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CL | Colgate-Palmolive Company Stock Overview

(Stock Exchange: NYSE)
Day's Range 105.14 - 105.92
52 Week Range 67.62 - 109.30
Beta 0.40
Implied Volatility 19.55%
IV Rank 65.86%
Day's Volume 3,986,065
Average Volume 4,081,667
Shares Outstanding 817,087,000
Market Cap 86,145,482,410
Sector Consumer Defensive
Industry Household & Personal Products
IPO Date 1973-05-02
Valuation
Profitability
Growth
Health
P/E Ratio 30.74
Forward P/E Ratio 26.31
EPS 3.43
1YR Price Target N/A
Dividend Yield 1.89%
Dividend Per Share 1.99
Dividend ExDate 2022-10-20
Dividend PayDate 2022-11-15
Employees 34,000
Country USA
Website CL
Since its founding in 1806, Colgate-Palmolive has grown to become a leading global consumer product company. In addition to its namesake oral care line, the firm manufactures shampoos, shower gels, deodorants, and home care products that are sold in over 200 countries (international sales account for about 70% of its consolidated total, including approximately 45% from emerging regions). It also owns specialty pet food maker Hill's, which sells its products through veterinarians and specialty pet retailers.
CL's peers: CHD, CLX, PG, UL, KMB, EL, RBGLY, COTY, ELF, HIMS, HNST, NWL
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Analyzing fundamentals for CL we got that it has average fundamentals where Valuation is considered to be overvalued, Profitability is stunning wealthy, Growth is very bad and Health is strong. For more detailed analysis please see CL Fundamentals page.

Watching at CL technicals we can see that long-term trend is bullish, the same as bullish middle-term trend, but short-term trend is bearish. More technicals details can be found on CL Technicals page.
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