| 1 year | -9.0%โ negative |
| 3 years | -0.2%โ negative |
| 5 years | +4.1%โ lags S&P |
| 10 years | +8.9%โ lags S&P |
| 20 years | +7.6%โ lags S&P |
| All-time | +11.2% |
Procter & Gamble (ticker: PG) has delivered a +4.1%/yr 5-year CAGR and a +8.9%/yr 10-year CAGR. For comparison, the S&P 500 has averaged approximately +10.5%/yr over the long run.
If you had invested $10,000 in PG and added $500 per month, after 30 years at its historical rate your portfolio could grow to approximately $1.8M โ compared to $1.5M in the S&P 500 at 10.5%/yr. Procter & Gamble also pays a dividend yield of approximately 2.93% annually.
โ Past performance does not guarantee future results. This page is for educational purposes and does not constitute financial advice. Data last refreshed: 2026-03-20.
PortfolioCalc lets you combine PG with other stocks and ETFs, set a monthly investment, and see a detailed 30-year projection โ free, no account required.
Explore other popular tickers: