$164.46
+ $0.62 (0.38%)
End-of-day quote: 05/03/2024
NYSE:PG

Procter & Gamble Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$82.01B $80.19B $76.12B $70.95B $67.68B $66.83B $65.06B $65.30B $70.75B $74.40B $80.12B $82.01B $81.10B $77.57B $76.69B $79.26B $74.83B $68.22B $56.74B $51.41B
GM % Gross Margin %
48.05% 47.65% 51.43% 51.18% 48.63% 48.48% 49.83% 49.60% 47.62% 47.54% 50.08% 49.50% 50.85% 52.25% 49.55% 50.46% 52.35% 51.45% 50.88% 51.09%
OM Operating Margin
23.24% 23.31% 24.04% 23.22% 20.44% 19.99% 21.16% 20.60% 18.48% 18.70% 17.63% 17.82% 19.11% 20.28% 20.05% 20.16% 20.05% 19.42% 18.45% 18.25%
EPS Earnings Per Share
$0.00 $5.90 $5.81 $5.66 $5.12 $4.52 $4.22 $3.92 $3.67 $4.02 $4.22 $4.05 $3.85 $3.95 $3.67 $4.26 $3.50 $3.04 $2.66 $2.66 $2.32
Div. Dividends
$3.68 $3.52 $3.24 $3.03 $2.90 $2.79 $2.70 $2.66 $2.59 $2.45 $2.29 $2.14 $1.97 $1.80 $1.64 $1.45 $1.28 $1.15 $1.03 $0.93
PR % Payout Ratio %
62.37% 60.59% 57.24% 59.18% 64.16% 66.11% 68.88% 72.48% 64.43% 58.06% 56.54% 55.58% 49.87% 49.05% 38.50% 41.43% 42.11% 43.23% 38.72% 40.09%
Sha. Shares
2362.12m 2393.88m 2429.71m 2479.75m 2504.75m 2498.09m 2553.3m 2668.07m 2714.57m 2710.81m 2742.33m 2748.03m 2765.74m 2843.47m 2917.04m 3032.72m 3131.95m 3178.8m 2472.93m 2543.8m
OCF Operating Cash Flow
$16.85B $16.72B $18.37B $17.40B $15.24B $14.87B $12.75B $15.44B $14.61B $13.96B $14.87B $13.28B $13.33B $16.13B $14.92B $15.01B $13.41B $11.38B $8.68B $9.36B
FCF Free Cash Flow
$13.79B $13.57B $15.58B $14.33B $11.90B $11.15B $9.37B $12.12B $10.87B $10.11B $10.87B $9.32B $9.93B $13.06B $11.68B $11.96B $10.47B $8.71B $6.50B $7.33B
FCFS Free Cash Flow Per Share
$5.82 $5.63 $6.32 $5.76 $4.75 $4.41 $3.51 $4.40 $3.91 $3.62 $3.87 $3.29 $3.49 $4.43 $3.89 $3.83 $3.26 $2.80 $2.53 $2.79