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Procter & Gamble Co BDR (PGCO34)

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498.74 0.00    0.00%
18/09 - Delayed Data. Currency in BRL ( Disclaimer )
Type: Equity
Market: Brazil
ISIN: BRPGCOBDR001 
  • Volume: 0
  • Bid/Ask: 0.00 / 0.00
  • Day's Range: 498.74 - 498.74
Procter Gamble Co BDR 498.74 0.00 0.00%

PGCO34 Financial Summary

 
A brief financial summary of Procter & Gamble Co BDR as well as the most significant critical numbers from each of its financial reports. In addition, some financial ratios derived from these reports are featured. Users can opt to see 4 periods of either annual or quarterly information.

For the fiscal year ended 30 June 2019, Procter & Gamble Co revenues increased 1% to $67.68B. Net income applicable to common stockholders excluding extraordinary items decreased 64% to $3.63B. Revenues reflect Fabric & Home Care segment increase of 3% to $22.08B, Beauty segment increase of 4% to $12.9B, United States segment increase of 5% to $28.6B. Net income was offset by Selling and General Expenses - Balancing increase of 2% to $19.01B (expense).

TTM = Trailing Twelve Months
MRQ = Most Recent Quarter

PGCO34 Income Statement

Gross margin TTM 58.09%
Operating margin TTM 18.99%
Net Profit margin TTM 14.22%
Return on Investment TTM 45.84%
 Total Revenue  Net Income
Period Ending: Jun 30, 2019 Mar 31, 2019 Dec 31, 2018 Sep 30, 2018
Total Revenue 17094 16462 17438 16690
Gross Profit 8684 8120 8662 8270
Operating Income -5193 3227 3887 3908
Net Income -5241 2745 3194 3199

PGCO34 Balance Sheet

Quick Ratio MRQ 1.35
Current Ratio MRQ 1.66
LT Debt to Equity MRQ -
Total Debt to Equity MRQ -
 Total Assets  Total Liabilities
Period Ending: Jun 30, 2019 Mar 31, 2019 Dec 31, 2018 Sep 30, 2018
Total Assets 115095 121673 123687 118440
Total Liabilities 67901 66601 69697 66204
Total Equity 47194 55072 53990 52236

PGCO34 Cash Flow Statement

Cash Flow/Share TTM 144.47
Revenue/Share TTM 907.79
Operating Cash Flow  50.79%
 Cash  Net Change in Cash
Period Ending: Jun 30, 2019 Mar 31, 2019 Dec 31, 2018 Sep 30, 2018
Period Length: 12 Months 9 Months 6 Months 3 Months
Cash From Operating Activities 15242 11091 7574 3567
Cash From Investing Activities -3490 -4137 -4710 -865
Cash From Financing Activities -9994 -6690 -1624 -2656
Net Change in Cash 1670 169 1127 -24
* In Millions of USD (except for per share items)
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