 3 481 924 558 848 867
SWDA.L 3 481 924 558 848 867
IWLE.DE 3 481 924 558 848 867
IWDA.L 3 481 924 558 848 867
SWDA.MI 3 481 924 558 848 867
EUNL.DE 3 481 924 558 848 867
SPLG 3 315 203 526 521 545
VUSA.AS 3 177 151 459 718 858
VUSA.MI 3 177 151 459 718 858
VUAA.MI 3 177 151 459 718 858
VUSA.L 3 177 151 397 132 969
VUAA.L 3 177 151 539 766 183
VUSD.L 3 177 151 539 766 183
VUSA.DE 3 177 151 459 718 858
DGRW 2 820 514 452 071 983
V3GP.L 2 780 000 2 731 490
V3GS.L 2 780 000 2 731 490
VV 2 723 500 462 695 415
SPYV 2 546 837 409 709 717
GIGB 2 449 000 2 345 293
SCHX 2 339 774 376 305 852
JEPI 2 051 517 326 847 688
IUSV 1 900 838 305 084 538
USMV 1 768 347 284 403 248
IWB 1 682 572 270 052 869
DYNF 1 655 200 266 205 816
DFAC 1 403 318 225 695 633
IYK 1 359 594 218 214 787
MGV 1 302 399 221 264 566
OEF 1 292 621 207 465 714
LSPX.L 1 267 359 199 634 389
SP5H.PA 1 267 359 199 634 389
LYP2.DE 1 267 359 199 634 389
LSPU.L 1 267 359 199 634 389
SP5L.L 1 267 359 199 634 389
ETFSP500.WA 1 267 359 199 634 389
6TVM.DE 1 267 359 199 634 389
SCHV 1 199 196 192 866 692
VAGP.L 1 174 000 1 135 074
VAGS.L 1 174 000 1 135 074
VGWL.DE 1 137 504 164 591 497
VWRP.L 1 137 504 142 184 095
VWRL.L 1 137 504 142 184 095
VWCE.DE 1 137 504 164 591 497
VWRD.L 1 137 504 193 250 554
DIVO 1 129 625 181 677 588
SDY 1 125 281 181 638 156
SCHJ 1 010 000 995 452
VONV 986 718 167 633 521
NOBL 956 608 153 851 264
FTCS 934 100 149 923 050
FNDX 926 855 149 066 089
FSTA 917 347 147 876 336
RSP 883 419 142 080 277
IUSA.L 853 527 136 991 134
IUSA.AS 853 527 136 991 134
IUSA.DE 853 527 136 991 134
IDUS.L 853 527 136 991 134
ESGU 742 093 119 105 873
FDVV 707 706 114 082 207
DUHP 705 631 113 486 633
XLG 694 768 111 739 537
USMC 663 318 106 926 861
VONG 650 795 110 563 562
DFUS 629 561 101 252 295
IWV 623 553 100 080 327
ACWI 618 936 99 339 222
BBAG 617 000 620 383
IUSQ.DE 590 235 94 732 729
SSAC.L 590 235 94 732 729
ISAC.L 590 235 94 732 729
VOOV 543 703 92 369 702
JQUA 532 213 84 792 175
SPLV 522 447 84 025 151
ESGV 513 570 87 522 599
VGWD.DE 512 956 74 222 328
VHYA.L 512 956 87 146 094
VHYD.L 512 956 87 146 094
VHYL.AS 512 956 74 222 328
VGWE.DE 512 956 74 222 328
VHYG.L 512 956 64 117 739
VHYL.L 512 956 64 117 739
IOO 494 315 79 337 599
GSLC 438 762 70 566 092
SPTM 432 037 69 340 728
DLN 427 083 68 452 863
XSP.TO 396 902 86 913 542
MGC 394 869 67 084 294
AMEW.DE 392 400 61 810 848
CW8G.L 392 400 61 810 848
CW8U.L 392 400 61 810 848
CW8.PA 392 400 61 810 848
VONE 363 875 61 818 723
GCOR 359 000 320 329
PRF 352 248 56 652 045
PBUS 350 485 56 368 502
6AQQ.DE 348 173 54 844 210
ANXU.L 348 173 54 844 210
ANXG.L 348 173 54 844 210
HNDX.DE 348 173 54 844 210
ANX.PA 348 173 54 844 210
IWX 346 222 55 568 694
DFAU 343 244 55 203 932
IVV.AX 324 314 79 901 265
2B7D.DE 321 372 51 580 271
ICSU.L 321 372 51 580 271
IUCS.L 321 372 51 580 271
QDF 320 804 50 533 046
KNG 318 136 51 060 828
IBCF.DE 317 486 50 956 558
IUSE.L 317 486 50 956 558
JREU.L 300 806 47 494 259
JRUD.L 300 806 47 494 259
JRUD.DE 300 806 47 494 259
JURE.L 300 806 47 494 259
JREU.DE 300 806 47 494 259
JUHE.DE 300 806 47 494 259
XUS.TO 300 613 65 828 219
SCHJ 300 000 294 092
AWESGS.SW 297 392 47 829 626
CGUS 292 891 47 214 029
IS3Q.DE 285 046 45 749 862
IWFQ.L 285 046 45 749 862
IWQU.L 285 046 45 749 862
IUQA.L 252 039 40 452 283
QDVB.DE 252 039 40 452 283
IUQD.L 252 039 40 452 283
IUQF.L 252 039 40 452 283
VGVF.DE 246 155 35 617 474
VDEV.L 246 155 41 819 272
VHVE.L 246 155 41 819 272
VGVE.DE 246 155 35 617 474
VEVE.L 246 155 30 768 530
SXR0.DE 243 115 39 019 931
WMVG.L 243 115 39 019 931
MVOL.L 243 115 39 019 931
IQQ0.DE 243 115 39 019 931
UEEH.DE 243 115 39 019 931
MVSH.SW 243 115 39 019 931
MINV.L 243 115 39 019 931
KXI 237 323 38 090 333
IS31.DE 237 225 38 074 572
SPMD.L 237 225 38 074 572
SPMV.L 237 225 38 074 572
MVUS.L 237 225 38 074 572
IBCK.DE 237 225 38 074 572
BBAG 235 000 210 495
FVD 234 616 37 655 868
GGRG.L 226 263 36 283 534
GGRP.L 226 263 36 283 534
GGRB.L 226 263 36 283 534
GGRW.L 226 263 36 283 534
GGRE.MI 226 263 36 283 534
GGRA.L 226 263 36 283 534
WTEM.DE 226 263 36 283 534
UBUX.DE 223 761 35 987 521
SSO 222 998 35 864 768
JPEF 220 882 35 190 920
IOO.AX 220 125 54 232 307
FELC 218 178 35 170 293
BBUS 217 920 34 719 014
CIND.L 217 284 34 874 055
SXRU.DE 217 284 34 874 055
CSINDU.SW 217 284 34 874 055
DSTL 214 409 34 483 399
PWV 213 816 34 388 027
OMFL 211 076 33 947 353
AVUS 196 018 31 525 574
EXI2.DE 194 251 31 177 274
UBUT.DE 190 712 30 672 164
UC99.L 190 712 30 672 164
USCA 190 420 30 625 248
UB0A.L 190 221 30 593 194
SPYI 189 157 30 422 120
VTHR 184 011 31 261 628
ACWV 182 366 29 329 923
LRGF 179 805 28 858 691
VNRT.L 178 978 22 371 635
VDNR.L 178 978 30 406 572
VNRA.DE 178 978 25 897 277
VNRG.L 178 978 22 371 635
VNRA.L 178 978 30 406 572
VNRT.DE 178 978 25 897 277
SCHK 176 305 28 067 404
SPXL 174 650 28 153 580
JGRE.L 172 228 27 193 078
JREG.L 172 228 27 193 078
JRDG.L 172 228 27 193 078
JREG.DE 172 228 27 193 078
CSH2.PA 170 406 26 842 353
CM9.PA 166 490 26 225 504
RWL 164 388 26 438 522
SUSA 159 308 25 568 914
FELV 158 958 25 624 029
URTH 158 242 25 397 791
USCL 155 133 24 898 846
I50D.AS 153 385 24 383 613
I500.L 153 385 24 383 613
I500.AS 153 385 24 383 613
PTLC 147 619 23 741 563
UETW.DE 142 002 22 838 250
UBU7.DE 142 002 22 838 250
XYLD 141 948 22 359 648
UBU3.DE 139 957 22 509 248
UC03.L 139 957 22 509 248
UC04.L 139 957 22 509 248
QUS 135 105 21 672 416
OUSA 126 590 20 359 469
JAVA 126 097 20 089 774
ACIO 126 002 20 264 901
DGRB.L 125 507 20 126 302
WTDM.DE 125 507 20 126 302
DGRA.L 125 507 20 126 302
DGRE.MI 125 507 20 126 302
DGRP.L 125 507 20 126 302
DGRG.L 125 507 20 126 302
DGRW.L 125 507 20 126 302
GSID 116 888 18 799 097
GSUS 116 888 18 799 097
XUU.TO 107 917 23 283 079
UPRO 107 398 17 272 820
WLDL.L 105 858 16 674 752
WLD.PA 105 858 16 674 752
WLDD.L 105 858 16 674 752
WLDH.PA 105 858 16 674 752
LYYA.DE 105 858 16 674 752
DIVB 104 429 16 795 316
XEQT.TO 102 896 22 532 232
DTD 102 466 16 423 250
IYY 100 820 16 181 588
SPYX 100 805 16 123 344
ILCV 96 054 15 416 681
ISDW.L 94 452 15 159 514
ISWD.L 94 452 15 159 514
ISWD.SW 94 452 15 159 514
SPUS 94 249 15 158 066
CSUS.SW 93 496 15 006 082
CSUS.L 93 496 15 006 082
SXR4.DE 93 496 15 006 082
CU1.L 93 496 15 006 082
EQWL 90 596 14 570 554
IWL 89 583 14 378 041
TSPA 86 779 14 742 884
DJD 85 957 13 824 464
USPG.L 84 259 13 551 334
MVEW.L 79 632 12 780 999
MVEW.DE 79 632 12 780 999
MVEC.SW 79 632 12 780 999
QDEF 79 492 12 521 579
GUSA 79 210 12 739 344
IHVV.AX 77 798 19 167 087
SUSL 77 645 12 487 645
QVML 73 865 11 879 707
UEQD.DE 72 738 11 698 380
PFM 67 634 10 877 576
FDLO 66 227 10 675 792
LYMD.DE 65 317 10 288 733
INR.PA 65 317 10 288 733
DCOR 64 996 10 453 306
LGLV 64 518 10 315 840
BBAG 63 000 63 875
UDOW 62 775 10 096 103
BBCB 62 000 60 639
UBU9.DE 61 994 9 970 530
UC13.L 61 994 9 970 530
JGPI.DE 61 489 9 708 498
JEPG.L 61 489 9 708 498
JEPG.SW 61 489 9 708 498
FQAL 61 419 9 900 742
HLAL 61 146 10 540 958
CATH 59 546 9 379 685
FVAL 59 180 9 539 816
XAW.TO 57 342 12 556 750
FTHI 56 179 9 016 729
USPX 55 932 8 969 255
ISPE.L 55 845 8 963 122
EWSP.L 55 845 8 963 122
XDG.TO 53 178 11 644 821
INAA.L 52 385 8 407 870
IQQN.DE 52 385 8 407 870
IDNA.L 52 385 8 407 870
INAA.SW 52 385 8 407 870
ISUS.L 49 834 7 998 397
ISDU.L 49 834 7 998 397
IWLD.AX 49 500 12 195 486
TILT 49 248 7 757 544
SIXH 48 940 0
CV9.PA 48 850 7 694 852
UC07.L 47 773 7 683 404
UBU5.DE 47 773 7 683 404
EPS 46 424 7 440 838
DFSU 46 364 7 456 722
GPIX 46 323 7 450 128
NTSX 46 209 7 406 378
USSG 46 158 7 423 591
ILCB 45 335 7 276 270
WRDEUA.MI 45 279 7 282 150
UC68.L 45 279 7 282 150
UIM7.DE 45 172 7 265 061
EDOW 44 912 7 208 376
EXI3.DE 44 532 7 147 446
DDM 44 351 7 132 971
IGUS.L 42 965 6 895 914
FNDB 42 779 6 815 550
DFVX 41 997 6 754 377
MODL 41 651 6 698 730
INCM 41 610 6 672 579
RSPS 41 466 6 668 976
QDPL 41 343 6 649 194
HAPI 41 236 6 647 243
IWDC.SW 41 121 6 599 956
STRV 41 068 6 604 966
XDU.TO 39 036 8 548 032
FDRR 37 986 6 123 343
ISPY 37 925 6 099 477
QLC 37 200 5 859 744
CRBN 36 825 5 910 341
V3AL.L 35 346 6 004 931
V3AA.L 35 346 6 004 931
WCSS.AS 35 274 5 661 537
3SUE.DE 35 274 5 661 537
EUNA.DE 34 307 3 361 961
FTLS 34 229 0
GLOV 33 756 5 428 977
JHML 33 398 5 373 738
FCPI 32 269 5 201 762
IQSU 32 128 5 167 146
IUSC.SW 31 366 5 034 233
XLSR 30 769 4 927 630
IHWL.AX 30 301 7 465 362
GVUS 30 168 4 851 919
TCHP 30 127 5 118 276
L100.L 29 784 4 691 575
TVAL 29 585 4 769 102
QLV 29 400 4 631 088
IUS 29 314 4 714 570
CCOR 29 192 4 143 473
SPGM 29 086 4 674 238
XWD.TO 28 815 6 226 384
FTC 27 216 4 368 168
IHOO.AX 27 180 6 696 431
GDIV 25 287 4 076 264
FDMO 25 152 4 054 502
CGCV 25 036 4 035 803
IXI.AX 25 034 6 167 668
VSMV 24 470 3 935 510
VALQ 23 754 3 008 983
UC67.L 23 724 3 815 562
UIM6.DE 23 669 3 806 608
VOOL.DE 22 051 3 473 473
LVO.MI 22 051 3 473 473
SHE 22 039 3 528 629
FSWD.L 22 002 3 531 344
IFSW.L 22 002 3 531 344
IS07.DE 22 002 3 531 344
IBCZ.DE 22 002 3 531 344
DMFC.SW 22 002 3 531 344
VFMV 21 995 3 748 387
UBUJ.DE 21 989 3 536 543
KOKU 21 467 3 452 537
XSUS.TO 21 330 4 670 804
XMU.TO 20 646 4 521 023
XVV 20 310 3 266 457
DJIA 20 219 3 184 896
FLRG 20 148 3 247 857
PY 19 699 3 175 478
IWQE.MI 19 566 3 140 366
VSDA 19 062 3 065 741
PSL 18 472 2 970 851
KRMA 18 149 2 858 830
JMOM 17 945 2 858 997
MVEA.DE 17 813 2 858 914
MVEA.L 17 813 2 858 914
HCMT 17 102 2 756 842
GSIG 17 000 16 418
USCHWH.SW 16 315 2 624 004
TSWE.AS 16 202 2 222 576
TSWE.DE 16 202 2 222 576
GSEW 16 038 2 579 391
LRGC 15 732 2 535 998
GGUE.DE 15 724 2 528 968
EUSA 15 690 2 518 276
FXG 15 419 2 474 749
XUH.TO 15 386 2 469 468
R1VL.L 15 191 2 438 155
DOGG 14 746 2 349 332
AVLC 14 598 2 347 796
MFUS 14 031 2 235 418
ADME 13 851 2 227 656
SPXT 13 779 2 216 076
DGT 13 531 2 157 827
GENE.L 13 402 2 155 440
FRGD.L 13 290 2 114 173
FLXX.L 13 290 2 114 173
FLXX.DE 13 290 2 114 173
ESG 13 266 2 089 660
XQLT.TO 12 888 2 822 252
RAFE 12 817 2 042 004
TTAC 12 264 1 631 387
USNZ 12 201 1 962 286
ESGA 11 752 1 509 097
AGQI 11 290 1 812 045
INCE 10 701 1 716 012
IGWD.L 10 694 1 716 463
XDGH.TO 10 688 2 340 463
FLV 10 631 1 516 150
XDUH.TO 10 543 2 308 615
CUD.TO 10 442 2 286 570
DUBS 10 401 1 672 792
QWLD 9 769 1 569 559
CSM 9 038 1 453 581
CFA 8 972 1 442 966
JPUS 8 779 1 398 670
DXUV 8 646 1 390 536
JOET 8 605 1 368 883
AVSU 8 581 1 380 082
OALC 8 466 1 361 586
HUSV 8 082 1 297 161
MBCC 8 076 0
XMW.TO 7 820 1 689 725
FEX 7 592 1 218 516
QDVO 7 571 1 217 643
MCEU.PA 7 413 1 167 695
MJMT.DE 7 413 1 167 695
SPUU 7 338 1 182 885
TOK 7 258 1 164 891
STXD 7 237 1 163 926
WOMN 7 230 1 162 800
CFO 7 090 1 140 284
AUSF 7 028 1 107 050
MIVA.DE 6 884 1 084 367
VLU 6 786 1 092 938
TEQI 6 700 1 138 263
EQAL 6 695 1 076 756
DIVS 6 676 1 086 852
DIVS 6 676 1 094 997
PBP 6 640 1 067 911
YLDE 6 504 1 042 981
DVAL 6 448 1 034 001
LOWV 6 359 1 025 070
UPAD.L 6 298 1 010 816
UPAB.AS 6 298 1 010 816
BBCB 6 000 4 604
WINC.L 5 956 955 973
QARP 5 906 949 861
FFND 5 883 946 162
USFM.L 5 699 916 650
USUE.DE 5 699 916 650
WBIF 5 647 678 031
ONOF 5 606 883 057
FSUS.L 5 395 865 908
IBCY.DE 5 395 865 908
IFSU.L 5 395 865 908
UFSD.L 5 395 865 908
GLOF 5 299 850 489
DIVL 5 118 823 127
WVOL.AX 5 001 1 492 037
AFLG 4 862 780 351
AIEQ 4 581 736 762
LEAD 4 563 733 867
STXG 4 197 675 003
WDMF.AX 4 191 1 032 551
STXV 4 047 650 879
UQLT.L 4 009 644 765
MMTM 3 958 634 336
CDX 3 856 621 541
XMY.TO 3 766 824 786
NULC 3 708 632 362
SIXL 3 705 0
ESGG 3 480 548 169
SIZE 3 345 536 850
SPXN 3 341 537 333
JPGL.L 3 339 527 194
JPGL.DE 3 339 527 194
JPLG.L 3 339 527 194
RSPA 3 318 533 633
XIG.TO 3 313 419 337
FAD 3 206 514 563
UBUV.DE 3 154 507 333
ZECP 3 093 0
SPXE 3 071 493 908
XRLV 3 046 489 888
QIS 2 984 481 005
ROUS 2 893 466 351
XMS.TO 2 823 618 169
QGRO 2 786 336 182
LYPU.DE 2 779 437 748
LAUU.L 2 779 437 748
AMEQ.DE 2 777 437 433
QCEU.PA 2 777 437 433
UBUR.DE 2 689 432 400
PHDG 2 689 432 471
UC95.L 2 689 432 400
UGE 2 659 427 646
IHCB.AX 2 651 401 503
FLSP 2 628 421 426
UDIV 2 626 421 105
XYLG 2 406 378 993
ERNZ 2 367 390 862
QDIV 2 345 369 384
XMAG 2 279 366 531
HDUS 2 237 360 604
XRMI 2 174 342 448
EVUS 2 042 328 414
BBCB 2 000 1 791
BBUS.L 1 944 306 938
BBSU.L 1 944 306 938
BBUS.DE 1 944 306 938
BBDD.L 1 944 306 938
SPXV 1 602 257 649
SHRY 1 488 238 824
FEUS 1 476 232 499
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Wiadomości dla The Procter & Gamble Company
Tytuł Treść Źródło Aktualizacja Link
Procter & Gamble Stock Slips 5% in a Month: Buy the Dip or Stay Wary? PG faces near-term headwinds related to the market issues in Greater China, geopolitical tensions and financial impacts of currency volatility. zacks.com 2025-05-16 11:55:29 Czytaj oryginał (ang.)
Brokers Suggest Investing in P&G (PG): Read This Before Placing a Bet When deciding whether to buy, sell, or hold a stock, investors often rely on analyst recommendations. Media reports about rating changes by these brokerage-firm-employed (or sell-side) analysts often influence a stock's price, but are they really important? zacks.com 2025-05-15 14:31:08 Czytaj oryginał (ang.)
March of Dimes and Pampers® Award Scholarships to Nursing Students ARLINGTON, Va. , May 14, 2025 /PRNewswire/ -- Six exceptional nursing students are being recognized with March of Dimes Nursing Scholarships for their bold commitment to improving the health of moms and babies. prnewswire.com 2025-05-14 14:50:00 Czytaj oryginał (ang.)
Tariffs Aren’t Going to Touch These Stocks Key Points Companies in sectors like consumer staples, real estate, insurance, and telecom—such as Altria (NYSE: MO), Procter & Gamble (NYSE: PG), and Verizon (NYSE: VZ)—are benefiting from limited tariff exposure and strong dividend yields. Dividend income is a key draw, with Verizon yielding around 6% and Altria offering over 7% while maintaining consistent payout growth despite macro uncertainty. These sectors offer stability for investors looking to reduce exposure to geopolitical trade risks, particularly with ongoing China-U.S. tariff tensions. With the markets whipsawing on volatility, tariffs and trade deals now is the best time to meet with a financial advisor to see if you’re on track, or behind with your retirement plans. It only takes a moment, and is completely free. Click here to get started. Watch the Video https://videos.247wallst.com/247wallst.com/2025/05/11-Tariffs-Arent-Going-to-Touch-These-Stocks.mp4 Transcript: [00:00:04] Doug McIntyre: Lee, we’ve got an interesting set of circumstances. [00:00:07] Doug McIntyre: The huge majority of large companies in the United States have some tariff exposure. Yeah, they do. Companies have a lot, a lot of tariff exposure and, and people are, worried sick about owning them. But there is a group of companies where tariff exposure is fairly small, aren’t there? [00:00:27] Lee Jackson: Yeah, there is, and we’ve tried to detail this out to our readers so they could, if they’re attempted to move or shift some of their capital, it’s not a bad idea to look at these. [00:00:38] Lee Jackson: And it’s items you would expect. Of course, it’s real estate Insurance companies are not really exposed to foreign tariffs. consumer staples are not, exposed to foreign service. And, and typically the companies that are in this group, communications companies, AT&T (NYSE: T), Verizon, they’re not subject to a ton of, tariffs by China. [00:01:06] Lee Jackson: And I don’t think a lot of people in China have Verizon. So it’s companies like that. So, and, and, and a lot of these companies, they pay good dividends. they have domestic reduction, less Verizon and [00:01:17] Doug McIntyre: Verizon and AT&T. [00:01:19] Lee Jackson: Yeah. Yeah, Verizon. Well, people have been buying at t over the last year. Its dividend has come down to about 4%, but Verizon pays a 6% dividend. [00:01:30] Lee Jackson: And so that’s a good area to be in. some of the big, insurance companies, Allstate, all those, they pay big, they, they don’t pay dividends as big as Verizon does, but they’re solid dividends. And again, consumer Staples, well, you, you Proctor and Gamble, you have Kimberly Clark (NYSE: KMB). Kimberly Clark makes diapers. [00:01:57] Lee Jackson: I know as a new grandfather, diapers are apparently very well needed. So they, the demand never drops for these.And Coca-Cola (NYSE: KO) falls into that category as a consumer staple, as does your favorite stock, Altria. [00:02:14] Doug McIntyre: I love Altria. [00:02:15] Lee Jackson: I know you do, but it’s, those are all, and, and Altria pays a strong [00:02:19] Doug McIntyre: 7% dividend. [00:02:20] Doug McIntyre: Oh God. Yes. And they’ve got the, they’ve got the cash. They’re, to me, they are the dividend king. The dividend has been raised 55 times in 50 years. [00:02:34] Lee Jackson: They are a dividend king. They, they fit the bill and in their recent earnings report, which was outstanding, any drop off in, in SIGs, burning SIGs, sales was more than made up by, the, the smuggle, vapor vapor stuff and the pouch stuff. [00:02:56] Lee Jackson: The, the stuff that you, you put between your cheek and gum, like right here. Garrison used to say. Yeah. So, [00:03:04] Doug McIntyre: but yes. [00:03:04] Lee Jackson: Yeah. So I mean, if, you’re still concerned about tariffs, look at those companies, and again, it’s, it’s. consumer staples, real estate insurance communications, just companies that have domestic production and don’t have a lot of foreign exposure. [00:03:19] Lee Jackson: And that’s one safe place to be until the tariff cluster, kind of diminishes somewhat, which it will it and it will diminish because this, this can’t go on forever. But, those are the areas you can look at if you’re worried about tariffs. The post Tariffs Aren’t Going to Touch These Stocks appeared first on 24/7 Wall St.. https://247wallst.com 2025-05-13 12:00:04 Czytaj oryginał (ang.)
There's an 'Inconsistency in the Vibe' of the American Consumer These Days Close Key Takeaways Retail and credit card data shows Americans continue to spend, but a few aspects of their behavior have some analysts concerned about a potential slowdown.New retail numbers and an earnings report from Walmart slated to come out this week may offer clarity on the health of the consumer.Higher-income customers have been relying more on Walmart—and its delivery service—in recent months, executives have said. Americans haven’t stopped spending despite broad economic uncertainty. But a close look at recent data and trends has fed concerns about a slowdown. The unemployment rate is relatively low, and job creation is holding steady. Retail spending shot up 6.8% year-over-year in April, the National Retail Federation said, exclusive of car and gas purchases. But Americans are increasingly uneasy, several measures suggest. Consumer sentiment fell in April for a fourth straight month, according to the Michigan Consumer Sentiment Index. Quick-service restaurants and companies selling everything from lunch to laundry detergent say their customers seem squeezed. And while credit and debit card spending ticked up 1% last month, according to Bank of America, there was a pullback in big splurges like trips and hotels. Two releases set for Thursday will offer fresh data: Walmart (WMT) is slated to hand in its first-quarter numbers, and the government is scheduled to publish April retail data. Trade negotiations, notably with China, ahve contributed to the uncertainty: Widespread “reciprocal” tariffs are not slated to take effect for weeks, but the NRFthinks the threat of higher import taxes has spurred consumers to stock up on some items, juicing retail spending in April. “There’s a real inconsistency in the vibe,” said Max Levchin, CEO of buy now, pay later provider Affirm (AFRM), on CNBC Friday. “People are stressed out about the economy, yet they’re shopping. They’re buying, and they’re paying their bills.” Shoppers Look for Lower Sticker Prices Oppenheimer analysts on Wednesday said Walmart has historically performed well in recessionary periods. Still, they acknowledged the current outlook can be hard to read. “We have seen potentially mixed consumer data-points lately with still healthy consumer spending trends overall,” they wrote. “But at the same time, [there has been] more downbeat [consumer packaged goods company] commentary.” Consumers have “a lot to process” and a reason to “pause,” Procter & Gamble (PG) CFO Andre Schulten said last month. The parent company of brands like Tide and Febreze recently downgraded its outlook for the full fiscal year. So did another consumer goods giant, Church & Dwight (CHD). Americans are watching their tabs at Applebee’s and IHOP and cutting back at Wendy’s (WEN) and McDonald’s (MCD), executives recently said. At grocery and convenience stores, some shoppers are focusing more on sticker prices than the cost-per-serving, which has prompted Pepsi (PEP) and Mondelēz International (MDLZ) to offer smaller packages at lower price points, executives said last month. “While two, three years ago consumers would easily pay above $4 for a pack of biscuits, we’re now seeing that we need to be below $4, and ideally below $3,” said Dirk Van de Put, CEO of Mondelēz, which counts Ritz Crackers and Oreo cookies as parts of its biscuit category. Demand hasn’t waned for international airfare or luxury clothing, companies said. Households with six-figure incomes have been flocking to Walmart’s delivery service in recent months. “We’re seeing higher engagement across income cohorts, with upper-income households continuing to account for the majority of share gains,” CFO John David Rainey said this winter. Do you have a news tip for Investopedia reporters? Please email us at tips@investopedia.com https://www.investopedia.com 2025-05-12 15:08:22 Czytaj oryginał (ang.)
Investors Heavily Search Procter & Gamble Company (The) (PG): Here is What You Need to Know P&G (PG) has received quite a bit of attention from Zacks.com users lately. Therefore, it is wise to be aware of the facts that can impact the stock's prospects. zacks.com 2025-05-12 14:06:05 Czytaj oryginał (ang.)
5 Dividend ETFs to Buy and Hold for a Lifetime of Passive Income Dividend stock investing offers a reliable path to passive income and long-term wealth creation, making it a cornerstone for many portfolios. By owning shares in companies that pay regular dividends, investors gain consistent cash flow, often from stable, high-quality firms like Coca-Cola (NYSE:KO) or Johnson & Johnson (NYSE:JNJ). Dividends provide a hedge against market volatility, as payouts persist even during downturns, and reinvesting them can compound returns significantly over time. Moreover, dividend-paying stocks historically outperform non-dividend peers, with lower volatility. 24/7 Wall St. Insights: Dividend stock investing has proven a reliable path for investors to gather immense wealth over time. Dividend ETFs bolster those results by investing in hundreds of dividend-paying stocks, offering instant diversification and minimizing single-stock risk. Sit back and let dividends do the heavy lifting for a simple, steady path to serious wealth creation over time. Grab a free copy of “2 Legendary High-Yield Dividend Stocks“ now. Dividend-paying exchange-traded funds (ETFs) enhance these benefits by pooling dozens or hundreds of such stocks, offering instant diversification, reduced single-stock risk, and low expense ratios. In 2025’s uncertain market, marked by tariffs and persistent inflation, dividend ETFs provide resilience and income stability. Pursuing this strategy ensures steady returns and growth, making it ideal for both novice and seasoned investors seeking financial security. Schwab U.S. Dividend Equity ETF (SCHD) Any discussion of dividend ETFs must begin with Schwab U.S. Dividend Equity ETF (NYSEARCA:SCHD). It is a top-tier dividend ETF, tracking the Dow Jones U.S. Dividend 100 Index with around 100 high-quality stocks like Lockheed-Martin (NYSE:LMT) and Cisco Systems (NASDAQ:CSCO), each boasting more than 10 years of dividend growth. The ETF’s 3.7% yield and ultra-low 0.06% expense ratio make it cost-effective while limiting sector exposure to no more than 25% ensures diversification. SCHD’s 11.4% annualized return over a decade reflects its balance of income and growth. Because SCHD focuses on financially sound companies, the dividend ETF mitigates risks, offering investors stability. For those seeking high yield and reliability, SCHD stock is a must-own ETF for lifelong passive income. Vanguard High Dividend Yield ETF (VYM) The Vanguard High Dividend Yield ETF (NYSE:VYM) tracks the FTSE High Dividend Yield Index, holding 589 stocks like ExxonMobil (NYSE:XOM) and UnitedHealth Group (NYSE:UNH), with no stock exceeding 4% of the portfolio. VYM’s 2.7% yield and 0.06% expense ratio deliver strong value, while its 13.3% five-year annualized return highlights its consistency. VYM also offers broad diversification across sectors like energy and financials, reducing volatility, making it ideal for conservative investors. With tariff’s top-of-mind for investors these days, the ETF’s U.S.-focused holdings provide resilience against global disruptions. Its proven track record and low costs makes VYM a foundational ETF for steady dividend income and long-term wealth building. Vanguard Dividend Appreciation ETF (VIG) Vanguard Dividend Appreciation ETF (NYSEARCA:VIG) targets companies with over 10 years of dividend increases, such as Microsoft (NASDAQ:MSFT) and Apple (NASDAQ:AAPL), and holds 338 stocks in its portfolio. The ETF’s 1.8% yield is lower, but its focus on dividend growth drives an 11.2% annualized return over the past decade. VIG’s 0.05% expense ratio is also among the lowest, maximizing investor returns. The Vanguard dividend ETF’s tech- and consumer-heavy portfolio suits investors prioritizing capital appreciation alongside income. And for investors looking for exposure to stable, growing firms, VIG cushions against economic uncertainty. It’s another ETF sporting a blend of growth and income, making it a versatile choice for investors seeking a balance of dividends and upside potential. iShares Core Dividend Growth ETF (DGRO) The iShares Core Dividend Growth ETF (NYSEARCA:DGRO) tracks the Morningstar US Dividend Growth Index, holding over 400 stocks like Chevron (NYSE:CVX) and Procter & Gamble (NYSE:PG), and emphasizes its consistent dividend growth. DGRO sports a 2.3% yield and 0.08% expense ratio, offering a balanced income stream and a 16.4% annualized return over five years. The ETF’s diversified sector exposure, including financials and healthcare, minimizes risk. In today’s volatile market, the ETF’s focus on resilient, dividend-growing companies counters the extreme swings the market is experiencing. DGRO’s low cost and steady performance make it an excellent choice for investors seeking dependable income with moderate growth in a challenging economic landscape. ProShares S&P 500 Dividend Aristocrats ETF (NOBL) The last dividend ETF to consider is ProShares S&P 500 Dividend Aristocrats ETF (NYSEARCA:NOBL), which tracks the S&P 500 Dividend Aristocrats Index. It holds over 60 stocks, each with over 25 years of dividend increases, such as Walmart (NYSE:WMT) and C.H. Robinson Worldwide (NASDAQ:CHRW). With a 2.5% yield and 0.35% expense ratio, it reflects NOBL’s premium quality, which has generated 14.5% annualized returns over the last five years. The ETF’s equal-weighted approach also reduces concentration risk, while its focus on elite dividend payers ensures stability. NOBL’s defensive holdings, with a long history of thriving amid uncertainty, offer investors reliable payouts. For those prioritizing quality and consistency, NOBL’s proven resilience makes it a stellar long-term holding for passive income. The post 5 Dividend ETFs to Buy and Hold for a Lifetime of Passive Income appeared first on 24/7 Wall St.. https://247wallst.com 2025-05-09 19:32:05 Czytaj oryginał (ang.)
Dividend Hikes Offer Optimism Amid Tariff Turmoil Stocks have rebounded sharply off their early-April lows, but macro risks persist. Dividend stocks have largely outperformed so far this year. We profile a pair of blue chips that recently announced dividend hikes, which has turned out to be a broader Q2 theme. seekingalpha.com 2025-05-08 04:45:00 Czytaj oryginał (ang.)
Hershey Company (HSY) Vs. Procter & Gamble (PG): Which Dividend Stock Is Better For Passive Income Lovers? Consumer staple stocks are a compelling bet during heightened economic uncertainty. 247wallst.com 2025-05-06 16:36:55 Czytaj oryginał (ang.)
Recession Prep: Consumer Staples are Back Economic signals flashing caution, headlined by a contraction in recent GDP figures and corporate warnings over tariff impacts, appear to be prompting a tactical shift among investors. As market uncertainty rises, the historically defensive consumer staples sector is drawing renewed attention, potentially signaling a broader move towards recession-resistant portfolio strategies. marketbeat.com 2025-05-05 11:36:32 Czytaj oryginał (ang.)
2 Bulletproof Dividend Stocks to Buy in May Dividend stock investing has long been a cornerstone for building wealth, offering investors a steady stream of passive income while providing a buffer against market volatility. 247wallst.com 2025-05-04 15:05:39 Czytaj oryginał (ang.)
The Best Dividend Stocks to Buy in May When volatility is dominating the stock market, there's nothing like holding a portfolio of stocks that deposit cash into your account every quarter. Many top consumer brands pay regular dividends from their earnings, and some of the best ones have increased their dividends every year for decades. fool.com 2025-05-04 08:10:00 Czytaj oryginał (ang.)
Dogs Of The Dow Chase May's 'Safer' Buy Verizon is the only Dow Dog meeting the ideal of annual dividends from $1K invested exceeding the single share price, supported by adequate free cash flow. Analyst projections suggest top Dow Dogs could net gains between 21.02% and 45.17% by May 2026, with an average net gain of 32.18%. 28 of 30 current Dow-listed stocks pay dividends. As of 5/1/25, the top ten ranged from 2.64%-6.26% by annual yield, and another top ten ranged from 18.06%-46.15% in broker-estimated target-price-upsides. seekingalpha.com 2025-05-03 13:46:37 Czytaj oryginał (ang.)
5 Relatively Secure And Cheap Dividend Stocks, Yields Up To 9% (May 2025) This article is part of our monthly series where we highlight five large-cap, relatively safe, dividend-paying companies offering significant discounts to their historical norms. We go over our filtering process to select just five conservative DGI stocks from more than 7,500 companies that are traded on U.S. exchanges, including OTC networks. In addition to the primary list that yields about 3.74%, we present two other groups of five DGI stocks each, from moderate to high yields of up to 9%. seekingalpha.com 2025-05-03 12:30:00 Czytaj oryginał (ang.)
3 Dividend Aristocrats Billionaires Continue to Buy In Bulk It should be no surprise to many long-term investors that billionaire investors continue to focus on finding value in today's volatile and uncertain environment. 247wallst.com 2025-05-02 16:14:09 Czytaj oryginał (ang.)
5 Top Stocks to Buy in May 2025 In April, the stock market clawed back some of the losses from the prior few months, which was encouraging. fool.com 2025-05-02 13:20:33 Czytaj oryginał (ang.)
Procter & Gamble Vs Colgate: Which is a Smarter Stock to Own Now? With shifting consumer trends, digital expansion, cost cuts and tariff challenges, find out whether PG or CL is a better pick now. zacks.com 2025-05-01 17:10:42 Czytaj oryginał (ang.)
The New Swiffer Sweep + Mop Deluxe Elevates Your Everyday Clean with a Stick That Collapses in Half for Easy Storage in Small Spaces CINCINNATI--(BUSINESS WIRE)--According to a recent survey, the average person stores eighteen different cleaning products around the home1. As cluttered cleaning closets become increasingly more common, many are searching for a more compact yet effective solution. Enter the Swiffer Sweep + Mop Deluxe—the biggest innovation to the original Sweeper in 25+ years – offering users a sturdier stick that collapses in half to store almost anywhere, and 2-in-1 dry and wet cleaning capabilities allowing. businesswire.com 2025-05-01 13:39:00 Czytaj oryginał (ang.)
RBC says to ignore Procter & Gamble's revenue miss, reiterates P&G as a top buy for 2025 Procter & Gamble Co (NYSE: PG) has inched down in recent sessions after reporting weaker-than-expected revenue for its third financial quarter. Still, a Wall Street analyst recommends loading up on P&G shares as much of the downside is already factored into them at current levels. invezz.com 2025-04-29 18:06:37 Czytaj oryginał (ang.)
National Advertising Division Finds Certain Lysol Air Sanitizer Claims Supported; Recommends Reckitt Discontinue Certain Odor Elimination Claims In a challenge brought by The Procter & Gamble Company (P&G), BBB National Programs' National Advertising Division has found certain express and implied claims made by Reckitt Benckiser LLC supported, including an EPA-approved product label “eliminates odors by killing odor causing bacteria” claim, influencer social media posts, and claims comparing its Lysol Air Sanitizer to air fresheners. In a challenge brought by The Procter & Gamble Company (P&G), BBB National Programs' National Advertising Division has found certain express and implied claims made by Reckitt Benckiser LLC supported, including an EPA-approved product label “eliminates odors by killing odor causing bacteria” claim, influencer social media posts, and claims comparing its Lysol Air Sanitizer to air fresheners. globenewswire.com 2025-04-29 15:51:00 Czytaj oryginał (ang.)
Procter & Gamble Trades Above 50 & 200-Day SMAs: Buy Now or Wait? PG drives growth through productivity and cost savings but faces headwinds from geopolitical tensions, currency volatility and challenges in key markets. zacks.com 2025-02-25 15:55:35 Czytaj oryginał (ang.)
Why Is P&G (PG) Up 0.6% Since Last Earnings Report? P&G (PG) reported earnings 30 days ago. What's next for the stock? zacks.com 2025-02-21 14:35:29 Czytaj oryginał (ang.)
The Procter & Gamble Company (PG) Consumer Analyst Group of New York Conference (Transcript) The Procter & Gamble Company (NYSE:PG ) Consumer Analyst Group of New York Conference Call February 20, 2025 9:00 AM ET Company Participants Andre Schulten - Chief Financial Officer John Chevalier - Senior Vice President, Investor Relations Conference Call Participants Dara Mohsenian - Morgan Stanley Bryan Spillane - Bank of America Andrea Teixeira - JPMorgan Filippo Falorni - Citi Lauren Lieberman - Barclays Bill Chappell - Truist Securities John Chevalier P&G would like to remind you that today's discussion will include a number of forward-looking statements. If you will refer to P&G's most recent 10-K, 10-Q and 8-K reports, you will see a discussion of factors that could cause the company's actual results to differ materially from these projections. seekingalpha.com 2025-02-20 22:47:28 Czytaj oryginał (ang.)
Is Trending Stock Procter & Gamble Company (The) (PG) a Buy Now? P&G (PG) has been one of the stocks most watched by Zacks.com users lately. So, it is worth exploring what lies ahead for the stock. zacks.com 2025-02-20 12:00:40 Czytaj oryginał (ang.)
Gillette and Lay-Up Partner to Power the Next Generation of Role Models TORONTO--(BUSINESS WIRE)-- #Gillette--Gillette, the world's leading expert in men's grooming, is proud to announce a new partnership with Lay-Up Youth Basketball, a Toronto-based charity that harnesses the power of basketball to develop skills and confidence in young people from Toronto's Neighbourhood Improvement Areas. This partnership is rooted in Gillette's global ambition to make an impact with millions of boys through the power of role models. Together, Gillette and Lay-Up aim to provide the children. businesswire.com 2025-02-19 09:30:00 Czytaj oryginał (ang.)
Procter & Gamble poised for long-term growth despite market volatility: analysts Procter & Gamble Co (NYSE:PG, ETR:PRG)'s long-term growth trajectory is intact despite short term market challenges, analysts at Goldman Sachs believe. Analysts wrote that they left recent meetings with P&G's management team “broadly encouraged” by its growth trajectory. proactiveinvestors.com 2025-02-18 18:06:07 Czytaj oryginał (ang.)
Dividend King P&G Just Paid Investors: Here's How Much They Received Procter & Gamble Co. (NYSE: PG) is rewarding its shareholders once again with a quarterly dividend of $1.0065, payable on Tuesday, Feb. 247wallst.com 2025-02-18 10:40:55 Czytaj oryginał (ang.)
Top two inflation-resistant stocks to buy US stocks have been somewhat muted in recent sessions after the Bureau of Labour Statistics said inflation was up more than expected in January.   The consumer price index came in up 0.5% for the month and 3.0% for the year on February 12. invezz.com 2025-02-17 04:49:28 Czytaj oryginał (ang.)
1 Crucial Thing Investors Are Missing About Procter & Gamble's Sales In what's become something of a habit, Procter & Gamble (PG -4.75%) surprised on the upside in its second quarter of fiscal 2025. Not only that, the huge, sprawling, and very well-established company managed to grow key fundamentals, a feat that isn't easy to accomplish at this size and scope. fool.com 2025-02-16 07:15:00 Czytaj oryginał (ang.)
P&G to Webcast Presentation From the Consumer Analyst Group of New York Conference, February 20 CINCINNATI--(BUSINESS WIRE)--Andre Schulten, Chief Financial Officer of The Procter & Gamble Company (NYSE:PG) will be a featured speaker at the Consumer Analyst Group of New York Conference on Thursday, Feb. 20, 2025, at 9:00 a.m. ET. Media and investors may access the live audio webcast at www.pginvestor.com beginning at 9:00 a.m. ET. The webcast will also be available for replay. About Procter & Gamble P&G serves consumers around the world with one of the strongest portfolios of. businesswire.com 2025-02-13 11:15:00 Czytaj oryginał (ang.)
The Zacks Analyst Blog The Procter & Gamble, Boston, ConocoPhillips and Kewaunee Scientific The Procter & Gamble, Boston, ConocoPhillips and Kewaunee Scientific are included in this Analyst Blog. zacks.com 2025-02-11 07:46:18 Czytaj oryginał (ang.)
From the Coin Toss to the Halftime Show: The Old Spice Guy & His No Sweat Predictor Tackle All Your Big Game Questions CINCINNATI--(BUSINESS WIRE)--Fresh off a wildly successful week in New Orleans, the Old Spice Guy and his No Sweat Predictor are bringing their legendary antics to Instagram Live ahead of the Big Game. Fans across the nation finally get their shot to ask life's most pressing questions, like “Will my team win?”, “How many wings is too many wings?”, and “How does the Old Spice Guy smell so majestic?”. Comedian AdamW, the Old Spice Guy and the No Sweat Predictor will co-host a series of Instagram. businesswire.com 2025-02-09 15:43:00 Czytaj oryginał (ang.)
One 'Safer' Buy In 10 February Dogs Of The Dow Verizon is the only Dow Dog meeting the ideal of dividends from $1K invested exceeding single share price, supported by adequate free cash flow. Analysts project net gains of 15.23% to 33.94% for the top ten Dow Dogs by February 2026, with Merck leading at $376.03. Five stocks, including Verizon and Merck, are close to meeting the dogcatcher ideal, with prices within 67.5% of their annual dividends from $1K invested. seekingalpha.com 2025-02-08 09:54:21 Czytaj oryginał (ang.)
Procter & Gamble Company (The) (PG) is Attracting Investor Attention: Here is What You Should Know Recently, Zacks.com users have been paying close attention to P&G (PG). This makes it worthwhile to examine what the stock has in store. zacks.com 2025-02-07 12:01:13 Czytaj oryginał (ang.)
Win the Battle Over Weeds With Spruce, a Worry-Free Solution CINCINNATI--(BUSINESS WIRE)--It's time to take back your yard this spring with the help of Spruce, a hardworking and worry-free weed & grass killer created by Procter & Gamble (NYSE: PG) that delivers visible results in one hour. A complete game-changer for the lawn and garden category, Spruce is made with only nine simple and effective ingredients, making it safe for use around people and pets (when used as directed), so the whole family can continue to enjoy the outdoors. Everyone fro. businesswire.com 2025-02-06 11:07:00 Czytaj oryginał (ang.)
Procter & Gamble Digital Transformation Strategy Analysis Report: Technology Focus and Initiatives, Partnerships, Network Map, ICT Budget and Contracts Dublin, Feb. 04, 2025 (GLOBE NEWSWIRE) -- The "Enterprise Tech Ecosystem Series: The Procter & Gamble Company 2024" report has been added to ResearchAndMarkets.com's offering. globenewswire.com 2025-02-04 13:09:00 Czytaj oryginał (ang.)
Procter & Gamble: A Consumer Staples Titan Built to Win The consumer staples sector leader sells well-known grooming, baby, personal care, and hygiene products under brands like Pampers, Luvs, Bounce, Downy, Gain, Tide, Bounty, Charmin, Always, Tampax, Swiffer, Head & Shoulders, Febreze, and Old Spice. marketbeat.com 2025-02-03 12:25:38 Czytaj oryginał (ang.)
Microsoft Co. (NASDAQ:MSFT) Position Raised by Moors & Cabot Inc. Moors & Cabot Inc. boosted its position in shares of Microsoft Co. (NASDAQ:MSFT – Free Report) by 0.3% in the third quarter, according to the company in its most recent filing with the SEC. The firm owned 220,851 shares of the software giant’s stock after acquiring an additional 749 shares during the quarter. Microsoft comprises about 4.7% of Moors & Cabot Inc.’s portfolio, making the stock its 2nd largest position. Moors & Cabot Inc.’s holdings in Microsoft were worth $95,032,000 at the end of the most recent reporting period. A number of other large investors have also recently bought and sold shares of MSFT. WFA Asset Management Corp boosted its position in Microsoft by 27.0% during the first quarter. WFA Asset Management Corp now owns 1,016 shares of the software giant’s stock worth $427,000 after purchasing an additional 216 shares in the last quarter. Ironwood Wealth Management LLC. boosted its stake in Microsoft by 0.3% during the 2nd quarter. Ironwood Wealth Management LLC. now owns 12,658 shares of the software giant’s stock worth $5,658,000 after purchasing an additional 38 shares during the last quarter. Nicholas Investment Partners LP grew its stake in Microsoft by 3.0% during the 2nd quarter. Nicholas Investment Partners LP now owns 39,743 shares of the software giant’s stock valued at $17,763,000 after acquiring an additional 1,164 shares in the last quarter. Harbor Advisory Corp MA increased its holdings in shares of Microsoft by 7.5% in the second quarter. Harbor Advisory Corp MA now owns 15,453 shares of the software giant’s stock valued at $6,907,000 after purchasing an additional 1,076 shares during the last quarter. Finally, Field & Main Bank lifted its position in Microsoft by 0.4% during the second quarter. Field & Main Bank now owns 60,651 shares of the software giant’s stock worth $27,108,000 after buying an additional 271 shares in the last quarter. Hedge funds and other institutional investors own 71.13% of the company’s stock. Microsoft Stock Down 2.1 % Shares of NASDAQ:MSFT opened at $434.56 on Tuesday. The firm has a 50 day simple moving average of $431.05 and a 200-day simple moving average of $425.30. Microsoft Co. has a twelve month low of $385.58 and a twelve month high of $468.35. The company has a current ratio of 1.30, a quick ratio of 1.29 and a debt-to-equity ratio of 0.15. The company has a market capitalization of $3.23 trillion, a PE ratio of 35.85, a P/E/G ratio of 2.40 and a beta of 0.90. Microsoft (NASDAQ:MSFT – Get Free Report) last released its quarterly earnings results on Wednesday, October 30th. The software giant reported $3.30 earnings per share (EPS) for the quarter, topping analysts’ consensus estimates of $3.10 by $0.20. The firm had revenue of $65.59 billion for the quarter, compared to the consensus estimate of $64.57 billion. Microsoft had a return on equity of 34.56% and a net margin of 35.61%. The firm’s quarterly revenue was up 16.0% compared to the same quarter last year. During the same quarter last year, the business posted $2.99 EPS. On average, equities analysts predict that Microsoft Co. will post 12.9 EPS for the current fiscal year. Microsoft Dividend Announcement The firm also recently declared a quarterly dividend, which will be paid on Thursday, March 13th. Investors of record on Thursday, February 20th will be paid a dividend of $0.83 per share. This represents a $3.32 dividend on an annualized basis and a yield of 0.76%. The ex-dividend date of this dividend is Thursday, February 20th. Microsoft’s dividend payout ratio is currently 27.39%. Insiders Place Their Bets In other Microsoft news, EVP Christopher David Young sold 7,200 shares of the business’s stock in a transaction on Tuesday, November 12th. The shares were sold at an average price of $423.66, for a total value of $3,050,352.00. Following the transaction, the executive vice president now directly owns 103,366 shares of the company’s stock, valued at approximately $43,792,039.56. The trade was a 6.51 % decrease in their position. The sale was disclosed in a filing with the SEC, which can be accessed through the SEC website. Also, CMO Takeshi Numoto sold 1,000 shares of the stock in a transaction dated Friday, November 22nd. The stock was sold at an average price of $414.72, for a total transaction of $414,720.00. Following the transaction, the chief marketing officer now directly owns 57,511 shares of the company’s stock, valued at $23,850,961.92. This represents a 1.71 % decrease in their ownership of the stock. The disclosure for this sale can be found here. In the last three months, insiders have sold 41,200 shares of company stock valued at $17,383,892. Insiders own 0.03% of the company’s stock. Wall Street Analysts Forecast Growth A number of analysts have issued reports on MSFT shares. JPMorgan Chase & Co. cut their target price on Microsoft from $470.00 to $465.00 and set an “overweight” rating for the company in a research note on Thursday, October 31st. TD Cowen cut their price objective on shares of Microsoft from $495.00 to $475.00 and set a “buy” rating for the company in a research report on Thursday, October 31st. Royal Bank of Canada reaffirmed an “outperform” rating and set a $500.00 target price on shares of Microsoft in a research note on Tuesday, November 5th. Loop Capital increased their price target on shares of Microsoft from $500.00 to $550.00 and gave the company a “buy” rating in a research note on Monday, December 23rd. Finally, Oppenheimer cut Microsoft from an “outperform” rating to a “market perform” rating in a report on Tuesday, October 8th. Three investment analysts have rated the stock with a hold rating, twenty-seven have issued a buy rating and one has issued a strong buy rating to the company’s stock. According to data from MarketBeat, the company has an average rating of “Moderate Buy” and a consensus target price of $512.66. Read Our Latest Stock Report on MSFT Microsoft Profile (Free Report) Microsoft Corporation develops and supports software, services, devices and solutions worldwide. The Productivity and Business Processes segment offers office, exchange, SharePoint, Microsoft Teams, office 365 Security and Compliance, Microsoft viva, and Microsoft 365 copilot; and office consumer services, such as Microsoft 365 consumer subscriptions, Office licensed on-premises, and other office services. 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Procter & Gamble Company (The) (PG) Is a Trending Stock: Facts to Know Before Betting on It P&G (PG) has been one of the stocks most watched by Zacks.com users lately. So, it is worth exploring what lies ahead for the stock. zacks.com 2025-01-27 12:01:19 Czytaj oryginał (ang.)
3 Reasons Why This Unstoppable Dow Dividend King Can Deliver for Passive Income Investors in 2025 Procter & Gamble (PG -0.62%) gained 1.9% on Wednesday after reporting second-quarter fiscal 2025 results. However, the stock had been up even higher earlier in the session. fool.com 2025-01-27 09:45:00 Czytaj oryginał (ang.)