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CL

CONSUMER DEFENSIVE

Colgate-Palmolive Company

AI Stock Analysis· Bullish
Jun 22 · 7:38 PM ET

Colgate-Palmolive Company (CL) is currently trading at $88.67, down 0.91% today. The stock's technical indicators suggest a cautious outlook, with a Relative Strength Index (RSI) of 49.6 indicating neutrality. The stock is trading near its 20-day simple moving average (SMA) of $89.07, slightly above the 50-day SMA of $87.29 and well above the 200-day SMA of $84.43. The Moving Average Convergence Divergence (MACD) shows a positive momentum at 0.50, with the signal line at 0.48, suggesting a potential bullish crossover. The current market cap stands at $71.60 billion, and a BUY signal has been issued with a 77% confidence level, indicating a favorable sentiment among traders.

From a fundamental perspective, Colgate-Palmolive shows strong revenue growth with an 8.4% increase quarter-over-quarter and an impressive 139.8% growth year-over-year. However, the earnings per share (EPS) have contracted by 5.9% on a quarterly basis, which is a notable concern. The company maintains strong margins, with a gross margin of 6010.7% and an operating margin of 2133.3%. The price-to-earnings (P/E) ratio is 34.7, while the forward P/E is more attractive at 23.2, reflecting anticipated future growth. Analysts are generally bullish, with a consensus rating of BUY, including six strong buy recommendations, and a target price of $95.85, suggesting a potential upside from the current price.

Colgate-Palmolive's next earnings announcement is not scheduled within the next 30 days, which may limit immediate catalysts for price movement. However, investors should keep an eye on the upcoming earnings report for any significant changes in revenue growth or margins, particularly given the recent EPS decline. A specific aspect to monitor is whether the company can sustain its high growth trajectory in revenue while addressing the recent EPS contraction, as this could impact investor sentiment and stock performance moving forward.

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52-Week Range

$73.64$98.72

$91.28

Fundamentals

Market Cap$71.6B
P/E Ratio34.7
EPS$2.58
Dividend Yield2.30%
Dividend / Share$2.08
ROE36.4%
Profit Margin10.0%
Debt / Equity

Trading

Volume768K
Avg Volume (10D)
Shares Outstanding800.2M

CL News

153 articles

Price Data

Open$89.84
Previous Close$88.67
Day High$91.37
Day Low$89.84
52 Week High$98.72
52 Week Low$73.64

About Colgate-Palmolive Company

Colgate-Palmolive Company is an American multinational consumer products company headquartered on Park Avenue in Midtown Manhattan, New York City. It specializes in the production, distribution and provision of household, health care, personal care and veterinary products.

33.6K employees
Listed January 9, 1951
CONSUMER DEFENSIVEHOUSEHOLD & PERSONAL PRODUCTS

Company Details

Security TypeCommon Stock
ExchangeNYSE
CurrencyUSD
Round Lot
SICHOUSEHOLD & PERSONAL PRODUCTS
CIK
Composite FIGI
Share Class FIGI