Colgate-Palmolive Company

CLNYSEUSD
91.43 USD
2.76 (3.11%)AT CLOSE (11:59 AM EDT)
91.06
0.37 (0.40%)
POST MARKET (AS OF 06:04 PM EDT)
Post Market
AS OF 06:04 PM EDT
91.06
0.37 (0.40%)
🟢Market: OPEN

Shares of Colgate-Palmolive Company (CL) are trading at $91.06. Technicals currently rate "Strong Buy" while our fundamental analysis reads "Neutral". This is driven by a robust Altman Z-Score, exceptional Return on Equity (1439.3%), a bullish Golden Cross on the moving averages and bullish moving average alignment. On valuation, CL trades roughly in line with sector averages — neither particularly cheap nor expensive.

Technical & fundamental data as of Jun 23, 2026.

Open?$89.84
High?$91.71
Low?$89.84
Prev. Close?$88.67
Volume?6.4M
Avg. Volume?5.5M
VWAP?$91.20
Rel. Volume?1.17x
Bid / Ask
Bid?$90.65 × 100
Ask?$91.47 × 100
Spread?$0.82
Midpoint?$91.06
Valuation & Ratios
Market Cap?71.0B
Shares Out?800.2M
Float?800.5M
Float %?99.9%
P/E Ratio?34.00
P/B Ratio?489.33
EPS?$2.61
Dividend?2.58%
Ex-Dividend?2026-07-20
News
Profile
Since its founding in 1806, Colgate-Palmolive has grown into a leading player in the household and personal care industry. In addition to its namesake oral care line (which accounts for more than 40% of its total sales), the firm manufactures shampoos, shower gels, deodorants, and home care products sold in over 200 countries. International sales account for about 70% of its total business, including nearly half from emerging regions. It also owns specialty pet food maker Hill's (almost one-fourth of sales), which sells the majority of its products through veterinarians and specialty pet retailers.
Employees
33.6K
Market Cap
71.6B
Industry
PERFUMES, COSMETICS & OTHER TOILET PREPARATIONS
Listed
1951-01-09
Address
300 PARK AVE
NEW YORK, NY 10022
Phone: (212) 310-2000
Technical OutlookStrong Buy
Strong SellNeutralStrong Buy
Long-Term (Tide)? Bullish(+3/3)
Medium-Term (Wave)? Bullish(+3/3)
Short-Term (Ripple)? Bullish(+3/3)
MA Alignment?Golden Alignment
Full Technical Analysis →
Fundamental OutlookNeutral
Strong SellNeutralStrong Buy
F-Score?
40
Z-Score?
100
Momentum?
60
Short Sent.?
73
Piotroski F-Score?4/9Mixed
Altman Z-Score?6.81Safe
Confidence?66%Moderate
Full Fundamental Analysis →
Short InterestModerate
Short % of Float?2.64%Low
Short Interest?21.1M
Days to Cover?4.2
Free Float800.5M
Avg Daily Volume5.1M
Settlement Date2026-05-29
Financial Health
Current Ratio?1.02Adequate
Quick Ratio?0.67Weak
Cash Ratio?0.22Low
Debt/Equity?54.99High
ValuationFAIRLY VALUEDvs 7 peers + S&P 500
Score
61/100
P/E?
Peers
13
S&P
24
34.0PRICEY
P/B?
Peers
14
S&P
3
489.33HIGH
P/S?
Peers
50
S&P
45
3.41FAIR
P/FCF?
Peers
75
S&P
59
18.8CHEAP
EV/EBITDA?
Peers
50
S&P
43
16.1FAIR
EV/Sales?
Peers
50
S&P
50
3.73FAIR
Returns & Efficiency
ROE?
Peers
100
S&P
97
1,439.3%STRONG
ROA?
Peers
75
S&P
82
12.6%STRONG
Cash Flow & Enterprise
FCF?$3.8B
Enterprise Value?$77.6B
Fundamentals ratios updated end of day