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Jan. 22, 2022, 5:36 a.m. EST

Procter & Gamble PG Investment Analysis

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Jan 22, 2022 (Stock Traders Daily via COMTEX) -- Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This report optimizes trading in Procter & Gamble /zigman2/quotes/202894679/composite PG -1.07% with integrated risk controls.

The trading plans were valid at the time this was published, but the support and resistance levels for PG change as time passes, and this should be updated in real time. Access those real time updates for this and 1000 other stocks here. Unlimited Real Time Reports

Protection from Market Crashes: Subscribers also get our Tail Risk hedge, Evitar Corte

Use the basic rules of Technical Analysis. Here are some examples: if PG is testing support the signal is to buy and target resistance. On the other hand, if resistance is tested, that is a sign to short, and target support. No matter which side the trade is, long or short, the trigger point is both a place to enter and as a risk control.

This data can be used to define Day Trading, Swing Trading, and Long Term Investing plans for PG too. All of these are offered here: Access our Real Time Trading Plans

  • Buy PG over 153.33 target n/a stop loss @ 152.89.

  • NONE .

  • Buy PG over n/a, target n/a, Stop Loss @ 0

  • Short PG near n/a, target 162.00, Stop Loss @ 0.

  • Buy PG over 164.90, target n/a, Stop Loss @ 164.52

  • Short PG near 164.90, target 162.00, Stop Loss @ 165.28.

PG Technical Summary | Raw Data for the Trading Plans

COMTEX_401005993/2570/2022-01-22T05:36:01

Is there a problem with this press release? Contact the source provider Comtex at editorial@comtex.com. You can also contact MarketWatch Customer Service via our Customer Center.

/zigman2/quotes/202894679/composite
US : U.S.: NYSE
$ 153.03
-1.65 -1.07%
Volume: 88,998
May 18, 2022 9:38a
P/E Ratio
27.03
Dividend Yield
2.36%
Market Cap
$371.12 billion
Rev. per Employee
$788,297
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