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Based on recent data, The Procter & Gamble Company (PG) shows an Average True Range (ATR) of 2.26 and an Enterprise Value of 407.76B. Its average trading volume over the past 3 months is 8.3M, indicating liquidity. These fundamental metrics provide insight into PG's underlying financial health and market activity.
The Procter & Gamble Company (PG) technical indicators as of July 11, 2025: the SMA 20 is -1.62%, SMA 50 at -2.91%, and SMA 200 at -5.91%. The RSI 14 value is 38.41, suggesting its current momentum. These technical analysis signals help assess PG's price trends and potential future movements.
The Procter & Gamble Company (PG) stock performance overview as of July 11, 2025: The 52-week high is $180.43 (currently -12.96% below), and the 52-week low is $155.95 (currently 0.71% above). Over the past year, PG's performance is -5.69%, compared to the S&P 500's 12.09% change.
According to market data, The Procter & Gamble Company (PG) stock's recent performance metrics show that over the last month, PG is -3.56%, with a Year-to-Date (YTD) performance of -6.32%. Over the past year, the stock has seen a -5.69% change. These figures summarize PG's price movements across various periods, reflecting its historical returns.
According to current financial data, PG stock's P/E (TTM) ratio is 23.80, which compares to the S&P 500's P/E of 32.59. The sector median P/E is 8.19. Key valuation ratios for PG, including P/S (4.39), P/B (7.05), and P/FCF (24.51), offer insights into how the company is valued relative to its earnings, sales, book value, and free cash flow.
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