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Colgate-Palmolive (CL) Stock Analysis

Colgate-Palmolive (CL) trades at $90.09, with a market capitalisation of $71.4B, a trailing P/E of 35.0, revenue growth of 5.2% year over year, a net margin of 9.7%. Colgate-Palmolive operates in Consumer products.

Key figures

Price$90.09
Market cap$71.4B
P/E (TTM)35.0
Revenue growth (TTM YoY)5.2%
EPS growth (TTM YoY)-28.9%
Gross margin60.4%
Net margin9.7%
Debt to equity147.9
Beta0.3
Dividend yield2.5%
52-week range$74.55 – $99.33

How Skopa analyses CL

Skopa writes a separate investment thesis for CL through each of five lenses, so the same company can earn different verdicts depending on what you are optimising for: Value weighs what the business is worth against what it costs, Growth asks how fast it can compound from here, Momentum reads price and estimate revisions, Quality tests margin durability and returns on capital, and Contrarian argues where consensus is mispricing it. Each thesis cites the financials it was built from, alongside the risks and catalysts that would change it.

Open the full CL research on Skopa