PROCTER & GAMBLE Atlas Brown Inc holding in Form 13-F

PG NYSE

Atlas Brown Inc reported holding of PG

Atlas Brown Inc reported holding of PG

This chart displays the historical ownership data of PG by Atlas Brown Inc. At the end of Q3 2013 the holding was valued at $3,022,000. This increased to $5,175,791 at the end of Q2 2025.

Atlas Brown Inc reported holding of PG
Date Holding Value
3022000
2809000
2578000
2720000
2864000
3168000
2941000
2724000
2566000
2751000
2781000
2822000
3044000
3044000
3145000
3184000
3925000
3827000
3572000
3443000
3176000
3127000
3480000
3710000
4060000
4180000
3761000
4188000
4886000
4897000
4850000
4923000
5089000
5936000
5529000
5205000
4590000
5164238
5130607
5209779
5030364
5021025
5415134
5368697
5562403
5417917
5525288
5175791

About PROCTER & GAMBLE COM NPV

Procter & Gamble provides a wide range of branded consumer goods across various categories. These products include items for beauty, grooming, health care, fabric and home care, and baby, feminine, and family care. The company operates in the consumer goods industry, serving markets globally in approximately 180 countries and territories.

Procter & Gamble generates revenue through the creation, manufacturing, marketing, and distribution of its consumer products. The company's primary customers are mass merchandisers, grocery stores, e-commerce platforms, and drug stores. A significant portion of sales comes from Walmart Inc., which accounts for about 16% of total sales, and the top ten customers collectively contribute to 42% of net sales.

Procter & Gamble operates with a structure that includes various product divisions and subsidiaries, focusing on innovation through research and development. Key factors impacting business performance include market competition, product differentiation through patents and trademarks, and efficient supply chain management utilizing third-party and in-house resources for raw and packaging materials.

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Atlas Brown Inc reported holdings of PG from Q3 2013 to Q2 2025

Historical holdings data showing quarterly positions, market values, shares held, and portfolio percentages for PG held by Atlas Brown Inc from Q3 2013 to Q2 2025
FilingExplorer.com
Atlas Brown Inc reported holdings of PG from Q3 2013 to Q2 2025
Reporting period Holding Type Market Value % of portfolio Shares Change in shares % Change in shares
Q3 2013 Stock $3,022,000 2.26% 39,977 -23,672 -37.19%
Q4 2013 Stock $2,809,000 1.97% 34,500 -5,477 -13.7%
Q1 2014 Stock $2,578,000 1.39% 31,989 -2,511 -7.28%
Q2 2014 Stock $2,720,000 1.34% 34,607 2,618 8.18%
Q3 2014 Stock $2,864,000 1.06% 34,204 -403 -1.16%
Q4 2014 Stock $3,168,000 0.86% 34,778 574 1.68%
Q1 2015 Stock $2,941,000 0.79% 35,889 1,111 3.19%
Q2 2015 Stock $2,724,000 1.06% 35,664 -225 -0.63%
Q3 2015 Stock $2,566,000 1.1% 35,665 1 < 0.01%
Q4 2015 Stock $2,751,000 1.75% 34,913 -752 -2.11%
Q1 2016 Stock $2,781,000 1.16% 33,783 -1,130 -3.24%
Q2 2016 Stock $2,822,000 1.14% 33,332 -451 -1.33%
Q3 2016 Stock $3,044,000 1.25% 33,922 590 1.77%
Q4 2016 Stock $3,044,000 1.25% 33,922 0 0
Q1 2017 Stock $3,145,000 2.48% 35,000 1,078 3.18%
Q2 2017 Stock $3,184,000 2.79% 36,532 1,532 4.38%
Q3 2017 Stock $3,925,000 0.83% 43,140 6,608 18.09%
Q4 2017 Stock $3,827,000 0.68% 43,338 198 0.46%
Q1 2018 Stock $3,572,000 0.65% 45,053 1,715 3.96%
Q2 2018 Stock $3,443,000 0.8% 43,134 -1,919 -4.26%
Q3 2018 Stock $3,176,000 1.95% 38,163 -4,971 -11.52%
Q4 2018 Stock $3,127,000 2.41% 34,016 -4,147 -10.87%
Q1 2019 Stock $3,480,000 2.46% 33,442 -574 -1.69%
Q2 2019 Stock $3,710,000 2.56% 33,832 390 1.17%
Q3 2019 Stock $4,060,000 2.9% 32,645 -1,187 -3.51%
Q4 2019 Stock $4,180,000 2.61% 33,467 822 2.52%
Q1 2020 Stock $3,761,000 2.94% 34,195 728 2.18%
Q2 2020 Stock $4,188,000 2.66% 35,051 856 2.5%
Q3 2020 Stock $4,886,000 2.89% 35,152 101 0.29%
Q4 2020 Stock $4,897,000 2.53% 35,191 39 0.11%
Q1 2021 Stock $4,850,000 2.3% 35,815 624 1.77%
Q2 2021 Stock $4,923,000 2.13% 36,485 670 1.87%
Q3 2021 Stock $5,089,000 2.21% 36,405 -80 -0.22%
Q4 2021 Stock $5,936,000 2.3% 36,291 -114 -0.31%
Q1 2022 Stock $5,529,000 2.25% 36,182 -109 -0.3%
Q2 2022 Stock $5,205,000 2.46% 36,199 17 0.05%
Q3 2022 Stock $4,590,000 2.34% 36,359 160 0.44%
Q4 2022 Stock $5,164,238 2.54% 34,074 -2,285 -6.28%
Q1 2023 Stock $5,130,607 2.36% 34,505 431 1.26%
Q2 2023 Stock $5,209,779 2.29% 34,334 -171 -0.5%
Q3 2023 Stock $5,030,364 2.29% 34,488 154 0.45%
Q4 2023 Stock $5,021,025 2.08% 34,264 -224 -0.65%
Q1 2024 Stock $5,415,134 1.97% 33,375 -889 -2.59%
Q2 2024 Stock $5,368,697 1.92% 32,553 -822 -2.46%
Q3 2024 Stock $5,562,403 1.93% 32,115 -438 -1.35%
Q4 2024 Stock $5,417,917 1.85% 32,317 202 0.63%
Q1 2025 Stock $5,525,288 1.94% 32,422 105 0.32%
Q2 2025 Stock $5,175,791 1.66% 32,487 65 0.2%
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