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MO vs PG: Which Stock Is the Better Buy?

Altria Group, Inc. and The Procter & Gamble Company side by side — fundamentals from SEC filings, refreshed nightly. Sector: Consumer Defensive.

PG is the larger company ($352.6B vs $121.4B). On the fundamentals, PG grows revenue faster (3.5% vs -5.1%); MO earns a higher net margin (34.5% vs 19.0%); PG has the stronger return on equity (30.6% vs -198.4%). On the filings, PG carries fewer potential red flags (0 vs 1). Full numbers below — the stronger figure on each row is in green.

AI verdict — MO vs PG, read from the filings

The stronger business, the cheaper stock, and the risks — synthesised from both companies’ SEC filings, every figure computed not guessed. Not investment advice.

 Altria Group, Inc. (MO)The Procter & Gamble Company (PG)
Market cap$121.4B$352.6B
Revenue (latest FY)$20.14B$84.28B
Net income (latest FY)$6.95B$15.97B
Revenue growth (5y CAGR)-5.1%3.5%
Net margin34.5%19.0%
Return on equity-198.4%30.6%
P/E ratio15.222.1
Dividend yield5.8%2.8%
Profitable years (of last 10)910
Positive free cash flowYesYes
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See the full MO vs PG breakdown

Both companies across 19 years of income statement, balance sheet and cash flow — with ratios, health checks and Ask, the SEC-grounded research assistant. Free, no account needed.

Open MO's full financials →   Open PG's full financials →

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Frequently asked questions

Which is bigger, MO or PG?

The Procter & Gamble Company is larger by market capitalization — $352.6B versus $121.4B.

Which grows faster, MO or PG?

Over the last five fiscal years, The Procter & Gamble Company grew revenue faster — 3.5%/yr versus -5.1%/yr, computed from SEC-filed statements.

Where does this data come from?

All figures are computed from official SEC filings (10-K), refreshed nightly. This is a data comparison, not investment advice.

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