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Procter & Gamble (GB:0NOF)
LSE:0NOF
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Procter & Gamble (0NOF) Financial Statements

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Procter & Gamble Financial Overview

Procter & Gamble's market cap is currently $367.18B. The company's EPS TTM is $1.48; its P/E ratio is 23.88; and it has a dividend yield of 2.63%. Procter & Gamble is scheduled to report earnings on July 29, 2025, and the estimated EPS forecast is $1.92. See an overview of income statement, balance sheet, and cash flow financials.
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Income Statement
Total Revenue$ 84.28B$ 84.04B$ 82.01B$ 80.19B$ 76.12B
Gross Profit$ 43.12B$ 43.19B$ 39.25B$ 38.03B$ 39.01B
Operating Income$ 20.45B$ 18.55B$ 18.13B$ 17.81B$ 17.99B
EBITDA$ 21.07B$ 22.58B$ 21.77B$ 21.24B$ 20.85B
Net Income$ 15.97B$ 14.88B$ 14.65B$ 14.74B$ 14.31B
Balance Sheet
Cash & Short-Term Investments$ 9.56B$ 9.48B$ 8.25B$ 7.21B$ 10.29B
Total Assets$ 125.23B$ 122.37B$ 120.83B$ 117.21B$ 119.31B
Total Debt$ 34.51B$ 33.37B$ 35.42B$ 32.29B$ 32.84B
Net Debt$ 24.95B$ 23.89B$ 27.18B$ 25.08B$ 22.55B
Total Liabilities$ 72.95B$ 71.81B$ 73.76B$ 70.35B$ 72.65B
Stockholders' Equity$ 52.28B$ 50.29B$ 46.78B$ 46.59B$ 46.38B
Cash Flow
Free Cash Flow$ 14.04B$ 16.52B$ 13.79B$ 13.57B$ 15.58B
Operating Cash Flow$ 17.82B$ 19.85B$ 16.85B$ 16.72B$ 18.37B
Investing Cash Flow$ -3.82B$ -3.50B$ -3.50B$ -4.42B$ -2.83B
Financing Cash Flow$ -14.04B$ -14.86B$ -12.15B$ -14.88B$ -21.53B
Currency in USD

Procter & Gamble Earnings and Revenue History

Procter & Gamble Debt to Assets

Procter & Gamble Cash Flow

Procter & Gamble Forecast EPS vs Actual EPS

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