Colgate-Palmolive Company (CL) at a glance

Colgate-Palmolive Company (CL) is a large-cap Consumer Defensive company. It trades at $87, with a P/E of 34.6, a 10% profit margin and revenue growth of 8.4%. It pays a 2.3% dividend yield. Vestovix scores it 56/100 overall. Its strongest dimension is Safety (94/100) and its weakest is Value (39/100). It is a relatively defensive holding with below-market volatility.

Price
$87.00
Market cap
$71.58B
P/E ratio
34.6
Dividend yield
2.34%
Beta
0.32
52-week range
$74.55 to $99.33
Vestovix Score56/ 100How this works
Value
39
Growth
46
Income
54
Safety
94
Momentum
50

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