Hints and tips:
Related Special Reports
...That sign of robust consumer demand, despite a 4 per cent increase in P&G’s pricing globally, also lifted shares in other consumer goods groups....
...P&G reported net sales of $21.9bn in the three months ended September 30, a 6 per cent increase from a year earlier and beating analysts’ expectations for $21.6bn....
...Thus only a fraction of overall AUM is deployed in strategies that have a direct impact on the VIX® index (e.g. 1-month over/underwriting strategies on the S&P 500 index)....
...P&G has increased prices across all of its main divisions in the three months to the end of June....
...He did gain a seat on the P&G board after a very close vote and recount....
...P&G posted core earnings per share of $1.84, above FactSet estimates of $1.70....
...“When you think about places like Nigeria, when you think about places like Argentina, it’s very difficult for us as a US dollar-denominated company to create value”, Andre Schulten, P&G’s chief financial...
...The most recent one — P&G in 2017 — marked one of the largest, most expensive and most dramatic proxy battles of all time, with Peltz claiming a board seat by a whisker following a recount....
...These scores supplemented a broader description of a company’s ESG credit factors and their impact on credit quality, S&P said....
...P&G, Fifth Third Bank, and SLB will also report earnings before the bell. India election: The first phase of voting in the country’s six-week election started today....
...FirstEnergy, an Ohio utility that has been charged with corruption, received a four score for “G”, S&P’s second-lowest grade....
...Today, about 70 per cent of companies in the S&P 500 stocks index pay a dividend, but generally a slender one....
...This cover is provided in the first instance to the Dali by Britannia P&I Club....
...Her previous jobs at Swiss perfume group Firmenich, where she worked from 2020 until joining AP, and at P&G across sectors such as batteries and haircare, bear little connection to horology....
...P&G’s “matrixed” organisational structure, in which functions such as advertising and manufacture were centrally operated independent of individual product lines, increased costs and limited accountability...
...Of this gamma supply, ~70% is on the S&P 500/SPY options,~25% is in Nasdaq/QQQ, and the remainder is a variety of index/ETF exposures (mainly Russell 2000, MSCI EAFE, and MSCI EM) and single names (mainly...
...A pack? A litter? Whatever it is, we have one on our hands....
..., European stocks rallied at the back of China reopening (e.g. luxury goods, travel, etc.), and Japan stocks rallied as many institutions reduced exposure to China and moved money into Japan as a proxy....
...Revenues have been flat for the past seven years, according to S&P CIQ data, which means they are falling in real terms....
...The fund also holds Cairn Homes, the Irish housebuilder with a London listing, which trades on a p/e of 8.7 times, compared with US housebuilders such as Lennar, trading at nearly 11 times....
...P&G: Investors will be listening to packaged consumer goods manufacturer Procter & Gamble for signals on demand for its staple products....
...P&G were contacted for comment....
...From S&P’s definitions: A short-term obligation rated ‘D’ is in default or in breach of an imputed promise....
...new skills, new sectors, at the same time as we’re trying to run the offshore E&P [oil and gas exploration and production] industry”....
...“Under Governor [Kazuo] Ueda’s leadership, the BoJ is moving to a more pragmatic approach,” said Iain Stealey, international CIO for fixed income at J.P. Morgan Asset Management....
International Edition