November 05, 2025 a 05:01 pm

CL: Analysts Ratings - Colgate-Palmolive Company

Colgate-Palmolive Company Stock Analysis

Colgate-Palmolive Company (CL) has maintained a robust presence in the consumer products market, benefiting from its diversified portfolio across oral, personal, and home care segments. The latest analyst ratings reveal a stable sentiment towards the company's performance, with a noticeable inclination towards "Buy" recommendations. Despite a few "Hold" positions, the overall outlook suggests moderate confidence in the stock's potential to maintain steady returns amidst market fluctuations.

Historical Stock Grades

The latest data from November 2025 showcases a stable distribution of recommendations for Colgate-Palmolive Company, indicating a balanced sentiment with no drastic shifts over the past months.

Recommendation Count Score Bar
Strong Buy 5
Buy 8
Hold 7
Sell 1
Strong Sell 0
Analyst Ratings History - Colgate-Palmolive Stock Price Chart - Colgate-Palmolive

Sentiment Development

Over the past months, a consistent pattern of ratings with a slight preference towards "Buy" can be observed. This indicates a stable outlook with no significant shifts in sentiment. Key observations include:

  • The total number of ratings has remained relatively constant.
  • A slight decrease in "Strong Buy" recommendations from a high point in early 2025.
  • Stability in "Hold" recommendations suggests a cautious but positive outlook.

Percentage Trends

The percentage distribution of ratings reflects a moderate shift in sentiment. Specific trends include:

  • Steady decline in "Strong Buy" ratings from 2024 to 2025, with "Buy" ratings holding dominance.
  • "Hold" ratings have seen slight fluctuations, indicating varied analyst confidence levels.
  • Overall, a shift towards more cautious recommendations, balancing "Hold" and "Buy" ratings.
  • The most significant change over the past year is the slight decline in aggressive "Buy" recommendations in exchange for more conservative "Hold" positions.

Latest Analyst Recommendations

Recent analyst notes indicate continuity in sentiment with most ratings being maintained at current levels across the board. The data presents a unified outlook among analysts as seen below:

Date New Recommendation Last Recommendation Publisher
2025-11-04 Equal Weight Equal Weight Barclays
2025-11-03 Overweight Overweight Morgan Stanley
2025-11-03 Buy Buy UBS
2025-11-03 Buy Buy Citigroup
2025-11-03 Overweight Overweight JP Morgan

Analyst Recommendations with Change of Opinion

There have been notable downgrades in the past year, reflecting a slight recalibration of expectations towards more cautious stands.

Date New Recommendation Last Recommendation Publisher
2024-10-28 Hold Buy Stifel
2024-09-16 Underweight Equal Weight Wells Fargo
2024-09-09 Hold Buy Deutsche Bank
2024-07-26 Hold Buy HSBC
2024-07-24 Hold Buy Jefferies

Interpretation

The market sentiment for Colgate-Palmolive Company appears steady with a slight lean towards conservative evaluations as seen in recent downgrades. Analysts seem to exhibit cautious optimism regarding the company's ability to maintain its market position. While consistent "Buy" ratings signify confidence, increased "Hold" recommendations suggest some growing reservations. Overall, the analyst community portrays stability with minor signals of uncertainty within the broader market context.

Conclusion

Colgate-Palmolive Company continues to attract stable analyst support with persistent "Buy" recommendations, yet shows a mild shift towards cautionary "Hold" standings. The consistency in ratings underscores a balanced confidence, recognizing the company's strong market presence while acknowledging potential market volatility. As analysts reassess positions, the focus on stability and moderate growth potential highlights both opportunities and inherent risks in the current economic climate.