Wanna Shave Every Day With Gillette, So Bought Proctor & Gamble Shares….

52 Weeks Low is $128 whereas 52 Weeks High is $165.
Market Capitalisation is 361.29 Billion.
P/E Ratio is 26.54. EPS is 5.66.
Revenue is $78.35 Billion. Beta is 0.45, which means low volatility.
Dividend is $3.47/Share.
1 Year Growth is 17%.
Financial Profile :-

Trend is that if the share crosses $152, it will move faster.
Proctor & Gamble Revenue increased by 6% to $41.29 Billion.
Net Income had increased to 2% to $8.20 Billion
Fabric & Home Care Products increased by 7% Whereas Baby, Feminine & Family Care increased by 5%.
Total Revenue this quarter had increased by $20.95 Billion from $20.33 Billion.

Gross Profit has increased from $10.28 Billion from $9.97 Billion.
Operating Income has increased to $5.168 Billion from $5.023 Billion.
Net Income has increased from $4.112 Billion to $4.223 Billion.
Gross Margin is 49.27%. Operating Margin is 22.36%. Net Profit Margin is 18.54%. Return on Investment is 16.98%.
Total Assets is 121.416 billion and Total Liabilities is 76.798 Billion.
Quick Ratio is 0.5. Current Ratio is 0.67. Long Term Debt To Equity is 50.03%. Total Debt To Equity is 79.91%.
Cash Flow Statement:-

Cash From Operating Activities had doubled to $9.764 Billion. Cash from Financial Activities & Investing Activities is Negative. Net change in Cash had increased to $1.256 Billion.
Cashflow/Share is 6.64. Revenue/Share is 30.53. Operating Cash flow is 25.68.
According to Jan’2022, EPS is 1.66 and Total Revenue is $20.95 Billion.
Dividend Yield is 2.15%. Annualized Growth in last 5 Years is 5.18%.
Proctor & Gamble provide packaged Consumer Items in whole world like Grooming, Beauty, Health Care, Fabric & Home Care, plus Baby, Feminine & Family Care.
Registration Fees: $10
Start Up Amount : $100 – $200
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