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Stock Charts AI Power Rank: 8.1
Power Rank trend -> Rising

Last Price: 93.19 - Change: 1.16 - Change %: 1.2605
03/27/2025 16:10:00 EST

Colgate-Palmolive Company (CL)

Industry: Household & Personal Products

Price Support Resistance

In the past 20 trading days, CL has been trading in a range between $97.50 and $89.49 (gray range band). Red lines on the chart represent key resistance levels and Green lines represent key support levels. As the price moves above the lines you will notice they turn green and red if price moves below a line.

CL is trading between resistance at $93.89 about 1% to the upside and support at $90.44 -3% to the downside. If it can break above the resistance, it could have some more upside to the next line of resistance at $101.44, about a 9% move. If the price starts to turn down and fails to get through this level or enters a yellow zone, we would consider profit taking or exiting the position. If it enters a red zone on the chart we would exit the position.

Upside / Downside Potential

Colgate-Palmolive Company $CL entered a Green zone 46 days ago on the AI powered stock chart. Wall Street analysts have an AVG target price $103.0505, a potential upside of 11.97% from the recent price of 92.03. The stock is trading 17.51% (potential upside) below its 52 week high of $108.14 and 9.74 % (potential downside) above its 52 week low of $83.86 - based on the recent price.

Company Summary

Colgate-Palmolive Company, together with its subsidiaries, manufactures and sells consumer products in the United States and internationally It operates through two segments: Oral, Personal and Home Care; and Pet Nutrition. The Oral, Personal and Home Care segment offers toothpaste, toothbrushes, mouthwash, bar and liquid hand soaps, shower gels, shampoos, conditioners, deodorants and antiperspirants, skin health products, dishwashing detergents, fabric conditioners, household cleaners, and other related items.

CL Website

News

Goldman Sees Premium Pet Food As Bright Spot For Colgate And General Mills Amid Consumer Caution
Goldman Sachs analyst Bonnie Herzog analyzed the pet food offerings to understand the category more. The following are the comments published on Thursday regarding the same.
Source: Benzinga
Thu, 27 Mar 2025 14:16:22 -0400
Sentiment: Positive
The Smartest Dividend Stocks to Buy With $350 Right Now
Riskier assets like growth and technology stocks have enjoyed a strong run since early 2023. However, some uncertainty has begun clouding the stock market's outlook.
Source: The Motley Fool
Tue, 25 Mar 2025 04:49:00 -0400
Sentiment: Positive
Zacks Industry Outlook The Procter & Gamble, Colgate-Palmolive, Kimberly-Clark and The Clorox
The Procter & Gamble, Colgate-Palmolive, Kimberly-Clark and The Clorox have been highlighted in this Industry Outlook article.
Source: Zacks Investment Research
Tue, 25 Mar 2025 03:30:17 -0400
Sentiment: Neutral
EYE or CL: Which Is the Better Value Stock Right Now?
Investors with an interest in Consumer Products - Staples stocks have likely encountered both National Vision (EYE) and Colgate-Palmolive (CL). But which of these two stocks is more attractive to value investors?
Source: Zacks Investment Research
Mon, 24 Mar 2025 12:45:33 -0400
Sentiment: Positive
4 Consumer Product Stocks to Keep an Eye on Despite Market Challenges
The Zacks Consumer Products - Staples industry is navigating a tough consumer environment and elevated SG&A costs. Nevertheless, PG, CL, KMB and CLX are leveraging innovations to drive growth.
Source: Zacks Investment Research
Mon, 24 Mar 2025 10:40:39 -0400
Sentiment: Positive
Instituions Institution %: 86.145
Last QTR Institution change: 12558195

Insiders
Insiders %: 0.139
Insiders Purchases last QTR: 0
Insiders Sales last QTR: 104623
Insiders Net last QTR: -104623

Analyst Ratings
Target Price: 103.0505
Overall Rating: 3.7391
Strong Buys (5): 7
Buys (4): 6
Holds (3): 8
Sells (2): 1
Strong Sells (1): 1

Technicals
52 Week Hi: 108.1433
52 Week Low: 83.8566
Beta: 0.392
50 Day MA: 89.5252
200 Day MA: 95.8286

Earnings / Revenue Trends
Qtr Earnings Growth YOY: 0.034
Qtr Revenue Growth YOY: -0.001
Forward PE: 25.0627
Trailing PE: 26.2507

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