Colgate-Palmolive demonstrates a strong business model with consistent financial performance and market share growth. However, they face challenges from foreign exchange effects and competitive pressures. Looking ahead, the company is poised for growth through strategic initiatives and innovation, but must navigate market volatility carefully.
Analysis Date: January 31, 2025 Last Updated: May 29, 2025
+38%
+3.3% per year
Past performance does not guarantee future results. The data presented is indicative and may not be updated in real-time.
CountryUS
ExchangeNYSE
IndustryHousehold & Personal Products
SectorConsumer Defensive
Market Cap$71.52B
CEOMr. Noel R. Wallace
Colgate-Palmolive Company makes and sells everyday products that help people take care of themselves and their homes. They are best known for their toothpaste and toothbrushes, but they also offer soaps, shampoos, and household cleaners. Additionally, they make pet food to keep dogs and cats healthy. Founded in 1806 and based in New York, Colgate-Palmolive has many popular brands that you might see in stores.
Streams of revenue
Oral, Personal and Home Care:78%
Pet Nutrition:22%
Geographic Distribution
Oral, Personal and Home Care:100%
Core Products
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Palmolive SoapBody cleansing soap
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Colgate ToothbrushOral care brush
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Colgate ToothpasteOral care paste
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Hill's Pet NutritionPet food products
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Speed Stick DeodorantPersonal deodorant
Business Type
Business to Consumer
Competitive Advantages
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Trailing Twelve Months (TTM) values provide a view of the company's performance over the last year.
Graham Value Metrics
Benjamin Graham's value investing approach focuses on finding stocks with a significant margin of safety between their intrinsic value and market price.
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Trailing Twelve Months (TTM) values provide a view of the company's performance over the last year.
Income Statement Flow
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Profitability metrics measure a company's ability to generate earnings relative to its revenue, operating costs, and other relevant metrics. Higher values generally indicate better performance.
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CL Stock Analysis: Colgate-Palmolive Company Investment Guide
CL (Colgate-Palmolive Company) is a Consumer Defensive company listed on New York Stock Exchange. The stock has generated 3.3% annual returns with an overall investment score of None/100.
Colgate-Palmolive demonstrates a strong business model with consistent financial performance and market share growth. However, they face challenges from foreign exchange effects and competitive pressures. Looking ahead, the company is poised for growth through strategic initiatives and innovation, but must navigate market volatility carefully.
CL Key Financial Metrics
CL financial analysis includes comprehensive valuation ratios, profitability metrics, and financial health indicators. and profitability score of 7.5/100 with financial health rated 2.4000000000000004/100.
About Colgate-Palmolive Company
Colgate-Palmolive Company makes and sells everyday products that help people take care of themselves and their homes. They are best known for their toothpaste and toothbrushes, but they also offer soaps, shampoos, and household cleaners. Additionally, they make pet food to keep dogs and cats healthy. Founded in 1806 and based in New York, Colgate-Palmolive has many popular brands that you might see in stores.
CL Investment Recommendation
Based on our comprehensive analysis of CL, investors should consider the company's positive performance track record, earnings consistency (9/10 quarters beat expectations), and current valuation metrics when making investment decisions.
Consumer Defensive Sector Analysis
CL operates in the Household & Personal Products industry within the Consumer Defensive sector. This analysis compares Colgate-Palmolive Company performance against industry and sector benchmarks to provide context for investment decisions.
Frequently Asked Questions about CL Stock
Is CL a good investment?
CL (Colgate-Palmolive Company) has generated 3.3% annual returns with an overall score of None/100. Colgate-Palmolive demonstrates a strong business model with consistent financial performance and market share growth. However, they face challenges from foreign exchange effects and competitive pressures. Looking ahead, the company is โฆ Investors should consider their risk tolerance and investment goals when evaluating CL.
What is CL P/E ratio and valuation?
CL valuation metrics including P/E ratio, price-to-book ratio, and price-to-sales ratio are analyzed on this page with comparisons to Household & Personal Products industry and Consumer Defensive sector benchmarks.
Should I buy CL stock now?
The decision to buy CL stock should be based on comprehensive analysis of financial metrics, market conditions, and individual investment goals. Our analysis provides profitability score of 7.5/100, financial health score of 2.4000000000000004/100, and detailed performance metrics to help inform your investment decision.
What are CL financial health indicators?
CL financial health analysis includes liquidity ratios, debt levels, cash flow metrics, and profitability indicators. The company has a financial health score of 2.4000000000000004/100 based on comprehensive analysis of balance sheet strength and operational efficiency.
How does CL compare to competitors?
CL performance is benchmarked against Household & Personal Products industry peers and Consumer Defensive sector averages. Our analysis includes comparative valuation ratios, profitability metrics, and growth indicators to provide context for Colgate-Palmolive Company's market position.
What are CL historical returns?
CL has generated 3.3% annual returns over the 10Y. Historical performance analysis includes price appreciation, dividend yields, and total shareholder returns compared to market benchmarks.
CL Key Investment Metrics Summary
Annual Return: 3.3%
Profitability Score: 7.5/100
Financial Health Score: 2.4000000000000004/100
Growth Score: -1.6530195789809483/100
Earnings Beat Rate: 9/10 quarters
Sector: Consumer Defensive
Industry: Household & Personal Products
Exchange: New York Stock Exchange
Market Cap: 71521142940
CL Investment Thesis
Colgate-Palmolive Company (CL) represents a conservative investment opportunity in the Consumer Defensive sector. With an overall score of None/100, the company demonstrates areas for financial improvement.
Investment Strengths
Moderate PE Ratio
Attractive Price to Sales Ratio
Strong Gross Profit Margin
Healthy Net Profit Margin
Good Interest Coverage
Strong Financial Performance
Consistent Market Share Growth
Investment in Brand Health
Strategic Growth Initiatives
Positive Volume Growth Forecast
Investment Risks
High PB Ratio
Elevated EV Ratios
Moderate Return on Equity
High Dividend Payout Ratio
Low Current and Quick Ratios
High Debt Levels
Foreign Exchange Headwinds
Market Volatility and Competition
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