The Procter & Gamble Company
Financial ratios & Valuation

Forward Multiples (2026 – 2028)

202620272028
Price/Earnings ratio
21.3319.7819.31
Price/Sales ratio
4.234.063.93
Earnings per Share (EPS)
$7.43$8.01$8.21

Historical Multiples (2015 – 2024)

2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 TTM Median
Valuation Ratios
Price/Earnings ratio
31.2922.2815.0220.2470.9822.8223.2523.5024.5225.8127.8927.89
Price/Sales ratio
3.113.583.532.954.084.194.374.324.384.564.754.08
Price/Book Value ratio
3.494.034.123.775.886.397.177.437.687.637.705.88
Price/Cash Flow ratio
15.0715.1618.0513.2818.1417.0818.1120.7221.3219.3520.7518.14
Price/Free Cash Flow ratio
20.2519.3124.5717.7023.2520.7521.3425.5426.0623.2425.1823.25
Price/Earnings Growth ratio
-0.770.420.28-0.60-1.190.092.134.3121.026.816.13-1.19
Dividend Yield
3.30%3.17%3.14%3.70%2.71%2.61%2.48%2.53%2.50%2.42%2.33%2.61%
Profitability Indicator Ratios
Gross Profit Margin
47.62%49.60%49.99%48.47%48.63%50.31%51.24%47.42%47.85%51.39%51.41%48.63%
Operating Profit Margin
15.61%20.58%21.45%19.99%8.10%22.13%23.62%22.21%22.11%22.06%22.13%8.10%
Pretax Profit Margin
15.56%20.47%20.37%19.93%8.96%22.31%23.14%22.44%22.38%22.32%21.56%8.96%
Net Profit Margin
9.94%16.09%23.55%14.58%5.75%18.36%18.79%18.38%17.86%17.70%17.06%5.75%
Effective Tax Rate
24.74%24.99%23.10%26.00%34.65%17.24%18.52%17.79%19.69%20.18%20.40%20.40%
Return on Assets
5.43%8.26%12.72%8.24%3.38%10.79%11.99%12.57%12.12%12.15%11.32%3.38%
Return On Equity
11.15%18.12%27.47%18.64%8.29%28.00%30.84%31.64%31.32%29.58%28.53%8.29%
Return on Capital Employed
11.08%13.94%15.47%14.83%6.44%17.90%20.87%21.17%21.31%20.89%20.62%6.44%
Liquidity Ratios
Current Ratio
0.991.090.870.820.740.840.69N/AN/AN/A0.750.74
Quick Ratio
0.810.940.720.650.580.680.510.440.430.520.550.68
Cash ratio
0.220.230.180.090.140.490.310.210.230.280.330.14
Days of Sales Outstanding
23.5624.4425.7725.5926.6921.4922.6523.4124.3526.5727.4626.69
Days of Inventory outstanding
53.7252.3051.8750.2252.6656.9258.8459.9460.3762.6965.2452.66
Operating Cycle
77.2876.7477.6475.8179.3678.4281.5083.3584.7289.2692.7079.36
Days of Payables Outstanding
80.15103.42108.05109.65118.20124.99134.95128.85124.60137.28137.43118.20
Cash Conversion Cycle
-2.87-26.67-30.40-33.83-38.84-46.56-53.44-45.49-39.88-48.02-44.72-44.72
Debt Ratios
Debt Ratio
0.230.240.260.260.260.280.260.260.280.260.280.26
Debt Equity Ratio
0.480.520.560.590.640.740.680.670.730.640.690.64
Long-term Debt to Capitalization
0.220.240.240.280.300.330.330.320.340.330.330.30
Total Debt to Capitalization
0.320.340.360.370.390.420.400.400.420.390.410.39
Interest Coverage Ratio
22.0723.2130.0127.0927.1733.7735.82N/AN/AN/A19.7833.77
Cash Flow to Debt Ratio
0.480.500.400.470.500.500.570.530.480.610.530.50
Company Equity Multiplier
2.052.192.152.262.442.592.572.512.582.432.432.59
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.200.230.190.220.220.240.240.200.200.230.220.22
Free Cash Flow / Operating Cash Flow Ratio
0.740.780.730.740.780.820.840.810.810.830.820.78
Cash Flow Coverage Ratio
0.480.500.400.470.500.500.570.530.480.610.530.50
Short Term Coverage Ratio
1.211.320.941.421.571.552.061.931.642.751.841.57
Dividend Payout Ratio
103.56%70.76%47.21%74.97%192.40%59.79%57.75%59.48%61.41%62.58%66.11%66.11%