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CL | Colgate-Palmolive Company Stock Fundamentals

(Stock Exchange: NYSE)
Analyzing fundamentals for CL we got that it has average fundamentals where Valuation is considered to be slightly overvalued, Profitability is stunning wealthy, Growth is desperately bad and Health is very strong.

Valuation (50%)

Company Industry
P/E Ratio (TTM) 27.00 36.59
PEG Ratio (TTM) 23.28 1.40
P/S Ratio (TTM) 3.85 3.69
P/B Ratio (TTM) 178.05 25.82
P/FCF Ratio (TTM) 22.76 24.80
Price to 5YR AVG Earnings Ratio 35.40 27.97
Price to 5YR AVG FCF Ratio 28.11 26.53

Profitability (85%)

Company Industry
ROA (TTM) 17.10% 8.81%
ROE (TTM) 821.48% 113.69%
Net Profit Margin (TTM) 14.27% 11.25%
ROIC 5YR AVG 51.62% 27.58%

Growth (27%)

4QTR AVG 3YR AVG 5YR AVG
EPS 1.23% -1.53% 1.82%
Revenue 0.60% 3.90% 4.62%
Net Income 1.10% -2.38% 0.82%
Cash Flow 5.45% 3.54% 6.80%

Health (74%)

Company Industry
Current Ratio (TTM) 2.14 1.00
Quick Ratio (TTM) 1.78 0.73
D/E Ratio (TTM) 20.60 3.22
Interest Coverage (TTM) 19.15 26.17
Piotroski F-Score 8 8
Altman Z-Score 10.10 5.46
LTL to 5YR AVG FCF 2.99 2.50
Shares Outstanding Growth 5YR AVG -1.01% -0.94%
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