STOCKSCREENR

CL

NYSE

Colgate-Palmolive Company

$89.94-0.36(-0.40%)Mkt Cap: $72.09B

Key Stats

Market Cap

$72.09B

P/E Ratio

34.20

EPS

$2.63

Dividend Yield

2.34%

52-Week Range

$74.55 — $99.33

Volume

3.72M

Avg Volume

6.73M

Beta

0.26

Valuation

P/E (TTM)

34.20

Forward P/E

23.21

PEG Ratio

-1.25

P/S (TTM)

3.49

P/B (TTM)

1323.88

P/FCF

58.39

EV/EBITDA

58.93x

EV/Sales

Financial Health

ROE (TTM)

4.32%

ROA (TTM)

0.13%

ROIC

0.10%

Gross Margin

0.60%

Operating Margin

0.21%

Net Margin

0.14%

Debt/Equity

147.93

Current Ratio

1.00

Growth

EPS Growth (YoY)

+0.01%

Revenue Growth (YoY)

+0.03%

EPS Growth (3Y)

+0.11%

EPS Growth (5Y)

-0.01%

Sales Growth (3Y)

+0.04%

Sales Growth (5Y)

+0.04%

EPS Est (This Year)

$3.88

EPS Est (Next Year)

$4.13

Dividends

Dividend Yield

Annual Dividend

$0.52

Payout Ratio

0.57%

Frequency

Ex-Dividend Date

2025-10-17

Cash/Share

$1.60

Analyst Consensus

2.0

Buy

1 = Strong Buy, 5 = Strong Sell

Price Target Range

$85.00$93.00$100.00
LowMedianHigh

Consensus Target: $91.91(2.2% upside)

Ownership

Institutional %

Inst. Net Change

Insider Net Shares (90d)

Outstanding Shares

806.07M

Float

754.37M

Free Float %

93.59%

Technicals

RSI (14)

80.80

SMA 20

$88.96

SMA 50

$82.92

SMA 200

$83.38

ATR (14)

1.98

Volatility (Week)

0.01%

Volatility (Month)

0.01%

Pattern

Performance

1 Day

+1.03%

1 Week

+0.56%

1 Month

+15.83%

3 Months

+20.94%

6 Months

+11.69%

1 Year

YTD

+22.15%

All-Time High

$100.18

About

Sector

Consumer Defensive

Industry

Household & Personal Products

Country

US

Exchange

NYSE

IPO Date

1973-05-02

Employees

34000

CEO

Noel R. Wallace

Index Membership

S&P 500

Website

https://www.colgatepalmolive.com

Colgate-Palmolive Company (CL) is a consumer defensive company in the household & personal products industry listed on the NYSE. With a market capitalization of $72.09B, a P/E ratio of 34.20, and a dividend yield of 2.34%, CL is tracked by stockscreenr alongside 25,000+ other tickers. Use the free stock screener to compare CL against other stocks using dozens of fundamental and technical filters.

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Frequently Asked Questions

What is Colgate-Palmolive Company's P/E ratio?

Colgate-Palmolive Company (CL) has a trailing twelve-month (TTM) P/E ratio of 34.20. This is above the market average, which may reflect high growth expectations or premium valuation. The P/E ratio measures how much investors are willing to pay per dollar of earnings.

Does Colgate-Palmolive Company pay a dividend?

No, Colgate-Palmolive Company (CL) does not currently pay a regular dividend. The company may be reinvesting profits into growth, research, or debt reduction instead of returning cash to shareholders through dividends.

What is Colgate-Palmolive Company's market cap?

Colgate-Palmolive Company (CL) has a market capitalization of $72.09 billion, classifying it as a large-cap company. Market cap is calculated by multiplying the current share price by the total number of outstanding shares.

What do analysts think about CL?

Wall Street analysts have a consensus "Buy" rating on Colgate-Palmolive Company (CL) with an average score of 2.00 on a 1-5 scale (1 = Strong Buy, 5 = Strong Sell). The consensus price target of $91.91 implies 2.2% upside from the current price.

How has CL performed this year?

Colgate-Palmolive Company (CL) has returned +22.15% year-to-date. Past performance does not guarantee future results, but these figures reflect the stock's recent price trajectory relative to the broader market.