|Bid||88.870 x 100|
|Ask||88.880 x 1200|
|Day's range||88.550 - 89.080|
|52-week range||81.180 - 92.000|
|PE ratio (TTM)||16.33|
|Earnings date||27 Jul 2017|
|Dividend & yield||2.76 (3.11%)|
|1y target est||91.59|
Lower sales with higher commodity costs, and more spending on R&D will likely impact Procter & Gamble's (PG) results. The negatives might be partly offset by cost-saving initiatives.
The majority of analysts covering Procter & Gamble (PG) stock maintain a “neutral” outlook.
Categories: ETFs Yahoo FinanceClick here to see latest analysis ETFs with exposure to Procter & Gamble Co. Here are 5 ETFs with the largest exposure to PG-US. Comparing the performance and risk of Procter & Gamble Co. with the ETFs that have exposure to it gives us some ETF choices that could give us similar returns with lower ... Read more (Read more...)