April 06, 2026 a 03:43 pm

CL: Fundamental Ratio Analysis - Colgate-Palmolive Company

Colgate-Palmolive Company Stock Analysis

Colgate-Palmolive is a globally recognized leader in consumer products. With strong brand equity and a stable market presence, the company continues to deliver notable financial performance. However, market conditions and competitive pressures remain a challenge for further growth.

Fundamental Rating

Colgate-Palmolive boasts a robust fundamental score with room for improvement in specific financial ratios.

Metric Score Visualization
Discounted Cash Flow 5
Return On Equity 5
Return On Assets 5
Debt To Equity 1
Price To Earnings 2
Price To Book 1

Historical Rating

Historical data indicates consistent performance across several financial metrics.

Date Overall DCF ROE ROA D/E P/E P/B
2026-04-02 3 5 5 5 1 2 1
Historical N/A 5 5 5 1 2 1

Analyst Price Targets

The price target spectrum is relatively narrow, indicating modest volatility and consensus around growth expectations.

High Low Median Consensus
100 85 93 92.45
Stock chart of CL - Colgate-Palmolive

Analyst Sentiment

Analyst sentiment indicates a general tendency towards 'Hold', reflecting balanced market expectations.

Recommendation Count Visualization
Strong Buy 0
Buy 17
Hold 24
Sell 2
Strong Sell 0

Conclusion

Colgate-Palmolive demonstrates solid performance metrics, particularly in efficiency and cash flow. While debt levels pose a challenge, the overall market sentiment supports a 'Hold' recommendation. The company's strong brand portfolio and continued product demand position it well for stable, if not aggressive, long-term growth.