CL
Colgate-Palmolive Company$91.68-0.78% 1D· price as of Jun 30, 8:32 PM+4.43% over 1Y
Compare:CL
Mkt Cap
$73.4B
P/E
35.5×
Fwd P/E
22.7×
PEG
1.65
P/B
506.5×
P/S
3.5×
EV/EBITDA
16.3×
Beta
0.32
Div Yield
2.3%
Payout
80.6%
ROE
363.6%
Net Margin
10.0%
Short % Flt
2.7%
Inst. Own
88.1%
52-wk low $74.55$91.6852-wk high $99.33
+23.0% above low-7.7% from high
Seasonality — avg monthly return
Strongest Nov 3.1% · weakest Sep -4.8%Jan
-0.4
Feb
+1.0
Mar
-0.2
Apr
+1.8
May
+1.1
Jun
+1.2
Jul
-2.1
Aug
+0.3
Sep
-4.8
Oct
-0.4
Nov
+3.1
Dec
+1.8
Average month-over-month return per calendar month over the available history (~5 yrs); hover for the share of positive months. Past seasonality isn't predictive.
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Quality scorecard
vs Household Products · 4 peers · percentile rank
ROIC38.9%
—
ROE3948.1%
—
Gross margin60.1%
—
Operating margin20.8%
—
FCF yield4.9%
—
Net debt / EBITDA1.8×
—
Percentile vs 4 Household Products peers — higher = better (leverage inverted: less debt ranks higher). The faint tick is the peer median; the score is the average percentile. Annual fundamentals.