CL

Colgate Palmolive Stock Analysis

AI Rating

Fair
  • Quality9/10
  • Growth 1/10
  • Value 2/10
Colgate Palmolive sales and earnings growth
CL Growth
Low
  • Revenue Y/Y 5.55%
  • EPS Y/Y -26.76%
  • FCF Y/Y 8.65%
Colgate Palmolive gross and profit margin trends
CL Profitability
Good
  • Gross margin 60.10%
  • EPS margin 10.00%
  • ROIC 5Y 27.48%
Colgate Palmolive recent dividend growth
CL Dividends
  • Dividend yield 2.34%
  • Growth 3Y 4.08%
  • Payout ratio 80%
Colgate Palmolive net debt vs free cash flow
CL Risk
Poor
  • Debt / Equity 16.4
  • Debt / FCF 1.8
  • Interest coverage 11.9

Colgate Palmolive stock is less volatile than the overall market, so it's low risk. We give it a Poor risk rating.

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