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PG

The Procter & Gamble Company

Stock

$149.03+2.80 (+1.91%)Close Sep 28, 2026

PG returned 10.43% a year from Jan 1962 to Sep 2026, turning $10,000 into $6,141,795. It fell 54.23% from Jan 2000 to Mar 2000, and it took 4.3 years to get back to its high.

Jan 2, 1962 – Sep 28, 2026

$10,000 became$6,141,795
CAGR10.43%
Max drawdown−54.23%
Sharpe ratio0.57

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Growth of $10,000

  • PG

Trailing returns

PeriodPG
1M+3.65%
3M+0.75%
6M+6.00%
YTD+6.31%
1Y+0.60%
3Y+3.29%
5Y+3.81%
10Y+8.14%
15Y+9.04%
20Y+7.46%
25Y+8.68%
30Y+8.94%
Since 1962+10.43%

Metrics

ReturnPG
Final balance$6,141,795
Total return61,317.95%
CAGR10.43%
Calendar yearsPG
Best year66.78%
Worst year−27.09%
Positive years49 of 64
RiskPG
Max drawdown−54.23%
Longest drawdown9.2 years
Volatility (annualized)21.26%
Risk-adjustedPG
Sharpe ratio0.57
Sortino ratio0.83
Calmar ratio0.19

Worst drawdowns

DeclinePeakBottomRecovered
−54.2%Jan 2000Mar 2000May 2004
−41.0%Jan 1973Oct 1974Apr 1982
−40.2%Oct 1987Oct 1987May 1989
−39.0%Dec 2007Mar 2009Dec 2011
−35.6%Jan 1962Jun 1962Feb 1967

Annual returns

YearPG
1962−20.53%
1963+14.46%
1964+4.20%
1965−12.73%
1966+8.37%
1967+29.72%
1968−3.73%
1969+30.25%
1970+8.63%
1971+38.41%
1972+44.47%
1973−16.15%
1974−9.51%
1975+11.64%
1976+7.66%
1977−5.34%
1978+7.09%
1979−12.95%
1980−2.49%
1981+23.18%
1982+54.24%
1983−0.24%
1984+5.12%
1985+28.25%
1986+13.61%
1987+15.29%
1988+5.55%
1989+66.78%
1990+26.36%
1991+11.03%
1992+16.74%
1993+8.78%
1994+11.33%
1995+36.79%
1996+32.18%
1997+50.48%
1998+15.89%
1999+21.57%
2000−27.09%
2001+3.11%
2002+11.50%
2003+18.48%
2004+12.38%
2005+7.19%
2006+13.38%
2007+16.64%
2008−13.81%
2009+1.18%
2010+9.36%
2011+7.06%
2012+5.20%
2013+23.65%
2014+15.42%
2015−9.97%
2016+9.36%
2017+12.70%
2018+3.57%
2019+39.70%
2020+14.15%
2021+20.52%
2022−5.05%
2023−0.86%
2024+17.25%
2025−12.26%
2026to Sep 28+6.31%

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