Colgate-Palmolive Company, together with its subsidiaries,
manufactures and markets consumer products worldwide. The company operates in
two segments: Oral, Personal and Home Care; and Pet Nutrition. The stock
currently has a dividend yield of 2.3%. CL has a PE ratio of 24.9. Currently
there are 3 analysts that rate Colgate-Palmolive Company a buy, 1 analyst rates
it a sell, and 12 rate it a hold.
The average volume for Colgate-Palmolive Company has been
2.8 million shares per day over the past 30 days. Colgate-Palmolive has a
market cap of $55.5 billion and is part of the consumer goods sector and
consumer non-durables industry. The stock has a beta of 0.27 and a short float
of 1.1% with 2.50 days to cover. Shares are up 14.5% year to date as of the
close of trading on Friday. Read more.
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