CL - Colgate-Palmolive Co
A global consumer goods company whose oral care, personal care, and home cleaning products reach over 200 countries — a defensive staple with durable brand moats.
Finlify Score
61.6 / 100
Data Quality
FULL
Penalty
0.0
Sector
Consumer Staples
Close Price
$90.58
+1.26%
52W Range
$74.55 - $99.33
Market Cap
$72.1B
+1.3%Compared to previous day
2026 Q1 Revenue
$5.3B
+1.8%Changes from last reporting quarter
2026 Q1 EPS
$0.80
Diluted shares
Analyst Rating
30 analysts in latest ratings feed
RSI
51.8
40-70 moderate
2Y Range Position
46%
-17.1% from high / +21.5% from low
Beta
0.33
Relative to market benchmark
MACD
0.09
MACD line 0.45 / signal line 0.37
Fundamental Trend
Growth 76.5Financial Health
Quality 78.0Data Quality
FULLValuation Reference
Price Chart
Close price, two-year source window
Finlify Score
HOLD61.6 / 100
Score History
Finlify Score and component trend
Financial Statements
Calendar year view. Figures are estimates only. For official figures, refer to the company website.
| 2026 Q1 | 2025 Q4 | 2025 Q3 | 2025 Q2 | |
|---|---|---|---|---|
| Revenue | $5.3B+1.8% | $5.2B+1.9% | $5.1B+0.4% | $5.1B+4.1% |
| Gross Profit | $3.2B+2.5% | $3.1B+3.2% | $3.0B-0.7% | $3.1B+2.7% |
| Operating Income | $964M+947.8% | $92M-91.3% | $1.1B-2.0% | $1.1B+0.4% |
| Net Income | $646M+1845.9% | -$37M-105.0% | $736M-0.9% | $743M+7.7% |
Columns use the calendar quarter of each reported period end date. QoQ is shown for adjacent company reporting quarters only.
AI Signal
Generated Jun 16, 2026
Finlify's signal for Colgate-Palmolive Co (CL) is a HOLD, with an overall Finlify Score of 60.0/100, suggesting a balanced outlook driven by strong fundamental characteristics but tempered by technical indicators.
Technical
The asset's Relative Strength at 47.9/100 and Accumulation / Volume at 32.8/100 appear to be below average, which may indicate limited buying pressure. The RSI(14) is at 53.9, suggesting a neutral momentum, while recent returns show a modest 0.7% over 20 days and 2.2% over 60 days.
Fundamentals
Colgate-Palmolive Co appears to exhibit strong fundamental characteristics, with a Fundamental Trend score of 76.5/100 and Financial Quality at 78.0/100. However, valuation metrics such as a P/E ratio of 33.5x and a P/B ratio of 1179.5x may suggest a premium valuation. The asset also offers a Dividend Yield of 2.37% and a low Beta of 0.3, indicating potentially lower volatility.
Macro Context
The current macroeconomic environment, characterized by a CPI YoY of 4.3% and Core CPI of 3.0%, suggests persistent inflationary pressures. While the 10Y Treasury Yield is at 4.5%, Colgate-Palmolive's low beta of 0.3 may indicate some resilience to broader market fluctuations, though consumer products could still be sensitive to sustained inflation impacting purchasing power.
Key Risks
- Elevated valuation metrics, including a P/E of 33.5x and P/B of 1179.5x, may suggest the asset is trading at a premium.
- Subdued technical indicators, with Relative Strength at 47.9/100 and Accumulation / Volume at 32.8/100, could indicate a lack of strong buying momentum.
- Persistent inflation, with CPI YoY at 4.3%, may impact consumer spending on essential items or increase input costs for consumer products.