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PG Procter & Gamble Co

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  • 28.400
  • +0.270+0.96%
15min DelayPost Market Jan 23 15:53 ET
531.77BMarket Cap25.11P/E (TTM)

Procter & Gamble Co Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Dec 31, 2024
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-5.39%4.83B
-12.28%4.3B
17.80%19.85B
7.73%5.75B
5.85%4.09B
42.70%5.1B
20.49%4.9B
0.75%16.85B
43.85%5.34B
19.01%3.86B
Net income from continuing operations
33.38%4.66B
-12.49%3.99B
1.60%14.97B
-7.31%3.14B
10.43%3.78B
-11.77%3.49B
14.96%4.56B
-0.37%14.74B
10.92%3.39B
1.69%3.42B
Operating gains losses
---7M
26,566.67%794M
-437.50%-215M
-355.56%-164M
-4,700.00%-48M
--0
-200.00%-3M
52.94%-40M
-3,500.00%-36M
50.00%-1M
Depreciation and amortization
-2.08%706M
3.70%728M
6.71%2.9B
7.79%761M
2.89%712M
10.41%721M
5.88%702M
-3.31%2.71B
-2.22%706M
0.29%692M
Asset impairment expenditure
----
----
--1.34B
--0
--0
----
----
--0
--0
--0
Remuneration paid in stock
-9.33%136M
-16.00%105M
3.12%562M
-7.19%129M
1.28%158M
3.45%150M
19.05%125M
3.22%545M
6.92%139M
20.00%156M
Deferred tax
114.45%37M
80.39%184M
46.14%-244M
59.14%-38M
-236.84%-52M
4.48%-256M
178.46%102M
-12.69%-453M
34.97%-93M
124.05%38M
Other non cashItems
-25.36%103M
-84.62%32M
71.63%968M
138.31%479M
2.88%143M
-14.81%138M
235.48%208M
146.29%564M
41.55%201M
308.82%139M
Change In working capital
-66.12%-809M
-94.40%-1.53B
64.26%-436M
39.83%1.44B
-3.59%-606M
54.70%-487M
-32.77%-786M
-6.36%-1.22B
629.23%1.03B
28.22%-585M
-Change in receivables
-1,322.22%-128M
83.86%-134M
-149.51%-766M
-1,133.33%-74M
-58.36%147M
-110.47%-9M
-12.16%-830M
55.76%-307M
-102.70%-6M
229.78%353M
-Change in inventory
-83.64%18M
-32.39%-188M
41.18%-70M
-105.99%-23M
-109.87%-15M
-53.78%110M
84.10%-142M
90.46%-119M
7,580.00%384M
136.89%152M
-Change in payables and accrued expense
8.29%-509M
-175.61%-648M
479.55%1.81B
90.67%1.76B
68.70%-246M
57.89%-555M
-42.68%857M
-78.10%313M
1,024.39%922M
-835.71%-786M
-Change in other working capital
-475.76%-190M
16.84%-558M
-27.73%-1.41B
18.66%-218M
-61.84%-492M
59.26%-33M
-47.80%-671M
-74.33%-1.11B
46.83%-268M
-546.81%-304M
Cash from discontinued investing activities
Operating cash flow
-5.39%4.83B
-12.28%4.3B
17.79%19.85B
7.73%5.75B
5.82%4.09B
42.70%5.1B
20.49%4.9B
0.75%16.85B
43.85%5.34B
19.01%3.86B
Investing cash flow
Cash flow from continuing investing activities
7.89%-922M
9.33%-1.11B
-0.11%-3.5B
35.09%-518M
44.71%-763M
-104.29%-1B
-46.88%-1.22B
20.89%-3.5B
-17.01%-798M
22.30%-1.38B
Capital expenditure reported
-13.22%-925M
-7.35%-993M
-8.49%-3.32B
-6.68%-783M
-9.18%-797M
-15.40%-817M
-3.93%-925M
2.98%-3.06B
-6.07%-734M
2.28%-730M
Net business purchase and sale
--0
---6M
97.25%-21M
--0
96.71%-21M
--0
--0
44.61%-765M
---51M
38.18%-638M
Net other investing changes
102.16%4M
63.30%-109M
-149.24%-161M
2,138.46%265M
566.67%56M
-163.36%-185M
-595.00%-297M
189.38%327M
-230.00%-13M
-500.00%-12M
Cash from discontinued investing activities
Investing cash flow
8.08%-921M
9.33%-1.11B
-0.11%-3.5B
35.09%-518M
44.78%-762M
-104.49%-1B
-46.88%-1.22B
20.89%-3.5B
-17.01%-798M
22.30%-1.38B
Financing cash flow
Cash flow from continuing financing activities
7.96%-5.57B
68.88%-634M
-22.30%-14.86B
35.81%-2.5B
-143.41%-4.27B
-102.21%-6.05B
41.92%-2.04B
18.35%-12.15B
6.37%-3.89B
60.45%-1.75B
Net issuance payments of debt
69.82%-859M
108.54%3.01B
-183.15%-2.44B
126.14%526M
-211.80%-1.56B
-387.18%-2.85B
-43.71%1.44B
55.23%2.94B
-136.43%-2.01B
186.67%1.4B
Net common stock issuance
-150.25%-2.51B
-29.27%-1.94B
31.92%-5.01B
---1.52B
26.94%-987M
49.90%-1B
62.50%-1.5B
26.49%-7.35B
--0
-8.17%-1.35B
Cash dividends paid
-6.69%-2.44B
-6.77%-2.45B
-3.48%-9.31B
-6.99%-2.45B
-2.74%-2.29B
-2.55%-2.29B
-1.55%-2.29B
-2.61%-9B
-1.19%-2.29B
-3.20%-2.22B
Proceeds from stock option exercised by employees
182.35%240M
138.78%745M
50.12%1.91B
130.39%940M
33.96%568M
-65.86%85M
65.96%312M
-36.71%1.27B
99.02%408M
-27.52%424M
Net other financing activities
----
----
----
----
----
--3M
---1M
----
----
----
Cash from discontinued financing activities
Financing cash flow
7.90%-5.57B
68.89%-634M
-22.30%-14.86B
35.81%-2.5B
-143.53%-4.27B
-102.10%-6.05B
41.89%-2.04B
18.35%-12.15B
6.37%-3.89B
60.45%-1.75B
Net cash flow
Beginning cash position
24.89%12.16B
14.99%9.48B
14.31%8.25B
-10.11%6.83B
15.12%7.89B
45.05%9.73B
14.31%8.25B
-29.88%7.21B
-10.91%7.6B
-40.63%6.85B
Current changes in cash
14.56%-1.67B
55.69%2.56B
23.71%1.49B
321.08%2.74B
-229.18%-943M
-2,242.86%-1.95B
710.78%1.64B
146.64%1.2B
157.68%650M
124.65%730M
Effect of exchange rate changes
-342.99%-260M
174.36%116M
-47.65%-251M
---83M
-1,091.67%-119M
101.89%107M
33.62%-156M
65.79%-170M
--0
121.43%12M
End cash Position
29.66%10.23B
24.89%12.16B
14.99%9.48B
14.99%9.48B
-10.11%6.83B
15.12%7.89B
45.05%9.73B
14.31%8.25B
14.31%8.25B
-10.91%7.6B
Free cash from
-8.94%3.9B
-16.84%3.31B
19.86%16.52B
7.90%4.97B
5.04%3.29B
49.44%4.28B
25.13%3.98B
1.61%13.79B
52.50%4.61B
25.37%3.13B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Dec 31, 2024(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -5.39%4.83B-12.28%4.3B17.80%19.85B7.73%5.75B5.85%4.09B42.70%5.1B20.49%4.9B0.75%16.85B43.85%5.34B19.01%3.86B
Net income from continuing operations 33.38%4.66B-12.49%3.99B1.60%14.97B-7.31%3.14B10.43%3.78B-11.77%3.49B14.96%4.56B-0.37%14.74B10.92%3.39B1.69%3.42B
Operating gains losses ---7M26,566.67%794M-437.50%-215M-355.56%-164M-4,700.00%-48M--0-200.00%-3M52.94%-40M-3,500.00%-36M50.00%-1M
Depreciation and amortization -2.08%706M3.70%728M6.71%2.9B7.79%761M2.89%712M10.41%721M5.88%702M-3.31%2.71B-2.22%706M0.29%692M
Asset impairment expenditure ----------1.34B--0--0----------0--0--0
Remuneration paid in stock -9.33%136M-16.00%105M3.12%562M-7.19%129M1.28%158M3.45%150M19.05%125M3.22%545M6.92%139M20.00%156M
Deferred tax 114.45%37M80.39%184M46.14%-244M59.14%-38M-236.84%-52M4.48%-256M178.46%102M-12.69%-453M34.97%-93M124.05%38M
Other non cashItems -25.36%103M-84.62%32M71.63%968M138.31%479M2.88%143M-14.81%138M235.48%208M146.29%564M41.55%201M308.82%139M
Change In working capital -66.12%-809M-94.40%-1.53B64.26%-436M39.83%1.44B-3.59%-606M54.70%-487M-32.77%-786M-6.36%-1.22B629.23%1.03B28.22%-585M
-Change in receivables -1,322.22%-128M83.86%-134M-149.51%-766M-1,133.33%-74M-58.36%147M-110.47%-9M-12.16%-830M55.76%-307M-102.70%-6M229.78%353M
-Change in inventory -83.64%18M-32.39%-188M41.18%-70M-105.99%-23M-109.87%-15M-53.78%110M84.10%-142M90.46%-119M7,580.00%384M136.89%152M
-Change in payables and accrued expense 8.29%-509M-175.61%-648M479.55%1.81B90.67%1.76B68.70%-246M57.89%-555M-42.68%857M-78.10%313M1,024.39%922M-835.71%-786M
-Change in other working capital -475.76%-190M16.84%-558M-27.73%-1.41B18.66%-218M-61.84%-492M59.26%-33M-47.80%-671M-74.33%-1.11B46.83%-268M-546.81%-304M
Cash from discontinued investing activities
Operating cash flow -5.39%4.83B-12.28%4.3B17.79%19.85B7.73%5.75B5.82%4.09B42.70%5.1B20.49%4.9B0.75%16.85B43.85%5.34B19.01%3.86B
Investing cash flow
Cash flow from continuing investing activities 7.89%-922M9.33%-1.11B-0.11%-3.5B35.09%-518M44.71%-763M-104.29%-1B-46.88%-1.22B20.89%-3.5B-17.01%-798M22.30%-1.38B
Capital expenditure reported -13.22%-925M-7.35%-993M-8.49%-3.32B-6.68%-783M-9.18%-797M-15.40%-817M-3.93%-925M2.98%-3.06B-6.07%-734M2.28%-730M
Net business purchase and sale --0---6M97.25%-21M--096.71%-21M--0--044.61%-765M---51M38.18%-638M
Net other investing changes 102.16%4M63.30%-109M-149.24%-161M2,138.46%265M566.67%56M-163.36%-185M-595.00%-297M189.38%327M-230.00%-13M-500.00%-12M
Cash from discontinued investing activities
Investing cash flow 8.08%-921M9.33%-1.11B-0.11%-3.5B35.09%-518M44.78%-762M-104.49%-1B-46.88%-1.22B20.89%-3.5B-17.01%-798M22.30%-1.38B
Financing cash flow
Cash flow from continuing financing activities 7.96%-5.57B68.88%-634M-22.30%-14.86B35.81%-2.5B-143.41%-4.27B-102.21%-6.05B41.92%-2.04B18.35%-12.15B6.37%-3.89B60.45%-1.75B
Net issuance payments of debt 69.82%-859M108.54%3.01B-183.15%-2.44B126.14%526M-211.80%-1.56B-387.18%-2.85B-43.71%1.44B55.23%2.94B-136.43%-2.01B186.67%1.4B
Net common stock issuance -150.25%-2.51B-29.27%-1.94B31.92%-5.01B---1.52B26.94%-987M49.90%-1B62.50%-1.5B26.49%-7.35B--0-8.17%-1.35B
Cash dividends paid -6.69%-2.44B-6.77%-2.45B-3.48%-9.31B-6.99%-2.45B-2.74%-2.29B-2.55%-2.29B-1.55%-2.29B-2.61%-9B-1.19%-2.29B-3.20%-2.22B
Proceeds from stock option exercised by employees 182.35%240M138.78%745M50.12%1.91B130.39%940M33.96%568M-65.86%85M65.96%312M-36.71%1.27B99.02%408M-27.52%424M
Net other financing activities ----------------------3M---1M------------
Cash from discontinued financing activities
Financing cash flow 7.90%-5.57B68.89%-634M-22.30%-14.86B35.81%-2.5B-143.53%-4.27B-102.10%-6.05B41.89%-2.04B18.35%-12.15B6.37%-3.89B60.45%-1.75B
Net cash flow
Beginning cash position 24.89%12.16B14.99%9.48B14.31%8.25B-10.11%6.83B15.12%7.89B45.05%9.73B14.31%8.25B-29.88%7.21B-10.91%7.6B-40.63%6.85B
Current changes in cash 14.56%-1.67B55.69%2.56B23.71%1.49B321.08%2.74B-229.18%-943M-2,242.86%-1.95B710.78%1.64B146.64%1.2B157.68%650M124.65%730M
Effect of exchange rate changes -342.99%-260M174.36%116M-47.65%-251M---83M-1,091.67%-119M101.89%107M33.62%-156M65.79%-170M--0121.43%12M
End cash Position 29.66%10.23B24.89%12.16B14.99%9.48B14.99%9.48B-10.11%6.83B15.12%7.89B45.05%9.73B14.31%8.25B14.31%8.25B-10.91%7.6B
Free cash from -8.94%3.9B-16.84%3.31B19.86%16.52B7.90%4.97B5.04%3.29B49.44%4.28B25.13%3.98B1.61%13.79B52.50%4.61B25.37%3.13B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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