Colgate-Palmolive Company (CL) is listed on NYSE in the Consumer Defensive sector Β· Household & Personal Products industry. The current price is 90.59, up 0.55% from the previous close. Market cap is approximately $72.2B.
The commentary below is auto-generated by comparing market data (P/E, ROE, D/E, etc.) against predefined thresholds. No LLM is used. This is not a buy/sell recommendation from us or any analyst. For reference only.
CL's 35.67x P/E is in premium territory. Justifiable while growth accelerates, but this is also the band that reacts first to guidance cuts or macro shocks.
ROE of 267.37% signals strong capital efficiency. High-ROE firms typically have more headroom for dividends and buybacks.
D/E of 1388.16 indicates high leverage. Watch interest coverage and free cash flow closely, especially across rate cycles.
Colgate-Palmolive Company is growing revenue at 4.90% annually. The interesting question is whether pricing power is lifting margins to compensate for the modest top-line.
Colgate-Palmolive Company's 2.35% yield is standard. If the company is also buying back stock, evaluate on total shareholder return (dividends + buybacks) rather than yield alone.
Staples are defensive and tend to outperform in recessions on a relative basis.
Colgate-Palmolive Company trades in the upper 35% of its 52-week range (74.55β99.33). The uptrend is intact, though how much optimism is already reflected in the price is a separate question worth checking.
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The stock moved within a 1.65% high-to-low band on the day, closing 0.55%. That falls within a typical intraday range.
Colgate-Palmolive Company (CL) is listed on NYSE, with recent volume of 1,828,253 shares. Volume is a supporting gauge of how much conviction sits behind a price move β the same gain reads differently on heavy versus light turnover.