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PG

Procter & Gamble
US· Consumer Defensive$165.00📅 Earnings in 53d
Signal
Hold
Est. 12-month return
+2.3%
Confidence
48%
Model ensemble · 6 algorithms voting
ModelStyleSignalEst. 12mConf.Why
Multi-FactorFactor investing (AQR)Hold-0.4%60%Composite factor score 49/100 vs market average of 50.
Analyst ConsensusSell-side researchBuy+5.5%50%Consensus target implies 9% upside (haircut for optimism).
Time-Series MomentumTrend funds (Man AHL)Hold+2.3%58%12-month trend 7%, at 94% of 52w high.
Trend-Following (MA cross)CTA / managed futuresHold+4.7%45%Golden cross: price 5% vs 200-day average.
Mean Reversion (RSI/Bollinger)Technical / contrarianHold-0.4%40%RSI 52, 0.1σ from mean — overbought, pullback risk.
Low-VolatilityRisk-premia (min-vol)Hold+2.2%40%Annualized volatility 19% — calmer than average.

Six independent models each vote with an expected return and confidence; the headline figure is their confidence-weighted blend (how quant funds combine uncorrelated signals). It is a modelled estimate, not a promise — markets are partly unpredictable, so treat a strong signal as a reason to research, never as a certainty.

Options flow · Options flow is a paid feed and is not configured. Set OPTIONS_FLOW_VENDOR (polygon | unusualwhales | tradier | cboe) and OPTIONS_FLOW_API_KEY, then run the options ingest.

Recent news

Headline sentiment:bullish(+0.67 · 3 headlines)
Procter & Gamble shares rally as momentum builds into earnings
Sample Newswire · 6/3/2026
Analysts upgrade PG on strong growth outlook
Sample Newswire · 6/2/2026
Procter & Gamble tops quarterly estimates, raises guidance
Sample Newswire · 6/1/2026

Sentiment is a transparent finance-word lexicon score on the headline text only — a soft signal, not a recommendation.

Quant grades

graded vs 18 US peers · letter = percentile rank
Overall
C-
49
Value
C+
51
Quality
B-
49
Momentum
D+
47
Growth
C-
46

Valuation

Trailing P/E26.00
Forward P/E23.00
Price / Book8.00
Price / Sales4.80
EV / EBITDA18.00
Dividend Yield2.4%

Quality & Growth

Return on Equity32.0%
Profit Margin19.0%
Debt / Equity65.00
Earnings Growth (yoy)5.0%
Revenue Growth (yoy)3.0%

Momentum

3-month return1.0%
6-month return3.0%
12-month return7.0%
Price vs 52w high94.0%

Analyst

Mean target$180.00
Implied upside9.1%
Consensushold

Dividend scorecard

Yield
2.4%B
vs market dividend payers
Safety
B
Based on D/E 65% · margin 19%. Growth/consistency need dividend history (not in this dataset).

Peer comparison

US market · top by composite
StockPriceP/EValueQualityMoment.GrowthScore12m est.Signal
NVDA$180.0055.01177759760+8.4%Buy
META$620.0024.04761676258+6.6%Buy
GOOGL$200.0026.04758615855+5.2%Buy
JPM$280.0014.05953564755+4.0%Hold
BAC$46.0012.06249534654+3.9%Hold
XOM$115.0014.06447514152+2.7%Hold
CVX$160.0014.06547494252+2.6%Hold
MSFT$480.0036.03760555451+3.6%Hold

Factor scores rank this stock against others in the same market. A high score means it screens well on that dimension today — it is a starting point for research, not a signal to buy. Always confirm the fundamentals and understand the business before investing.