Side-by-side comparison

PG vs PM — Side-by-side comparison

PM screens cheaper on EV/FCF, PG has the higher ROIC, PM has grown revenue faster over five years, and PG has the cleaner balance sheet by net debt / EBITDA.

PG

Procter & Gamble

Price

$144.44

Market cap

$372.4B

Day %

N/A

PM

Philip Morris Intl.

Price

$188.99

Market cap

$269.6B

Day %

N/A

Peer Comparison

Target stock against 1 market-cap comparable peer.

Heat map: red worst to green best
PG
Target
Procter & Gamble$372.4B22.2x25.8x30.6%3.5%16.7%N/A-0.4xN/A
PMPhilip Morris Intl.$269.6B26.0x24.8xN/A7.2%26.2%67.1%-0.3xN/A

PG implied-growth snapshot

Simple static valuation context using owner earnings yield and realized growth.

EV/FCF

25.8x

FCF yield

3.8%

5Y rev CAGR

3.5%

PM implied-growth snapshot

Simple static valuation context using owner earnings yield and realized growth.

EV/FCF

24.8x

FCF yield

4.0%

5Y rev CAGR

7.2%

5Y indexed stock chart

Static Recharts view indexed to 100 from available annual per-share data.

Quality Scorecard

Build-time composite score for PG.

Grade B
82
/ 100

Quality Scorecard

Build-time composite score for PM.

Grade C
57
/ 100