BID | 72.60 | ASK | 73.49 | ||
Open | 72.25 | Previous Close | 71.83 | ||
Pre-Market | - | After-Market | 72.65 | ||
- - | -0.77 -1.05% |
Target Price | 81.08 | Analyst Rating | Moderate Buy 2.12 | |
Potential % | 10.43 | Finscreener Ranking | + 38.54 | |
Insiders Trans % 3/6/12 mo. | -100/-100/-100 | Value Ranking | ★+ 44.97 | |
Insiders Value % 3/6/12 mo. | -100/-100/-100 | Growth Ranking | ★★ 46.22 | |
Insiders Shares Cnt. % 3/6/12 mo. | -100/-100/-100 | Income Ranking | + 25.26 | |
Price Range Ratio 52W % | 34.94 | Earnings Rating | Sell | |
Market Cap | 60.97B | Earnings Date | 5th May 2023 | |
Alpha | -0.00 | Standard Deviation | 0.05 | |
Beta | 0.51 |
Today's Price Range 72.1073.54 | 52W Range 67.8483.81 | 5 Year PE Ratio Range 21.3034.20 |
Summary:
Neutral
Technical Indicators: | Neutral |
Moving Averages: | Sell |
Performance | |||
---|---|---|---|
1 Week | 1.69% | ||
1 Month | 0.40% | ||
3 Months | -7.59% | ||
6 Months | -2.79% | ||
1 Year | -2.47% | ||
3 Years | 22.59% | ||
5 Years | 7.37% | ||
10 Years | 36.73% |
Mngmt Effectiveness | Value | Industry | S&P 500 | US Markets |
---|---|---|---|---|
ROE (5Y Avg) | 856.72 | |||
ROE last 12 Months | 343.47 | |||
ROA (5Y Avg) | 8.99 | |||
ROA last 12 Months | 12.97 | |||
ROC (5Y Avg) | - | |||
ROC last 12 Months | 22.47 | |||
Return on invested Capital Q | 7.26 | |||
Return on invested Capital Y | 1.77 | |||
Assets Turnover | 0.90 | |||
Receivables Turnover | 10.50 |
Valuation | Value | Industry | S&P 500 | US Markets |
---|---|---|---|---|
34.90 | ||||
107.40 | ||||
4.93 | ||||
22.50 | ||||
-108.60 | ||||
3.55 | ||||
-13.01 | ||||
0.74 | ||||
74.11B | ||||
Forward PE | 22.77 | |||
PEG | 9.69 |
Financial Strength | Value | Industry | S&P 500 | US Markets |
---|---|---|---|---|
0.50 | ||||
1.20 | ||||
0.93 | ||||
13.26 | ||||
18.20 | ||||
Leverage Ratio | 42.20 |
Profitability | Value | Industry | S&P 500 | US Markets |
---|---|---|---|---|
57.70 | ||||
16.90 | ||||
20.00 | ||||
19.10 | ||||
14.42 |
Revenue | Value | Industry | S&P 500 | US Markets |
---|---|---|---|---|
13.34B | ||||
15.97 | ||||
4.00 | ||||
2.63 |
Dividends | Value | Industry | S&P 500 | US Markets |
---|---|---|---|---|
2.39 | ||||
1.88 | ||||
2.02 | ||||
2.79 | ||||
Payout ratio | 55.00 |
Earnings History | Estimate | Reported | Surprise % |
---|---|---|---|
Q04 2022 | 0.77 | 0.77 | 0.00 |
Q03 2022 | 0.74 | 0.74 | 0.00 |
Q02 2022 | 0.71 | 0.72 | 1.41 |
Q01 2022 | 0.74 | 0.74 | 0.00 |
Q04 2021 | 0.79 | 0.79 | 0.00 |
Q03 2021 | 0.79 | 0.81 | 2.53 |
Q02 2021 | 0.80 | 0.80 | 0.00 |
Q01 2021 | 0.80 | 0.80 | 0.00 |
Earnings Per End | Estimate | Revision % | Trend |
---|---|---|---|
12/2022 QR | 0.76 | -7.32 | Negative |
12/2022 FY | 2.97 | -1.98 | Negative |
3/2023 QR | 0.76 | 0.00 | - |
12/2023 FY | 3.17 | -3.65 | Negative |
Next Report Date | 5th May 2023 |
Estimated EPS Next Report | 0.70 |
Estimates Count | 8 |
EPS Growth Next 5 Years % | 3.60 |
Volume Overview | |
---|---|
Volume | 4.56M |
Shares Outstanding | 830.38K |
Shares Float | 787.63M |
Trades Count | 47.40K |
Dollar Volume | 333.56M |
Avg. Volume | 4.31M |
Avg. Weekly Volume | 4.72M |
Avg. Monthly Volume | 4.07M |
Avg. Quarterly Volume | 4.13M |
Colgate-Palmolive Company (NYSE: CL) stock closed at 73.42 per share at the end of the most recent trading day (a 2.21% change compared to the prior day closing price) with a volume of 4.56M shares and market capitalization of 60.97B. Is a component of S&P 500, Russell 1000 indices and it is traded on NYSE exchange. The company belongs in the Consumer Packaged Goods industry, Consumer Defensive sector and employs 34200 people. Colgate-Palmolive Company CEO is Noel R. Wallace.
The one-year performance of Colgate-Palmolive Company stock is -2.47%, while year-to-date (YTD) performance is -6.82%. CL stock has a five-year performance of 7.37%. Its 52-week range is between 67.84 and 83.81, which gives CL stock a 52-week price range ratio of 34.94%
Colgate-Palmolive Company currently has a PE ratio of 34.90, a price-to-book (PB) ratio of 107.40, a price-to-sale (PS) ratio of 4.93, a price to cashflow ratio of 22.50, a PEG ratio of 2.32, a ROA of 12.97%, a ROC of 22.47% and a ROE of 343.47%. The company’s profit margin is 14.42%, its EBITDA margin is 20.00%, and its revenue ttm is $13.34 Billion , which makes it $15.97 revenue per share.
Of the last four earnings reports from Colgate-Palmolive Company, there were 1 positive earnings surprise and 0 negative earnings surprise. The company has EPS estimate of $0.70 for the next earnings report. Colgate-Palmolive Company’s next earnings report date is 05th May 2023.
The consensus rating of Wall Street analysts for Colgate-Palmolive Company is Moderate Buy (2.12), with a target price of $81.08, which is +10.43% compared to the current price. The earnings rating for Colgate-Palmolive Company stock is Sell (calculated from actual period earnings estimates revision (80% weight) and previous period earnings surprise (20% weight)).
Colgate-Palmolive Company has a dividend yield of 2.39% with a dividend per share of $1.88 and a payout ratio of 55.00%.
Colgate-Palmolive Company has a Neutral technical analysis rating based on Technical Indicators (ADX : 5.25, ATR14 : 1.23, CCI20 : 48.64, Chaikin Money Flow : -0.08, MACD : -0.35, Money Flow Index : 37.29, ROC : 2.03, RSI : 52.92, STOCH (14,3) : 95.60, STOCH RSI : 1.00, UO : 44.76, Williams %R : -4.40), Simple Moving Averages and Exponential Moving Averages.
Aggregated Insider Trades of Colgate-Palmolive Company in the last 12-months were: C. Martin Harris (Option Excercise at a value of $408 620), C. Martin Harris (Sold 5 703 shares of value $423 447 ), Jennifer M. Daniels (Option Excercise at a value of $1 803 319), Jennifer M. Daniels (Sold 29 625 shares of value $2 368 007 ), John T. Cahill (Option Excercise at a value of $408 620), John T. Cahill (Sold 5 703 shares of value $421 075 ), John W. Kooyman (Option Excercise at a value of $1 436 662), John W. Kooyman (Sold 25 838 shares of value $2 002 593 ), Michael B. Polk (Option Excercise at a value of $408 620), Michael B. Polk (Sold 5 559 shares of value $408 494 ), Noel R. Wallace (Option Excercise at a value of $7 420 528), Noel R. Wallace (Sold 101 665 shares of value $8 165 802 ), Panagiotis Tsourapas (Option Excercise at a value of $2 625 888), Patricia D. Verduin (Option Excercise at a value of $7 164 074), Patricia D. Verduin (Sold 98 138 shares of value $7 860 176 ), Philip G. Shotts (Option Excercise at a value of $729 900), Philip G. Shotts (Sold 10 000 shares of value $785 190 ), Prabha Parameswaran (Option Excercise at a value of $3 560 306), Prabha Parameswaran (Sold 48 778 shares of value $3 843 565 ), Sally Massey (Sold 1 665 shares of value $124 795 )
Analyst Ratings | Current | 1 M ago | 3 M ago |
---|---|---|---|
Strong Buy | |||
Moderate Buy | |||
Hold | |||
Moderate Sell | |||
Strong Sell | |||
Summary Rating | Moderate Buy | Moderate Buy | Moderate Buy |
Since its founding in 1806, Colgate-Palmolive has grown to become a leading global consumer product company. In addition to its namesake oral care line, the firm manufactures shampoos, shower gels, deodorants, and home care products that are sold in over 200 countries around the world (international sales account for about 75% of its consolidated total, including approximately 50% from emerging regions). It also owns specialty pet food maker Hill's, which sells its products through veterinarians and specialty pet retailers.
CEO: Noel R. Wallace
Telephone: +1 212 310-2000
Address: 300 Park Avenue, New York 10022-7499, NY, US
Number of employees: 34 200
Wed, 08 Mar 2023 12:10 GMT Analysts Are Bullish on Top Consumer Goods Stocks: Colgate-Palmolive (CL), PUMA SE NPV (PMMAF)
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