CONSUMER DEFENSIVE3/18/2026 • LIVE

Procter & Gamble logoProcter & Gamble (PG)

Procter & Gamble (PG) is a consumer defensive company operating in household & personal products. Demand is typically resilient, with margin discipline and pricing power as key drivers. This analysis page tracks valuation context, trend strength, and downside risk over time.

PRICE
$147.97
-2.32% today
RISK
MEDIUM
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Key Metrics

MARKET CAP
$346.32B
P/E RATIO
21.9
BETA
0.34
Less volatile
DIV YIELD
2.79%
52W HIGH
$174.80
52W LOW
$137.62
VOLATILITY
24.3%
30d annualized

Price Performance

30-DAY PRICE CHART

$159.55 → $147.97-7.26%
30 days agoToday

1-YEAR PERFORMANCE

$166.69 → $147.97-11.2%
$146$157$168MarAprMayJunJulAugSepOctNovDecJanFeb
PG | 52-week chartLast updated: 3/18/2026

Consumer Defensive Sector Context

Stable sector with essential products like food, beverages, and household goods.

METRICPGSECTOR AVGVS SECTOR
P/E Ratio21.9x21.0x 4%
Beta0.340.65Less volatile
Div Yield2.79%2.80%Below avg
30d Volatility24.3%18%Higher risk

TOP CONSUMER DEFENSIVE PEERS

Competitors Analysis

Compare PG's key metrics against its main consumer defensive sector competitors.

COMPANYPRICEMARKET CAPSECTOR
Procter & Gamble logoPG(You are here)
$147.97$346.32BConsumer Defensive
$76.73$330.06BConsumer DefensiveVIEW →
$155.52$212.65BConsumer DefensiveVIEW →
$123.05$981.06BConsumer DefensiveVIEW →
Click on a competitor to view their full analysis

Technical Analysis

Procter & Gamble is currently trading at $147.97, which is 15.3% below its 52-week high. With a beta of 0.34, the stock shows lower sensitivity to market movements.

RSI (14)OVERSOLD
30-DAY TRENDBEARISH
VOLUME3.2M(Below avg)

Frequently Asked Questions

Is PG a good buy right now?

Procter & Gamble trades at 21.9x earnings. This is near market average. Current risk level is Medium based on 24.3% volatility.

Does PG pay dividends?

Yes, Procter & Gamble offers a dividend yield of 2.79%. This translates to approximately $4.13 per share annually.

How volatile is PG?

With 30-day annualized volatility of 24.3% and beta of 0.34,PG is classified as Medium risk. The stock tends to be more stable than the market average.

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Last updated: 3/18/2026, 4:43:50 PM