The Procter & Gamble Company (PG) is a Consumer Defensive company in the Household & Personal Products industry with a 80% Strong Buy Score. Key strengths include Gross Margin (51.2%), Net Margin (19.3%), Return on Equity (31.6%). Our AI evaluates 8 fundamental categories including revenue growth, margin quality, balance sheet strength, cash flow generation, return on capital, and valuation metrics.
See how our AI analyzes PG fundamentals to generate buy/sell signals and Strong Buy Scores.
Based on our AI-powered fundamental analysis, PG has a Strong Buy Score of 80%, earning a "Strong Buy" rating. This score synthesizes 8 key financial metrics to provide an objective investment signal.
The Procter & Gamble Company demonstrates robust fundamentals across multiple categories. Key strengths include Gross Margin (51.2%) and Net Margin (19.3%). The stock shows characteristics typically associated with outperformers.
Our AI analyzes The Procter & Gamble Company's financial statements to generate buy/sell signals based on quantitative metrics, not market sentiment or news headlines. Here's what drives the 80% score:
Generate the full PDF report for complete category-by-category scoring and AI-powered investment recommendations.
Technical traders can view real-time demand and supply zones for PG on our Demand Zones page. These zones identify key price levels where institutional buying or selling has historically occurred.
With PG currently trading at $163.39, our system monitors proximity to these critical levels and can alert you when the stock approaches support or resistance zones.
Subscribe to demand zone alerts to receive real-time notifications when PG reaches key technical levels.
The Procter & Gamble Company operates in the Consumer Defensive sector, specifically in Household & Personal Products. Understanding earnings trends is crucial for forecasting PG's trajectory.
Current revenue growth of 1.5% slightly beats the average company.
Visit our Earnings Calendar to track upcoming PG earnings dates and historical beat/miss patterns. Sign up for earnings alerts to get notified before announcements.
Our AI projects PG's trajectory based on current fundamentals and historical patterns. With a 80% Strong Buy Score, here's what the data suggests:
Bullish Outlook: The Procter & Gamble Company shows strong fundamental momentum. Net margins of 19.3% indicate pricing power and operational efficiency. Stocks with similar profiles have historically outperformed over 12-month periods.
For a complete 12-month price forecast with specific bull/bear scenarios, generate the full PDF report.
Understanding valuation is critical for determining if PG is fairly priced. Here's the current snapshot:
Our AI weighs these metrics against growth rates and margin quality to determine if PG offers compelling risk-adjusted returns at current prices.
Here's why investors are bullish on The Procter & Gamble Company:
With a 80% Strong Buy Score, the bull case is well-supported by current fundamentals. The stock exhibits characteristics of quality compounders that tend to outperform long-term.
Every investment carries risk. Here are potential concerns for PG investors:
The full PDF report includes a detailed bear case analysis with specific risk ratings for each category.
PG Summary: The Procter & Gamble Company earns a 80% Strong Buy Score based on AI analysis of fundamental data. Trading at $163.39 with a $382.41B market cap, the stock shows strong fundamentals supporting a bullish 12-month outlook.
Bull Case: Gross Margin (51.2%), Net Margin (19.3%)
For the complete analysis with specific price considerations, growth projections, and AI-powered buy/hold/sell recommendations, generate your free PG PDF report.