All charts and data below are CPI-U inflation-adjusted and with dividends reinvested. (Why?)

Total Real Returns

PG: Total Real Return Chart (Dividends Reinvested, Inflation Adjusted)

PG real return snapshot: after CPI-U inflation, PG returned โˆ’16.91% over the past year and โˆ’3.31% YTD, with dividends reinvested. Since Jan. 2, 1962, PG is up +4,145.41% in real purchasing-power return, or +5.99%/yr, and is currently โˆ’22.93% below its real total-return high on Dec. 2, 2024.

Tue 1962-01-02๐Ÿ’ฌ to Tue 2026-06-02 YTD
Return
1 Year
Return
PG
×
โˆ’3.31%
2026-06-02
โˆ’16.91%
2026-06-02
Procter & Gamble Company NYSE Common Stock

Returns

Tue 1962-01-02๐Ÿ’ฌ to Tue 2026-06-02 Overall
Return
Exponential
Trendline
PG
×
+4,145.41%
+5.99%/yr
+8.00%/yr
(R2=0.931)
Procter & Gamble Company NYSE Common Stock

Growth of $10,000

Tue 1962-01-02๐Ÿ’ฌ to Tue 2026-06-02 Start
Value
End
Value
PG
×
$10,000.00
1962-01-02
$424,540.74
2026-06-02
Procter & Gamble Company NYSE Common Stock

Annual Returns

Year PG
2026 (YTD) โˆ’3.31%
2025 โˆ’14.53%
2024 +13.97%
2023 โˆ’4.07%
2022 โˆ’10.82%
2021 +12.60%
2020 +12.62%
2019 +36.58%
2018 +1.63%
2017 +10.36%
2016 +7.14%
2015 โˆ’10.62%
2014 +14.56%
2013 +21.82%
2012 +3.41%
2011 +3.98%
2010 +7.75%
2009 โˆ’1.50%
2008 โˆ’13.89%
2007 +12.06%
2006 +10.60%
2005 +3.63%
2004 +8.84%
2003 +16.29%
2002 +8.91%
2001 +1.54%
2000 โˆ’29.48%
1999 +18.39%
1998 +14.05%
1997 +47.96%
1996 +27.94%
1995 +33.42%
1994 +8.43%
1993 +5.87%
1992 +13.47%
1991 +7.73%
1990 +19.07%
1989 +59.38%
1988 +1.09%
1987 +10.41%
1986 +12.37%
1985 +23.56%
1984 +1.13%
1983 โˆ’3.88%
1982 +48.55%
1981 +13.04%
1980 โˆ’13.33%
1979 โˆ’23.17%
1978 โˆ’1.75%
1977 โˆ’11.28%
1976 +2.66%
1975 +4.40%
1974 โˆ’19.46%
1973 โˆ’22.87%
1972 +39.74%
1971 +34.04%
1970 +2.91%
1969 +19.19%
1968 โˆ’10.47%
1967 +22.64%
1966 +1.71%
1965 โˆ’16.46%
1964 +1.06%
1963 +10.26%
1962 โˆ’23.15%

Drawdowns

Tue 1962-01-02๐Ÿ’ฌ to Tue 2026-06-02 Current
Drawdown
Worst
Drawdown
PG
×
โˆ’22.93%
from 2024-12-02 peak
โˆ’66.55%
1980-12-19
from 1973-01-19 peak
Procter & Gamble Company NYSE Common Stock

Rolling Returns

Period ending Tue 2026-06-02 1
Year
2
Years
3
Years
5
Years
10
Years
PG
×
โˆ’16.91% โˆ’15.21%
โˆ’7.90%/yr
โˆ’5.41%
โˆ’1.84%/yr
โˆ’3.38%
โˆ’0.69%/yr
+62.34%
+4.97%/yr
Procter & Gamble Company NYSE Common Stock