The Procter & Gamble Company (PG) Margin Analysis - Discounting Cash Flows
PG
The Procter & Gamble Company
PG (NYSE)

Years and Quarters

Years

Years

The number of historical years used to render the annual chart and tables.

Quarters

Quarters

The number of historical quarters used to render the quarterly chart and tables.

Margin Analysis Report

Margins refer to the ratio between a financial report item and the revenue (example: Net Income Margin = Net Income / Revenue).

This analysis provides annual and quarterly sections for reporting key financial margins.

Annual Section

The annual section uses annual data to calculate margins and growth rates.

Monetary values in USD

amounts except #

LTM
Mar 13
2025
Jun 30
2024
Jun 30
2023
Jun 30
2022
Jun 30
Revenue 85,259 84,284 84,039 82,006 80,187
Revenue Growth Rate 1.16% 0.292% 2.48% 2.27% 5.35%
Cost of Revenue 42,046 41,164 40,848 42,760 42,157
Gross Profit 43,213 43,120 43,191 39,246 38,030
Gross Margin 50.68% 51.16% 51.39% 47.86% 47.43%
Operating Income 20,135 20,451 18,545 18,134 17,813
Operating Margin 23.62% 24.26% 22.07% 22.11% 22.21%
Net Income 16,466 15,974 14,879 14,653 14,742
Net Margin 19.31% 18.95% 17.7% 17.87% 18.38%

Monetary values in USD

amounts except #

LTM
Mar 13
2025
Jun 30
2024
Jun 30
2023
Jun 30
2022
Jun 30
Revenue 85,259 84,284 84,039 82,006 80,187
Cash from Operating Activities 19,070 17,818 19,846 16,848 16,723
Cash from Operating Activities Margin 22.37% 21.14% 23.62% 20.54% 20.86%
Free Cash Flow 14,848 14,044 16,524 13,786 13,567
Free Cash Flow Margin 17.42% 16.66% 19.66% 16.81% 16.92%
Depreciation and Amortization 2,976 2,847 2,896 2,714 2,807
Depreciation and Amortization Margin 3.49% 3.38% 3.45% 3.31% 3.5%
Capital Expenditure -4,222 -3,773 -3,322 -3,062 -3,156
Capital Expenditure Margin -4.95% -4.48% -3.95% -3.73% -3.94%

Annual Chart

Monetary values in USD

Quarterly Section

The quarterly section uses quarterly data to calculate margins and growth rates.

Monetary values in USD

amounts except #

2026 (Q2)
Dec 31
2026 (Q1)
Sep 30
2025 (Q4)
Jun 30
2025 (Q3)
Mar 31
2025 (Q2)
Dec 31
2025 (Q1)
Sep 30
2024 (Q4)
Jun 30
2024 (Q3)
Mar 31
2024 (Q2)
Dec 31
Revenue 22,208 22,386 20,889 19,776 21,882 21,737
Revenue Growth Rate -0.795% 7.17% 5.63% -9.62% 0.667%
Cost of Revenue 10,834 10,887 10,631 9,694 10,418 10,421
Gross Profit 11,374 11,499 10,258 10,082 11,464 11,316
Gross Margin 51.22% 51.37% 49.11% 50.98% 52.39% 52.06%
Operating Income 5,366 5,856 4,355 4,558 5,741 5,797
Operating Margin 24.16% 26.16% 20.85% 23.05% 26.24% 26.67%
Net Income 4,331 4,750 3,616 3,769 4,630 3,959
Net Margin 19.5% 21.22% 17.31% 19.06% 21.16% 18.21%

Monetary values in USD

amounts except #

2026 (Q2)
Dec 31
2026 (Q1)
Sep 30
2025 (Q4)
Jun 30
2025 (Q3)
Mar 31
2025 (Q2)
Dec 31
2025 (Q1)
Sep 30
2024 (Q4)
Jun 30
2024 (Q3)
Mar 31
2024 (Q2)
Dec 31
Revenue 22,208 22,386 20,889 19,776 21,882 21,737
Cash from Operating Activities 4,972 5,408 4,985 3,705 4,825 4,302
Cash from Operating Activities Margin 22.39% 24.16% 23.86% 18.73% 22.05% 19.79%
Free Cash Flow 3,805 4,208 3,989 2,846 3,900 3,309
Free Cash Flow Margin 17.13% 18.8% 19.1% 14.39% 17.82% 15.22%
Depreciation and Amortization 802 761 723 690 706 728
Depreciation and Amortization Margin 3.61% 3.4% 3.46% 3.49% 3.23% 3.35%
Capital Expenditure -1,167 -1,200 -996 -859 -925 -993
Capital Expenditure Margin -5.25% -5.36% -4.77% -4.34% -4.23% -4.57%

Quarterly Chart

Monetary values in USD

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Discounting Cash Flows

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