PG vs SLB: Which Is the Better Buy?

Side-by-side comparison of The Procter & Gamble Company and SLB N.V. β€” fair value, conviction, valuation metrics, and QuantHub research signals. Updated 2026-06-20.
The Procter & Gamble Company Β· Consumer Defensive
$150.38
+10.0% upside to fair value
Grade B High Quality
VS
SLB N.V. Β· Energy
$48.09
-33.4% upside to fair value
Grade C
QuantHub Verdict
PG has more upside to fair value (+10.0%). PG trades at a lower forward P/E (21.5x). These are model outputs β€” not personalized investment advice. See all research β†’
Valuation & Fundamentals
Metric PG SLB
Current Price $150.38 $48.09
Fair Value Estimate $165.39 $32.01
Upside to Fair Value +10.0% -33.4%
Market Cap $350.2B $71.9B
Forward P/E 21.5x 21.8x
EV / EBITDA 15.1x 10.9x
Price / Sales 4.0x 2.0x
Price / FCF 23.3x 15.4x
Revenue Growth YoY +7.4% +2.7%
Gross Margin 50.3% 17.3%
Operating Margin 23.2% 14.4%
Return on Equity 31.3% 13.5%
Dividend Yield 0% 0%
FCF Yield 4.29% 6.51%
Analyst Consensus Buy Strong Buy
Investment Thesis
PG β€” The Procter & Gamble Company
The Procter & Gamble Company is a leading global consumer defensive company specializing in household and personal products with a strong portfolio across fabric care, baby and family care, beauty, health care, and grooming. The business quality is high, supported by a durable competitive moat from strong brands, consistent earnings growth, and prudent capital allocation emphasizing dividends and…
SLB β€” SLB N.V.
SLB N.V. is a global leader in oilfield services, specializing in well construction, production systems, reservoir performance, and digital solutions. The company benefits from a durable competitive moat anchored in technology, integrated service breadth, and global infrastructure, with a management team that has long tenure and deep industry experience. Despite solid free cash flow generation of…
Accumulation Zones
Metric PG SLB
Zone Low $124.04 $24.01
Zone High $140.58 $27.21
In Buy Zone? No No
← PG Research    SLB Research β†’    All Research