Insights for Colgate-Palmolive Company
New York Stock Exchange: CL
08 - Losing Steam - very profitable & can fund turnaround

Based on PEG Ratio: 03 - Over Valued
Today's Price
updated on:
93.91 (0.0%)
Open 0.0 (0.0%)
High (Upside %) 0.0 (-100.0%)
Low (Downside %) 0.0 (0.0%)
P. Close 93.91 (0.0%)
Open-High % 0.0%
Open-Low % 0.0%
Low-High % 0.0%
Previous Data

CL is a Stock listed in the US on the New York Stock Exchange under the ticker 'CL'

Company Summary

Business Units or Product Lines

Colgate-Palmolive Company operates primarily through two segments: Oral, Personal and Home Care, and Pet Nutrition. The Oral, Personal and Home Care segment includes products such as toothpaste, toothbrushes, bar and liquid soaps, shampoos, conditioners, deodorants, and household cleaners. The Pet Nutrition segment is represented by Hill’s Pet Nutrition, which provides products for dogs and cats.

Business Models for Each Product Line

The Oral, Personal and Home Care segment generates revenue primarily through the sale of consumer goods via retailers and online platforms. Major expense categories include manufacturing costs, marketing and advertising expenditures, and research and development. For the Pet Nutrition segment, revenue is generated through specialized pet shops, veterinarians, and online sales. The primary expenses are related to product development, distribution, and marketing.

Future Opportunities for Growth

Colgate-Palmolive sees opportunities for growth in expanding its e-commerce presence, increasing market share in emerging markets, and developing new products in both oral care and pet nutrition. The company is also focusing on sustainable products to cater to environmentally conscious consumers.

Potential Major Risks

Major risks include fluctuations in raw material prices, foreign currency exchange risk due to a large portion of sales in international markets, and intense competition from other consumer goods companies. Additionally, any disruption in supply chain logistics or regulatory challenges in various countries could impact operations.

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Also read: https://finance.yahoo.com/CL/profile

Basic Stats
Market Cap-Display Market Cap-Actual Market Cap Enterprise Value-Display Enterprise Value-Actual Enterprise Value Trailing P/E Forward P/E PEG Ratio (5yr expected) Price/Sales Price/Book Enterprise Value/Revenue Enterprise Value/EBITDA Profit Margin Operating Margin Return on Assets Return on Equity Revenue-Display Revenue-Actual Revenue Quarterly Revenue Growth EBITDA-Display EBITDA-Actual EBITDA Diluted EPS Quarterly Earnings Growth Total Cash-Display Total Cash-Actual Total Cash Total Debt-Display Total Debt-Actual Total Debt Total Debt/Equity Current Ratio Operating Cash Flow-Display Operating Cash Flow-Actual Operating Cash Flow Levered Free Cash Flow-Display Levered Free Cash Flow-Actual Levered Free Cash Flow % Held by Insiders % Held by Institutions
77.46 B 77460000000.0 77.46 84.87 B 84870000000.0 84.87 27.21 25.71 2.06 3.91 365.37 4.22 17.49 14.37% 20.93% 16.38% 406.26% 20.1 B 20100000000.0 20.1 -0.10% 4.86 B 4860000000.0 4.86 3.51 2.90% 1.26 B 1260000000.0 1.26 8.51 B 8510000000.0 8.51 15.6471 0.92 4.11 B 4110000000.0 4.11 3.4 B 3400000000.0 3.4 0.13% 86.16%

source:https://finance.yahoo.com/CL/key-statistics

Upside-Downside Spread
Key Weighted 5D 1M 3M 6M 1Y 3Y 10Y
Upside % (high) 5.04% 2.26% (96.03) 4.07% (97.73) 6.68% (100.18) 9.26% (102.61) 16.39% (109.3) 16.39% (109.3) 16.39% (109.3)
Downside % (low) 6.81% 2.2% (91.84) 6.85% (87.48) 9.15% (85.32) 9.15% (85.32) 9.15% (85.32) 27.99% (67.62) 45.86% (50.84)
Spread % -1.77% 0.05% -2.78% -2.47% 0.12% 7.24% -11.61% -29.48%

CL's price used for computing the stats is 93.91 as on date

Cumulative Return Percent
Key Today 5D 2W 1M 3M 6M 1Y 3Y 10Y
Last Price-Trend PrevClose 0.0% 0.45% 4.08% 3.31% 5.89% -6.18% 6.32% 16.5% 35.55%
Last Price 93.91 93.91 93.91 93.91 93.91 93.91 93.91 93.91 93.91
Trend-Previous Close 93.91 93.49 90.23 90.9 88.69 100.1 88.33 80.61 69.28

CL's symbol cumulative return percent is computed basis data from date

Return Velocity
5D 2W 1M 3M 6M 1Y
5D window
Metric Mean Median Stdev
Overall 0.72% 94.16 0.45% 93.91 2.32% 90.9 97.42
Up 2.19% 95.54 1.93% 95.29 1.18% 93.88 97.19
Down -0.92% 92.63 -0.85% 92.7 0.7% 91.65 93.61
5D Opportunity:
returns: 0.45% (3.96%), p.close: 93.49
entry: 97.19, exit: 97.42, min.ret: -0.24%
Using: 5D trend, 0 Days Left
Metric Mean Median Stdev
Overall 1.83% 95.2 2.24% 95.58 3.54% 90.24 100.16
Up 3.25% 96.53 2.52% 95.84 2.41% 93.14 99.91
Down -1.63% 91.96 -0.75% 92.79 2.37% 88.64 95.29
5D Opportunity:
returns: 0.45% (6.87%), p.close: 93.49
entry: 99.91, exit: 100.16, min.ret: -0.25%
Using: 5D trend, 0 Days Left
Metric Mean Median Stdev
Overall 1.07% 94.49 1.84% 95.21 3.49% 89.59 99.38
Up 3.0% 96.29 2.59% 95.91 1.72% 93.88 98.7
Down -1.71% 91.89 -0.82% 92.73 2.2% 88.8 94.98
5D Opportunity:
returns: 0.45% (5.57%), p.close: 93.49
entry: 98.7, exit: 99.38, min.ret: -0.69%
Using: 5D trend, 0 Days Left
Metric Mean Median Stdev
Overall 0.59% 94.04 0.77% 94.21 3.3% 89.41 98.66
Up 2.55% 95.88 2.33% 95.66 2.01% 93.06 98.69
Down -1.56% 92.03 -0.93% 92.62 2.03% 89.18 94.88
5D Opportunity:
returns: 0.45% (5.56%), p.close: 93.49
entry: 98.69, exit: 98.66, min.ret: 0.03%
Using: 5D trend, 0 Days Left
Metric Mean Median Stdev
Overall -0.17% 93.33 -0.08% 93.42 2.95% 89.2 97.46
Up 1.71% 95.09 1.01% 94.44 1.82% 92.54 97.64
Down -1.73% 91.88 -1.23% 92.34 1.83% 89.31 94.44
5D Opportunity:
returns: 0.45% (4.44%), p.close: 93.49
entry: 97.64, exit: 97.46, min.ret: 0.18%
Using: 5D trend, 0 Days Left
Metric Mean Median Stdev
Overall 0.2% 93.67 0.41% 93.87 2.63% 89.98 97.37
Up 1.63% 95.01 1.15% 94.57 1.6% 92.77 97.25
Down -1.38% 92.2 -0.87% 92.67 1.62% 89.93 94.48
5D Opportunity:
returns: 0.45% (4.02%), p.close: 93.49
entry: 97.25, exit: 97.37, min.ret: -0.12%
Using: 5D trend, 0 Days Left
2W window
Metric Mean Median Stdev
Overall 1.94% 91.98 1.32% 91.42 2.46% 88.65 95.32
Up 4.0% 93.84 3.22% 93.14 2.55% 90.39 97.29
Down -3.76% 86.84 -4.74% 85.96 2.67% 83.22 90.46
2W Opportunity: SELL-APPROACHING
returns: 4.08% (7.83%), p.close: 90.23
entry: 97.29, exit: 95.32, min.ret: 2.03%
Using: 2W trend, 0 Days Left
Metric Mean Median Stdev
Overall 1.67% 91.74 1.44% 91.53 2.87% 87.85 95.63
Up 4.08% 93.91 3.79% 93.65 2.26% 90.85 96.98
Down -2.54% 87.93 -1.4% 88.96 2.32% 84.79 91.08
2W Opportunity:
returns: 4.08% (7.48%), p.close: 90.23
entry: 96.98, exit: 95.63, min.ret: 1.39%
Using: 2W trend, 0 Days Left
Metric Mean Median Stdev
Overall 1.09% 91.22 0.89% 91.04 3.6% 86.35 96.09
Up 4.09% 93.92 3.95% 93.79 2.5% 90.54 97.31
Down -2.1% 88.33 -1.35% 89.02 2.17% 85.4 91.26
2W Opportunity:
returns: 4.08% (7.84%), p.close: 90.23
entry: 97.31, exit: 96.09, min.ret: 1.25%
Using: 2W trend, 0 Days Left
Metric Mean Median Stdev
Overall -0.44% 89.83 -0.98% 89.34 3.82% 84.66 95.0
Up 2.63% 92.6 1.72% 91.78 2.56% 89.13 96.08
Down -2.73% 87.77 -2.1% 88.33 2.37% 84.57 90.97
2W Opportunity: SELL-APPROACHING
returns: 4.08% (6.48%), p.close: 90.23
entry: 96.08, exit: 95.0, min.ret: 1.12%
Using: 2W trend, 0 Days Left
Metric Mean Median Stdev
Overall 0.39% 90.58 0.28% 90.48 3.6% 85.7 95.45
Up 2.64% 92.61 2.23% 92.24 2.34% 89.44 95.78
Down -2.12% 88.32 -1.47% 88.9 2.15% 85.41 91.22
2W Opportunity: SELL-APPROACHING
returns: 4.08% (6.15%), p.close: 90.23
entry: 95.78, exit: 95.45, min.ret: 0.34%
Using: 2W trend, 0 Days Left
1M window
Metric Mean Median Stdev
Overall 1.61% 92.37 2.97% 93.6 4.07% 86.82 97.91
Up 5.81% 96.18 6.21% 96.54 2.28% 93.07 99.29
Down -2.74% 88.41 -2.08% 89.01 2.34% 85.22 91.61
1M Opportunity:
returns: 3.31% (9.23%), p.close: 90.9
entry: 99.29, exit: 97.91, min.ret: 1.39%
Using: 1M trend, 0 Days Left
Metric Mean Median Stdev
Overall 1.12% 91.91 1.43% 92.2 4.44% 85.86 97.97
Up 5.43% 95.84 5.04% 95.48 4.12% 90.22 101.45
Down -3.03% 88.14 -2.3% 88.81 2.37% 84.91 91.38
1M Opportunity:
returns: 3.31% (11.61%), p.close: 90.9
entry: 101.45, exit: 97.97, min.ret: 3.43%
Using: 1M trend, 0 Days Left
Metric Mean Median Stdev
Overall -1.5% 89.54 -1.68% 89.37 4.89% 82.87 96.21
Up 3.54% 94.12 2.56% 93.23 3.75% 89.01 99.23
Down -4.53% 86.78 -4.38% 86.92 3.16% 82.48 91.08
1M Opportunity:
returns: 3.31% (9.17%), p.close: 90.9
entry: 99.23, exit: 96.21, min.ret: 3.04%
Using: 1M trend, 0 Days Left
Metric Mean Median Stdev
Overall 0.62% 91.46 1.1% 91.9 5.0% 84.65 98.28
Up 4.17% 94.69 3.99% 94.52 3.36% 90.11 99.26
Down -3.32% 87.88 -2.45% 88.67 2.97% 83.83 91.94
1M Opportunity:
returns: 3.31% (9.2%), p.close: 90.9
entry: 99.26, exit: 98.28, min.ret: 0.99%
Using: 1M trend, 0 Days Left

CL's symbol current price is 93.91 (0.0%) as on . Yesterday's close was 93.91. It's return velocities are computed basis data from date .

Win Percent
Key Weighted 5D 1M 3M 6M 1Y 3Y
Open-High (> 1.0%) 46.57% 40.0% 54.55% 53.03% 40.15% 34.13% 28.57%
Open-Low (> 1.0%) 39.42% 40.0% 45.45% 34.85% 29.55% 25.79% 28.31%
Open-Close-Up (> 0.5%) 39.39% 40.0% 40.91% 39.39% 34.09% 30.95% 30.29%
Open-Close-Down (> 0.5%) 43.94% 60.0% 36.36% 30.3% 31.82% 27.78% 27.38%
Low-Close-Up (> 1.0%) 56.24% 60.0% 59.09% 54.55% 38.64% 35.32% 30.56%
High-Close-Down (> 1.0%) 49.94% 60.0% 50.0% 39.39% 34.85% 26.59% 26.19%

CL's symbol win percent is computed basis data from date