...Filed Pursuant to Rule 433 Registration No. 333-199594 April 28, 2015 Pricing Term Sheet The Procter & Gamble Company Japanese Yen ("¥")100,000,000,000 0.275% Notes due May 8, 2020 Issuer: The Procter & Gamble Company Aggregate Principal Amount: ¥100,000,000,000 Maturity Date: May 8, 2020 Coupon (Interest Rate): 0.275% per annum accruing from May 8, 2015 Price to Public (Issue Price): 100% of principal amount Yield to Maturity: 0.275% Mid-swap rate: 0.225% Spread to mid-swap rate: + 5 basis points Interest Payment Dates: May 8 and November 8, commencing November 8, 2015 Day Count Convention: 30/360 Tax Redemption: The notes will not be redeemable prior to maturity unless certain events occur involving United States taxation as described in the Prospectus Supplement Trade Date: April 28, 2015 Settlement Date: May 7, 2015, which is the seventh business day (as defined in applicable SEC rules) following the trade date specified above (such settlement cycle being referred to as "T+7"). Purchasers...