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Procter & Gamble Company (The)

PG

Exchange:NYQType:EquityIndustry:Household & Personal ProductsSector:Consumer DefensiveEmployees:108,000Website:www.pginvestor.comCurrency:USD
Market Cap$367.75B
Volume1.32M
Revenue$83.93B
Gross Profits$43.38B
Trailing P/E24.94

The Procter & Gamble Company engages in the provision of branded consumer packaged goods worldwide. The company operates through five segments: Beauty; Grooming; Health Care; Fabric & Home Care; and Baby, Feminine & Family Care. The Beauty segment of...

Price Chart

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AI Summary

ModelNear-Term (0-3 mo.)Mid-Term (3-12 mo.)Long-Term (1-5 yr.)
DeepseekHoldBuyBuy
OpenAIHoldHoldBuy
GeminiHoldHoldBuy
GrokHoldBuyStrong Buy

Detailed Analysis

Deepseek
Holdnear term

Current price below 50-day average suggests short-term weakness, but defensive sector may limit downside.

Valuation:Forward P/E of 21.2 indicates fair valuation.
Technical:Price below 50-day and 200-day averages signals bearish trend.
Sentiment:Low beta (0.427) suggests less volatility and defensive appeal.
News:No significant recent news to impact near-term performance.
Buymid term

Potential for recovery towards historical averages as market conditions stabilize.

Valuation:Trailing PEG ratio of 3.8 suggests growth may be overpriced, but sector stability supports.
Technical:Potential for mean reversion towards 200-day average.
Sentiment:Defensive sector likely to attract investors in uncertain markets.
News:Monitor for product innovations or strategic shifts.
Buylong term

Strong market position and sector resilience support steady long-term growth.

Valuation:Large market cap and sector position justify premium valuation.
Technical:Long-term trend likely upward with market and sector growth.
Sentiment:Consistent performer in defensive sector attracts long-term investors.
News:Focus on sustainability and innovation could drive future growth.
Gemini
Holdnear term

PG is currently trading below its 50 and 200-day moving averages, suggesting potential short-term downward pressure.

Valuation:Forward P/E is reasonable, but trailing PEG ratio is high.
Technical:Price below 50 and 200-day moving averages indicates bearish trend.
Sentiment:Market sentiment is neutral given mixed technical signals.
News:Monitor upcoming earnings and any significant announcements.
Holdmid term

Given the current valuation and market conditions, a hold strategy is appropriate until clearer trends emerge.

Valuation:Forward P/E suggests fair valuation; PEG ratio needs monitoring.
Technical:Watch for a potential breakout above the 200-day moving average.
Sentiment:Overall market sentiment and sector performance should be monitored.
News:Track quarterly earnings and strategic initiatives.
Buylong term

PG's low beta and strong market capitalization suggest stability and potential for long-term growth in the consumer defensive sector.

Valuation:Stable company with consistent dividend payouts.
Technical:Long-term charts show consistent upward trend.
Sentiment:Positive long-term outlook due to brand strength.
News:Focus on innovation and market share expansion.
Openai
Holdnear term

Current technicals suggest a potential for further decline or stagnation in the near term.

Valuation:Slightly overvalued with a forward PE above sector average.
Technical:Trading below both 50-day and 200-day averages, indicating bearish momentum.
Sentiment:Market sentiment appears cautious, reflecting in the stock's recent performance.
News:No significant news to drive immediate price changes.
Holdmid term

The stock may face continued pressure but could stabilize as market conditions evolve.

Valuation:Valuation remains high, which may limit upside potential.
Technical:Needs to reclaim higher averages to change technical outlook.
Sentiment:Investor sentiment could improve with positive sector or economic shifts.
News:Dependent on broader economic indicators and company performance updates.
Buylong term

Long-term prospects remain strong given the company's market position in a defensive sector.

Valuation:Long-term growth potential may justify current valuations.
Technical:Long-term technicals favor stability and gradual growth.
Sentiment:Strong brand and consistent performance bolster investor confidence.
News:Continued innovation and market expansion can drive future growth.
Grok
Holdnear term

Current price below moving averages suggests caution. Momentum may stabilize soon.

Valuation:Forward P/E of 21.23 indicates fair valuation.
Technical:Price below 50-day and 200-day averages signals bearishness.
Sentiment:Market sentiment appears neutral for consumer defensive sector.
News:No significant recent news impacting near-term outlook.
Buymid term

Stable sector and low beta suggest recovery potential. Valuation supports moderate upside.

Valuation:Trailing PEG ratio of 3.81 suggests overvaluation risk.
Technical:Potential for price recovery towards 200-day average.
Sentiment:Positive sentiment expected as defensive stocks gain traction.
News:Anticipated product launches could boost mid-term performance.
Strong Buylong term

Strong fundamentals and defensive nature ensure long-term growth. Market cap reflects investor confidence.

Valuation:Reasonable forward P/E supports long-term value.
Technical:Long-term trends favor stability and gradual appreciation.
Sentiment:Strong investor trust in consumer defensive sector.
News:Consistent innovation and dividends expected to drive growth.