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PG Price Prediction
PG Stock Price Prediction 2026
Procter & Gamble Company
$151.77
+$1.87
(+1.25%)
AI-powered price predictions based on fundamental analysis and growth projections
Last Updated: January 30, 2026
Evaluate position
Key Signals:
•
Price consolidating in 3.79% range for 12 days
•
Moving averages converging - equilibrium state
•
MACD converging near zero line - potential energy building
•
Volume showing accumulation (CMF: 0.1272)
•
Price near resistance at $150.15
MACD: Bullish
|
Volume: Accumulation
Fair Value: $133.96
(Current: $151.77)
Based on PEG ratio analysis, this stock appears overvalued at current levels.
Consider waiting for a better entry point or reassess fundamentals.
📈
Volume Trend: Accumulation
Institutional Buying Detected - Smart money is accumulating shares
Chaikin Money Flow (CMF):
0.127
Money Flow Index (MFI):
68.9
Positive CMF indicates money flowing into the stock. This bullish signal suggests institutional interest.
Options Analysis: 1-Year Target Strategy
Score: 52/100
Analysts project the stock to decline. Options analysis identifies premium selling opportunities (covered calls, credit spreads).
SELL PREMIUM - Good covered call opportunity. Analysts bearish with 1.1% downside target.
Growth Target (1Y)
$150.05
-1.1% (below current)
Best Strike Found
$145.00
Exp: Jan. 15, 2027, midnight
Call Premium
$16.55
10.9% of stock price
Breakeven Price
$161.55
⚠ Above target
Implied Probability
61.5%
Market's confidence
Value Score
-69.5
Overpriced
📉
STRONG SELL
Analysts expect stock to decline - Sell calls to collect premium
Seller's Advantage:
Profit if Target Hits
$11.50
ROI if Target Hits
+69.5%
Why This Works: Buyers lose 69.5% even if target hits. Premium is overpriced for -1.1% move.
Suggested Strategies:
Covered Call (safest)
Naked Call (risky)
Credit Spread (defined risk)
Open Interest: 284
| Volume: 1
Data as of: Jan 30, 2026
How to Use This Analysis:
Value Score shows profitability if the 1-year growth target is reached. Positive score = profitable for buyers.
Negative score = profit opportunity for premium sellers (covered calls, credit spreads).
Timeframe
Target Price
Potential Return
30 Days
$151.63
-0.1%
90 Days
$151.34
-0.3%
6 Months
$150.91
-0.6%
1 Year
$150.05
-1.1%
2 Years EXTENDED
$150.20
-1.0%
3 Years EXTENDED
$150.35
-0.9%
Support: Price floor where buying interest increases | Resistance: Price ceiling where selling pressure increases
Scenario Analysis (1-Year Outlook)
Best case scenario if strong fundamentals and market conditions align
Expected scenario based on current growth trajectory
Downside scenario if market headwinds or disappointing results
Key Fundamentals
P/S Ratio (TTM)
4.04x
Fair
Revenue Growth (QoQ)
0.0%
Earnings Growth (QoQ)
-0.1%
Options Activity
Classification
Moderate Alert
Recommendation: Moderate unusual activity. Monitor closely.
Investment Disclaimer:
These price predictions are generated using AI models and historical data. They are not financial advice and should not be the sole basis for investment decisions. Past performance does not guarantee future results. Always conduct your own research and consult with a qualified financial advisor before making investment decisions.