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Procter & Gamble Forecasts for Tomorrow, Week, Month and 5 Years

Оновлено: March 11, 2026 at 02:19 UTC
▲ +0.51%TA Bullish · Focus Earnings + trend

Підсумок прогнозу

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часові рамкиПрогнозована цінаминулеІсторичнийІнсайт
завтра$161.28 +3.38%вчора$155.22 +0.51%Short-term bias is up with low daily volatility (~1.11%).
Short-term bias is up with low daily volatility (~1.11%).
тиждень$166.12 +6.48%Минулий тиждень$159.72 -2.32%7-day projection follows positive momentum and near-term trend alignment.
7-day projection follows positive momentum and near-term trend alignment.
місяць$174.66 +11.95%Останній місяць$159.17 -1.99%Monthly setup reflects upward drift and regime-adjusted volatility.
Monthly setup reflects upward drift and regime-adjusted volatility.
рік$173.15 +10.98%Минулого року$176.26 -11.49%Yearly scenario blends trend slope and macro-sensitive drift; confidence drops as horizon expands.
Yearly scenario blends trend slope and macro-sensitive drift; confidence drops as horizon expands.
5 років$180.86 +15.93%5 років тому$126.91 +22.93%5-year view is directional and assumes cycle continuity, not a guaranteed price path.
5-year view is directional and assumes cycle continuity, not a guaranteed price path.
завтра$161.28 +3.38%
вчора$155.22 +0.51%
Short-term bias is up with low daily volatility (~1.11%).
тиждень$166.12 +6.48%
Минулий тиждень$159.72 -2.32%
7-day projection follows positive momentum and near-term trend alignment.
місяць$174.66 +11.95%
Останній місяць$159.17 -1.99%
Monthly setup reflects upward drift and regime-adjusted volatility.
рік$173.15 +10.98%
Минулого року$176.26 -11.49%
Yearly scenario blends trend slope and macro-sensitive drift; confidence drops as horizon expands.
5 років$180.86 +15.93%
5 років тому$126.91 +22.93%
5-year view is directional and assumes cycle continuity, not a guaranteed price path.
Risk notice: This forecast is informational only, not financial advice; accuracy depends on volatility, liquidity, macro events, and other external factors.

Діаграма цін

ІсторичнийПрогнозбичачийВедмежий
$168.39$165.10$161.80$158.51$155.221W AgoNow7D F

Технічний аналіз

ПродатиНейтральнийкупити
Bullish
1
бичачий
4
Нейтральний
0
Ведмежий

Ключові показники

ІндикаторЗначенняСигнал
RSI 1452.3 Neutral
MACD0.08 Bullish
SMA 50$162.17 Mid
SMA 200$159.48 Mid
EMA 20$158.34 Mid

Історичні дані

Open$155.22
Start Date1985-01-01
Day Range$153.60 – $157.15
Market Capn/a
Monthly Range$147.34 – $167.20
24h Volumen/a
90D Range$138.04 – $167.20
Circulatingn/a
52W Range$138.04 – $179.70
Max Supplyn/a
Open$155.22Start Date1985-01-01
Day Range$153.60 – $157.15Market Capn/a
Monthly Range$147.34 – $167.2024h Volumen/a
90D Range$138.04 – $167.20Circulatingn/a
52W Range$138.04 – $179.70Max Supplyn/a

Рівні підтримки та опору

$161.08R3 — major ceiling
$159.56R2 — swing resistance
$158.04R1 — near-term resistance
$156.01Поточна цінаPG
$152.89S1 — near-term supportSupport
$148.21S2 — structure support
$143.53S3 — deep support
Nearest resistance sits near $158.04; breaks above this area would improve continuation odds.
Nearest support is around $152.89; repeated failures below this zone would increase downside risk.
Levels are derived from observed rolling highs/lows with 1.35% daily realized volatility.

Цінові віхи

Ключові рівні та історичний контекст
Recent$156.01Current
Current reference level from live market feed.
24h High$157.15Local High+0.73%
Observed day high from latest market session.
24h Low$153.60Local Low-1.54%
Observed day low from latest market session.
30D Target$174.66Model 1M+11.95%
Forecast engine medium-horizon projection.
1Y Target$173.15Model 1Y+10.99%
Forecast engine long-horizon projection.
5Y Scenario$180.86Model 5Y+15.93%
Long-cycle continuation scenario, not a guaranteed path.

Точність прогнозу

Як працює наша модель
82%
Спрямований
Forecast Accuracy
Based on live volatility regime (1.35% daily), near-term direction remains more stable than long horizons.
📊
Наш алгоритм щотижня повторно калібрується з використанням останніх цінових дій, режиму волатильності та сигналів індикаторів. Точність залежить від періоду часу — короткостроковий імпульс надійніший, ніж довгострокові прогнози.
Tomorrow
85%
Direction hit rate
7 Days
83%
Direction hit rate
30 Days
80%
Direction hit rate
1 Year
75%
Direction hit rate
Avg. Price Error (30D)
±2.5%
Mean absolute deviation
Last Correct Call
Recent
Directional call ✓

Інвестиційні сценарії

Якщо ви інвестуєте $1,000 у PG сьогодні
Bullish Case
$1159.28
+15.93% from current
Цільова ціна$180.86
СценарійBreakout continuation
Ймовірність35%
Base Case
$1119.54
+11.95% from current
Цільова ціна$174.66
СценарійTrend-following baseline
Ймовірність37%
Bearish Case
$920.00
-8.00% from current
Цільова ціна$143.53
СценарійVolatility drawdown
Ймовірність28%
Основа: Scenario engine blends live drift (+11.95% / 30D) and realized volatility (1.35% daily).

Кореляційна матриця

30-денна зміна · як PG рухається з іншими активами
PGTMUSCOSTARMMCDSAP
PG1.000.980.970.970.960.96
TMUS0.981.000.991.000.980.99
COST0.970.991.000.980.990.98
ARM0.971.000.981.000.970.99
MCD0.960.980.990.971.000.96
SAP0.960.990.980.990.961.00

Фактори прогнозу

Market Structure
Price structure reflects the latest momentum regime and support/resistance interaction.
Momentum Bullish · 80/100
24H drift+3.38%
7D drift+6.48%
30D drift+11.95%
Technical Signals
Signals combine RSI, MACD, and moving average stacks to estimate short-term direction.
Bearish Setup · 37/100
RSI51.7 · Neutral
MACD0.00 · Neutral
MA stack0/3 bullish
Macro Context
Rates, dollar strength, and cross-asset risk appetite influence medium-term paths.
Risk-On Tentative · 63/100
1M outlook+11.95%
1Y outlook+10.98%
5Y outlook+15.93%

Часті запитання

Q What is the PG forecast for tomorrow?
PG is projected near $161.28 versus the latest reference around $156.01. That implies a modeled move of +3.38% over the next day, with realized prices still sensitive to intraday volatility.
Q What does the 7-day outlook suggest for PG?
The weekly model points to $166.12, which maps to an expected drift of +6.48% from current conditions. This horizon reacts quickly to momentum shifts, so breaks at nearby levels can change the path faster than long-term targets.
Q How should I read the 1-month and 1-year targets?
The 1-month target is $174.66 (+11.95%), while the 1-year target is $173.15 (+10.98%). The monthly view tracks prevailing trend pressure, and the yearly view reflects broader cycle assumptions and macro sensitivity.
Q Why does the 5-year scenario differ from shorter forecasts?
The long-horizon scenario sits near $180.86 with a modeled change of +15.93%. It compounds cycle continuation assumptions over time, so it should be treated as a scenario envelope rather than a precise endpoint.
Q Where are the most important support and resistance zones right now?
Nearest resistance is around $158.04, while nearest support is around $152.89. A clean break above resistance improves continuation odds, while repeated closes under support raise downside risk.
Q How fresh are the recent high/low milestones?
The latest observed session range is roughly $153.60 to $157.15. These checkpoints are rebuilt from the live market snapshot so milestone context updates with each data refresh.