Market OverviewFinlify
Price Date: 2026/06/15
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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.

HOLDFinancial QualityCurrent data is neutral to constructive, without a near-BUY setup yet.
MEETMEET compares latest EPS results against analyst estimates.

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

20 Buy9 Hold1 Sell

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 76.5
Revenue QoQ+1.8%
Revenue YoY+8.4%
EPS QoQ+2100.0%
EPS YoY-5.9%
Gross margin QoQ+0.4%
Operating margin QoQ+16.3%
Net margin QoQ+12.8%

Financial Health

Quality 78.0
Debt / equity16.33x
Debt ratio+47.8%
Cash / debt proxy0.17x
Cash / assets+8.0%

Data Quality

FULL
As of date2026-06-15
Latest statement2026-03-31
Penalty0.0
Missing dataNone

Valuation Reference

P/E33.54x
P/B1179.54x
P/S3.51x
EV / EBITDA21.50x

Price Chart

Close price, two-year source window

Finlify Score

HOLD

61.6 / 100

Relative Strength49.7 / 100
Accumulation & Volume38.8 / 100
Fundamental Trend76.5 / 100
Financial Quality78.0 / 100
Data Quality FULLNo penalty

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 Q12025 Q42025 Q32025 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.