Colgate-Palmolive Co.

Colgate-Palmolive manufactures and markets a variety of products in the United States and around the world. The company has two product segments: Oral, Personal and Home Care; and Pet Nutrition. Oral, Personal and Home Care products include toothpaste, toothbrushes and mouthwash, bar and liquid hand soaps, shower gels, shampoos, conditioners, deodorants and antiperspirants, skin care products, dishwashing detergents, fabric conditioners, household cleaners, and other similar items. Pet Nutrition products include specialty pet nutrition products manufactured and marketed by Hill's Pet Nutrition.
  • TickerCL
  • ISINUS1941621039
  • ExchangeNew York Stock Exchange
  • SectorPersonal Goods
  • CountryUnited States

COLGATE-PALMOLIVE CO sees a downgrade to Neutral on account of less fundamental stars

The independent financial analyst theScreener just lowered the general evaluation of COLGATE-PALMOLIVE CO (US), active in the Personal Products & Services industry. As regards its fundamental valuation, the title now shows 0 out of 4 stars while market behaviour can be considered defensive. theScreener believes that the title remains under pressure due to the loss of a star(s) and downgrades its general evaluation to Neutral. As of the analysis date January 19, 2021, the closing price was USD 80.85 and its target price was estimated at USD 73.43.

MarketLine Department

Melaleuca Inc - Strategy, SWOT and Corporate Finance Report

Summary Melaleuca Inc - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Key Highlights Melaleuca Inc (Melaleuca) is a manufacturer and marketer of beauty care and wellness products. The company's product portfolio includes vitamins and supplements, food and weight loss, cleaning and laundry, medicine cabinet, beauty, dental care and facial care products. Melaleuca sells its prod...

MarketLine Department

Ranir, LLC - Strategy, SWOT and Corporate Finance Report

Summary Ranir, LLC - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Key Highlights Ranir, LLC (Ranir) is a manufacturer and marketer of consumer oral care products. The company primarily produces a wide range of products for global store brand market. Its product portfolio comprises power and manual toothbrushes, mouthwash, floss, flossers and inter-dental devices, tooth whiten...

MarketLine Department

Bolton Group BV - Strategy, SWOT and Corporate Finance Report

Summary Bolton Group BV - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Key Highlights Bolton Group BV (Bolton) provides a wide range of consumer products including food, home and laundry care, beauty care, adhesives, health care and personal care products. The company's product portfolio comprisescanned meat, sauces and vinegars, detergents, laundry additives, surface and flo...

MarketLine Department

Reckitt Benckiser Group plc - Strategy, SWOT and Corporate Finance Report

Summary Reckitt Benckiser Group plc - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Key Highlights Reckitt Benckiser Group plc (RB or 'the company') is a producer and distributor of household cleaning, and health and personal care products. The company's major products include health and wellness products, over-the-counter (OTC) drugs, infant and child nutrition (IFCN) product...

Dave Nicoski ...
  • Ross LaDuke

Vital Signs: Actionable charts

Key Points: • A number of names in the Communications Sector are showing signs of leadership. (ex. GLUU, and CNSL) • Consumer Discretionary continues to have a number of attractive names technically. (ex. TXRH, BLMN, WEN, CBRL, SCI, LL, and STMP) • Healthcare has a number of attractive names technically. (ex. SEM, CYH, THC, PRSC, TRHC, HQY, GILD, EBS, REGN, and ABBV) • REIT's remain a leadership Sector (ex. STAR, HR, SAFE, DLR, SBAC, and EQIX)

Dave Nicoski ...
  • Ross LaDuke

Vital Signs: Actionable charts

In this product we rank the most positive and negative domestic stocks, filter the symbols by market-cap and trading volume, and then divide the companies into sectors and groups. We then manually look through charts leadership/changes, bottoms-up/top-down ideas, short-term patterns that may have long-term significance, etc. We believe you will find this product valuable as significant price and relative moves begin in the daily charts.

Dave Nicoski ...
  • Ross LaDuke

Vermilion Short Shots: Technically Vulnerable Stocks

Short Shots is a collection of technically vulnerable charts culled from the Negative Inflecting and Toppy columns within our Weekly Compass report or from various technical screening processes. The charts contained in this report have developed concerning technical patterns that suggest further price deterioration is likely. For these reasons Short Shots can also be a great source of ideas for investors interested in short-selling candidates.

Dave Nicoski ...
  • Ross LaDuke

Vermilion Short Shots: Technically Vulnerable Stocks

Short Shots is a collection of technically vulnerable charts culled from the Negative Inflecting and Toppy columns within our Weekly Compass report or from various technical screening processes. The charts contained in this report have developed concerning technical patterns that suggest further price deterioration is likely. For these reasons Short Shots can also be a great source of ideas for investors interested in short-selling candidates.

Dave Nicoski ...
  • Ross LaDuke

Vermilion Short Shots: Technically Vulnerable Stocks

Short Shots is a collection of technically vulnerable charts culled from the Negative Inflecting and Toppy columns within our Weekly Compass report or from various technical screening processes. The charts contained in this report have developed concerning technical patterns that suggest further price deterioration is likely. For these reasons Short Shots can also be a great source of ideas for investors interested in short-selling candidates.

Colgate Palmolive Co: 5 directors sold after exercising options/sold

Five Directors at Colgate Palmolive Co sold after exercising options/sold 182,178 shares at between 84.900USD and 85.306USD. The significance rating of the trade was 93/100. Is that information sufficient for you to make an investment decision? This report gives details of those trades and adds context and analysis to them such that you can judge whether these trading decisions are ones worth following. Included in the report is a detailed share price chart which plots discretionary trades by all the company's directors over the last two years clearly showing Close periods where trading acti...

MarketLine Department

Melaleuca Inc - Strategy, SWOT and Corporate Finance Report

Summary Melaleuca Inc - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Key Highlights Melaleuca Inc (Melaleuca) is a manufacturer and marketer of beauty care and wellness products. The company's product portfolio includes vitamins and supplements, food and weight loss, cleaning and laundry, medicine cabinet, beauty, dental care and facial care products. Melaleuca sells its prod...

MarketLine Department

Ranir, LLC - Strategy, SWOT and Corporate Finance Report

Summary Ranir, LLC - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Key Highlights Ranir, LLC (Ranir) is a manufacturer and marketer of consumer oral care products. The company primarily produces a wide range of products for global store brand market. Its product portfolio comprises power and manual toothbrushes, mouthwash, floss, flossers and inter-dental devices, tooth whiten...

MarketLine Department

Bolton Group BV - Strategy, SWOT and Corporate Finance Report

Summary Bolton Group BV - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Key Highlights Bolton Group BV (Bolton) provides a wide range of consumer products including food, home and laundry care, beauty care, adhesives, health care and personal care products. The company's product portfolio comprisescanned meat, sauces and vinegars, detergents, laundry additives, surface and flo...

MarketLine Department

Reckitt Benckiser Group plc - Strategy, SWOT and Corporate Finance Report

Summary Reckitt Benckiser Group plc - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Key Highlights Reckitt Benckiser Group plc (RB or 'the company') is a producer and distributor of household cleaning, and health and personal care products. The company's major products include health and wellness products, over-the-counter (OTC) drugs, infant and child nutrition (IFCN) product...

MarketLine Department

Charles Flora Consumer Products, LLC - Strategy, SWOT and Corporate Finance Report

Summary Charles Flora Consumer Products, LLC - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Key Highlights Charles Flora Consumer Products, LLC (Charles Flora) is a manufacturer and distributor of oral care, pet care and personal care products. The company's product portfolio includes mouthwash, toothpaste and hair color products. These products are marketed under Lavoris and...

Colgate-Palmolive Company - September 2020 (LTM): Peer Snapshot

Compares key performance metrics against industry peers.

Colgate-Palmolive Company - June 2020 (LTM): Peer Snapshot

Peer Snapshot:  Colgate-Palmolive Company - June 2020 (LTM) 26 August 2020 (in US millions) FYE Dec-18 FYE Dec-19 LTM Jun-20 FYE Jun-18 FYE Jun-19 LTM Jun-20 FYE Dec-18 FYE Dec-19 LTM Jun-20

Colgate-Palmolive Company: Update to Discussion of Key Rating Factors

We expect stable operating performance to continue, despite a challenging operating environment.

Colgate-Palmolive Company - March 2020 (LTM): Peer Snapshot

Compares key performance metrics against industry peers.

Colgate-Palmolive Company - December 2019 (LTM): Peer Snapshot

Compares key performance metrics against industry peers.

COLGATE-PALMOLIVE CO sees a downgrade to Neutral on account of less fundamental stars

The independent financial analyst theScreener just lowered the general evaluation of COLGATE-PALMOLIVE CO (US), active in the Personal Products & Services industry. As regards its fundamental valuation, the title now shows 0 out of 4 stars while market behaviour can be considered defensive. theScreener believes that the title remains under pressure due to the loss of a star(s) and downgrades its general evaluation to Neutral. As of the analysis date January 19, 2021, the closing price was USD 80.85 and its target price was estimated at USD 73.43.

Ford Equity US Rating and Forecast Report

Ford Equity Research covers more than 4,000 stocks using a proprietary quantitative model that evaluates a company’s earnings strength, its relative valuation and recent price movement. Ford’s five recommendation ratings include strong buy, buy, hold, sell, strong sell. For all stocks in our coverage universe, ratings are generated each week and reflect the fundamental and price data as of the last trading day of the week.

ResearchPool Subscriptions

Get the most out of your insights

Get in touch