

Walmart vs Procter & Gamble
Walmart vs Procter & Gamble demonstrates a neutral comparison of two large consumer goods and retail groups. This page compares business models, financial performance, and market context to help readers understand how each company operates and competes in its sector. The goal is to present clear, accessible information for educational purposes. Educational content, not financial advice.
Walmart vs Procter & Gamble demonstrates a neutral comparison of two large consumer goods and retail groups. This page compares business models, financial performance, and market context to help reade...
Why It's Moving

Walmart surges on Nasdaq-100 inclusion and Google AI shopping partnership.
- Nasdaq-100 entry boosts visibility and liquidity, sparking a 2.23% intraday share jump amid post-holiday trading buzz.
- Google partnership integrates Gemini AI for seamless Walmart and Sam's Club shopping within the app, promising under-3-hour deliveries and account-linked perks.
- Analysts upbeat with Oppenheimer and Barclays hiking price targets to $125, citing strong sales growth potential and sector tailwinds like rate cuts.

P&G Shares Surge on Earnings Beat and Steady Dividend Commitment
- Q2 EPS hit $1.88, edging past the $1.86 consensus and driving shares to a high of $150.91 on elevated volume.
- Organic sales stayed flat with volume dips offset by pricing, highlighting demand challenges in razors and diapers yet stable full-year guidance.
- Board approved $1.0568 quarterly dividend payable February 17, underscoring P&G's unwavering cash return to shareholders over 135 years.

Walmart surges on Nasdaq-100 inclusion and Google AI shopping partnership.
- Nasdaq-100 entry boosts visibility and liquidity, sparking a 2.23% intraday share jump amid post-holiday trading buzz.
- Google partnership integrates Gemini AI for seamless Walmart and Sam's Club shopping within the app, promising under-3-hour deliveries and account-linked perks.
- Analysts upbeat with Oppenheimer and Barclays hiking price targets to $125, citing strong sales growth potential and sector tailwinds like rate cuts.

P&G Shares Surge on Earnings Beat and Steady Dividend Commitment
- Q2 EPS hit $1.88, edging past the $1.86 consensus and driving shares to a high of $150.91 on elevated volume.
- Organic sales stayed flat with volume dips offset by pricing, highlighting demand challenges in razors and diapers yet stable full-year guidance.
- Board approved $1.0568 quarterly dividend payable February 17, underscoring P&G's unwavering cash return to shareholders over 135 years.
Investment Analysis

Walmart
WMT
Pros
- Walmart has a very large market capitalization of over $810 billion, reflecting its strong size and stability in retail.
- Analysts show positive sentiment with multiple buy ratings and price targets anticipating growth above current prices.
- The company maintains a low debt-to-equity ratio of 0.43, indicating a strong balance sheet with lower financial risk.
Considerations
- Walmart trades at a high price-to-earnings ratio above 40, which may indicate overvaluation and limit future price appreciation.
- The quick ratio is low at 0.23, suggesting potential liquidity concerns in meeting short-term liabilities without selling inventory.
- Recent insider selling activity could indicate reduced confidence from company executives in the near-term stock outlook.
Pros
- Procter & Gamble is a global leader in branded consumer packaged goods with diversified product segments.
- The company consistently demonstrates strong brand equity and stable cash flows supporting durable profitability.
- Procter & Gamble's extensive global distribution network enhances its competitive moat and market penetration.
Considerations
- The consumer packaged goods sector is highly competitive and subject to changing consumer preferences and pricing pressures.
- P&G faces macroeconomic risks including currency fluctuations and inflation affecting input costs and margins.
- Growth is largely dependent on innovations and market expansion which entail execution risk and capital investment.
Related Market Insights
Government Shutdown Impact: Defensive Stocks Explained
Navigate market uncertainty during government shutdowns with defensive stocks. Discover resilient investments in utilities, healthcare, and consumer staples on Nemo. Start investing from $1.
Aimee Silverwood | Financial Analyst
November 4, 2025
When Consumers Tighten Their Belts: The Case for Defensive Investing
Discover how defensive investing in consumer staples and value retailers can protect your portfolio during economic uncertainty. Learn to navigate cautious consumer behaviour.
Aimee Silverwood | Financial Analyst
August 21, 2025
When the Going Gets Tough, the Tough Go Shopping: Why Consumer Staples Are Your Best Defence
Discover why consumer staples offer resilience during inflation & economic uncertainty. Learn how essential goods companies provide stable demand & defensive positioning for your portfolio.
Aimee Silverwood | Financial Analyst
August 17, 2025
Related Market Insights
Government Shutdown Impact: Defensive Stocks Explained
Navigate market uncertainty during government shutdowns with defensive stocks. Discover resilient investments in utilities, healthcare, and consumer staples on Nemo. Start investing from $1.
Aimee Silverwood | Financial Analyst
November 4, 2025
When Consumers Tighten Their Belts: The Case for Defensive Investing
Discover how defensive investing in consumer staples and value retailers can protect your portfolio during economic uncertainty. Learn to navigate cautious consumer behaviour.
Aimee Silverwood | Financial Analyst
August 21, 2025
When the Going Gets Tough, the Tough Go Shopping: Why Consumer Staples Are Your Best Defence
Discover why consumer staples offer resilience during inflation & economic uncertainty. Learn how essential goods companies provide stable demand & defensive positioning for your portfolio.
Aimee Silverwood | Financial Analyst
August 17, 2025
The Superbug Crisis: Why Antibiotic Innovators Could Be Medicine's Next Big Winners
Explore investment opportunities in biotech firms developing next-generation antibiotics. Learn how to invest in companies fighting drug-resistant superbugs with Nemo.
Aimee Silverwood | Financial Analyst
August 12, 2025
When Markets Turn Nasty: The Case for Defensive Investing
Discover Nemo's Mercury Retrograde Neme: Invest in defensive stocks with non-cyclical demand & strong dividends for portfolio protection during market volatility.
Aimee Silverwood | Financial Analyst
July 25, 2025
When Markets Turn Nasty: The Defensive Stocks That Actually Work
Navigate market fear with defensive stocks. Discover consumer staples, utilities, and gold miners that provide stability & income during downturns. Invest with Nemo.
Aimee Silverwood | Financial Analyst
July 25, 2025
The Titans of Global Commerce: Why the World's Largest Companies Still Matter
Discover why the world's largest companies by market cap offer resilience, AI leadership, and stable returns. Invest in Global Giants with fractional shares on Nemo.
Aimee Silverwood | Financial Analyst
July 25, 2025
The Beginner's Blueprint: Why Simple Beats Sophisticated in Today's Markets
Discover Nemo's Easy Starter Portfolio. Combine global diversification with blue-chip stability for a professional-grade foundation. Invest simply, build long-term wealth.
Aimee Silverwood | Financial Analyst
July 25, 2025
Cash Kings: The Companies Primed to Reward Shareholders
Discover Cash Kings: companies with massive financial reserves poised for extraordinary shareholder returns via special dividends & buybacks. Invest on Nemo.
Aimee Silverwood | Financial Analyst
July 25, 2025
Walmart (WMT) Next Earnings Date
Walmart Inc. (WMT) is scheduled to report its next earnings on February 19, 2026, prior to market open. This release will cover Q4 of fiscal year 2026, following the prior Q3 report on November 20, 2025. Investors should note the earnings call at 7:00 a.m. US/Central on that date.
Procter & Gamble (PG) Next Earnings Date
Procter & Gamble's next earnings report is scheduled for April 23, 2026, with some sources projecting the announcement could occur between April 16-23, 2026. The report will cover Q3 fiscal year 2026 results, with analysts currently projecting an EPS of $1.57. The company's earnings conference call and webcast will follow the official announcement, during which management will discuss financial performance and forward guidance.
Walmart (WMT) Next Earnings Date
Walmart Inc. (WMT) is scheduled to report its next earnings on February 19, 2026, prior to market open. This release will cover Q4 of fiscal year 2026, following the prior Q3 report on November 20, 2025. Investors should note the earnings call at 7:00 a.m. US/Central on that date.
Procter & Gamble (PG) Next Earnings Date
Procter & Gamble's next earnings report is scheduled for April 23, 2026, with some sources projecting the announcement could occur between April 16-23, 2026. The report will cover Q3 fiscal year 2026 results, with analysts currently projecting an EPS of $1.57. The company's earnings conference call and webcast will follow the official announcement, during which management will discuss financial performance and forward guidance.
Which Baskets Do They Appear In?
Government Shutdown Impact: Defensive Stocks Explained
A U.S. government shutdown has been triggered by a congressional budget impasse, creating economic uncertainty. This theme focuses on companies in defensive sectors that may prove resilient to the resulting market volatility and disruptions in federal spending.
Published: October 2, 2025
Explore BasketConsumer Caution: Investing In Value And Staples
A recent drop in consumer sentiment, fueled by persistent inflation, suggests a potential slowdown in consumer spending. This environment could benefit companies that offer essential goods and value, such as consumer staples and discount retailers.
Published: August 20, 2025
Explore BasketResilience In The Aisles: Consumer Staples
A recent survey shows U.S. consumer sentiment has fallen due to persistent inflation, reaching its lowest point in four months. This theme focuses on consumer staples companies, which tend to remain stable as households prioritize essential goods over discretionary purchases.
Published: August 17, 2025
Explore BasketWhich Baskets Do They Appear In?
Government Shutdown Impact: Defensive Stocks Explained
A U.S. government shutdown has been triggered by a congressional budget impasse, creating economic uncertainty. This theme focuses on companies in defensive sectors that may prove resilient to the resulting market volatility and disruptions in federal spending.
Published: October 2, 2025
Explore BasketConsumer Caution: Investing In Value And Staples
A recent drop in consumer sentiment, fueled by persistent inflation, suggests a potential slowdown in consumer spending. This environment could benefit companies that offer essential goods and value, such as consumer staples and discount retailers.
Published: August 20, 2025
Explore BasketResilience In The Aisles: Consumer Staples
A recent survey shows U.S. consumer sentiment has fallen due to persistent inflation, reaching its lowest point in four months. This theme focuses on consumer staples companies, which tend to remain stable as households prioritize essential goods over discretionary purchases.
Published: August 17, 2025
Explore BasketNext-Generation Antibiotic Innovators
With the FDA granting priority review to GSK's new oral antibiotic for gonorrhea, a new front has opened in the fight against drug-resistant bacteria. This theme focuses on the biotechnology companies developing the next generation of antibiotics to address this critical and growing public health need.
Published: August 12, 2025
Explore BasketEasy Starter Portfolio
Begin your investment journey confidently with this smartly designed collection of stocks. Our professional analysts have carefully selected these assets to give you instant global diversification paired with world-leading companies, creating the perfect foundation for long-term growth.
Published: June 18, 2025
Explore BasketGlobal Giants
Own a piece of the world's most powerful companies in one portfolio. These industry titans have been carefully selected by our analysts for their market dominance, stability, and long-term growth potential.
Published: June 18, 2025
Explore BasketMarket Fear
When markets get shaky, these stocks stand strong. Our professional analysts have carefully selected companies known for their stability during uncertain times, focusing on essential goods and services that people need regardless of economic conditions.
Published: June 18, 2025
Explore BasketBig Payout Candidates
This carefully selected group of companies is flush with cash and primed to reward investors. Each stock has been handpicked by our analysts for its potential to deliver exceptional returns through special dividends or substantial buybacks above their regular shareholder payouts.
Published: June 17, 2025
Explore BasketMercury Retrograde
A collection of stable, essential businesses selected by financial experts to help protect your investments during market turbulence. These companies provide the goods and services people need every day, regardless of economic conditions.
Published: June 17, 2025
Explore BasketBuy WMT or PG in Nemo
Zero Commission
Trade stocks, ETFs, and more with zero commission. Keep more of your returns.
Trusted & Regulated
Part of Exinity Group 2015, serving over a million customers globally.
6% Interest on Cash
Earn 6% AER on uninvested cash with daily interest payments.
Discover More Comparisons


Walmart vs Philip Morris International
Walmart vs Philip Morris International


Walmart vs Target
Walmart vs Target Stock Comparison


Walmart vs Costco
Walmart vs Costco: Stock Comparison