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Colgate-Palmolive (CL)

79.59
-0.11 (-0.14%)
NYSE · Last Trade: Sep 28th, 9:34 AM EDT
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A Once-in-a-Decade Opportunity: 1 Magnificent S&P 500 Dividend King Down 26% to Buy Right Nowfool.com
This Dividend King is available to investors at a once-in-a-decade valuation.
Via The Motley Fool · September 27, 2025
1 S&P 500 Stock to Consider Right Now and 2 We Brush Off
The S&P 500 (^GSPC) is home to the biggest and most well-known companies in the market, making it a go-to index for investors seeking stability. But not all large-cap stocks are created equal - some are struggling with slowing growth, declining margins, or increased competition.
Via StockStory · September 26, 2025
8 Analysts Assess Colgate-Palmolive: What You Need To Knowbenzinga.com
8 analysts have expressed a variety of opinions on Colgate-Palmolive (NYSE: CL) over the past quarter, offering a diverse set of opinions from bullish to bearish.
Via Benzinga · September 25, 2025
Kenvue Bounces Off Record Low: A Deep Dive into its Rebound and Future Prospects
Kenvue (NYSE: KVUE), the consumer health giant spun off from Johnson & Johnson, has experienced a significant rebound in its stock price, climbing notably from a recent record low. This resurgence comes after a period of intense pressure, primarily fueled by controversial, unproven claims linking its flagship Tylenol product to neurodevelopmental
Via MarketMinute · September 24, 2025
Procter & Gamble Charts Steady Course for Fiscal 2026: Sustained Growth and Robust Shareholder Returns
Procter & Gamble (NYSE: PG), the consumer goods titan, has unveiled its fiscal 2026 outlook, signaling a continued commitment to steady growth and substantial shareholder returns despite a challenging global economic landscape. Following a resilient fiscal 2025, the company anticipates a period of modest but consistent expansion in its diluted net
Via MarketMinute · September 22, 2025
Waning Consumer Confidence: A Headwind for Economic Growth and Sectoral Rotation
Consumer confidence, a pivotal barometer of economic health, has shown persistent signs of weakening in recent months, casting a shadow over the global economic outlook. Driven by a cocktail of persistent inflation, rising interest rates, and growing labor market anxieties, this decline signals a potential retrenchment in consumer spending, which
Via MarketMinute · September 22, 2025
The Unyielding Power of Dividends: A Blueprint for Enduring Wealth
In an era of fluctuating financial markets and evolving economic landscapes, the allure of dividend-paying stocks as a cornerstone for building long-term wealth remains as potent as ever. As investors navigate through periods of both growth and uncertainty, the consistent income stream and inherent stability offered by income-generating equities provide
Via MarketMinute · September 22, 2025
Consumer Staples Giants: P&G's Enduring Brands and Costco's Resilient Membership Model Navigate Economic Shifts
In an increasingly volatile global economy, the consumer staples sector stands as a bedrock of stability, providing essential goods that remain in demand regardless of economic headwinds. Two titans within this crucial industry, Procter & Gamble (NYSE: PG) and Costco Wholesale Corporation (NASDAQ: COST), exemplify robust business models that not only
Via MarketMinute · September 22, 2025
Procter & Gamble's Unwavering Dividends Mask Shifting Sales Landscape
Cincinnati, OH – In a financial landscape often characterized by volatility, consumer goods behemoth Procter & Gamble (NYSE: PG) once again demonstrated its enduring strength, reporting a robust earnings per share (EPS) beat for its fourth quarter of fiscal year 2025. This stellar bottom-line performance arrived amidst a more nuanced sales picture,
Via MarketMinute · September 22, 2025
P&G's Q3 2025: Sales Miss Overshadows Earnings Beat Amidst Global Headwinds
Procter & Gamble (NYSE: PG) recently disclosed its fiscal third-quarter 2025 results, presenting a nuanced financial picture that has stirred investor sentiment. While the consumer goods titan managed to surpass core earnings per share (EPS) estimates, its net sales declined by 2% to $19.8 billion, falling short of Wall Street's
Via MarketMinute · September 19, 2025
Consumer Caution Mounts: Eroding Confidence Poses Headwind for Economic Growth Amidst Fed's Dovish Pivot
The American consumer, a bedrock of economic prosperity, is showing increasing signs of caution, with dwindling confidence and moderated spending growth signaling potential headwinds for the broader economy. Recent data from the University of Michigan Consumer Sentiment survey paints a picture of a populace grappling with persistent inflation, a softening
Via MarketMinute · September 18, 2025
3 Ridiculously Cheap Dividend Stocks Passive Income Investors Can Buy Now in 2025!fool.com
Dividend stocks become more attractive as interest rates decrease.
Via The Motley Fool · September 18, 2025
Colgate Agrees To Show Safe Toothpaste Amounts For Kids After Legal Pressurebenzinga.com
Attorney General Paxton secured a deal with Colgate to ensure kids' toothpaste ads show safe, age-appropriate amounts starting in November 2025..
Via Benzinga · September 16, 2025
Q2 Earnings Roundup: Colgate-Palmolive (NYSE:CL) And The Rest Of The Household Products Segment
As the craze of earnings season draws to a close, here’s a look back at some of the most exciting (and some less so) results from Q2. Today, we are looking at household products stocks, starting with Colgate-Palmolive (NYSE:CL).
Via StockStory · September 14, 2025
Beyond the Tech Boom: Unearthing Robust Growth in America's Foundational Industries
While the dazzling ascent of artificial intelligence and the perennial strength of technology giants continue to captivate headlines and investor capital, a deeper dive into the financial markets reveals a compelling narrative of resilience and robust growth flourishing well beyond the tech sector's gleaming facade. From the vital services of
Via MarketMinute · September 12, 2025
3 Standout Themes That Emerged From Earnings Seasonfool.com
Tariffs are beginning to take a toll, but can the economy hold up?
Via The Motley Fool · August 31, 2025
Middle East Tensions Ignite Oil Markets, Global Stocks Brace for Volatility After Surprise Attack
A sudden and unprovoked attack in a vital energy-producing region of the Middle East has sent immediate shockwaves through global financial markets. Crude oil prices surged dramatically as fears of significant supply disruptions intensified, while equity markets worldwide reacted with heightened volatility, signaling a new era of geopolitical risk premium.
Via MarketMinute · August 29, 2025
Indian Equities Post Weekly Losses Dragged By Tariff Pressuresstocktwits.com
The Nifty 50 recorded a weekly loss of 1.75%, marking its first decline in three weeks.
Via Stocktwits · August 29, 2025
3 Spectacular Stocks You Can Buy Now and Hold Foreverfool.com
The ultimate long-term investing strategy is buying stocks and holding them forever.
Via The Motley Fool · August 27, 2025
Consumer Spending Slows Amid Weakening Sentiment and Tariff Worries
The American consumer, long a pillar of economic strength, is showing signs of fatigue in 2025. A period of modest growth in spending is now being overshadowed by a noticeable weakening in consumer sentiment, a trend exacerbated by the persistent uncertainty surrounding tariffs. This shift has immediate and far-reaching implications
Via MarketMinute · August 25, 2025
Colgate-Palmolive’s Q2 Earnings Call: Our Top 5 Analyst Questions
Colgate-Palmolive’s second quarter results were characterized by modest year-on-year growth, as the company navigated a challenging operating environment marked by persistent raw material inflation and category volatility. Management attributed the quarter’s performance to improved revenue growth management, resilient performance in core brands, and innovation across product categories. CEO Noel Wallace highlighted the importance of “broad-based strength across geographies, categories and price tiers,” while acknowledging the impact of cautious consumer behavior, particularly in North America and certain international markets. The company also pointed to ongoing investments in product innovation and digital capabilities as central to sustaining competitiveness.
Via StockStory · August 12, 2025
CL Q2 Deep Dive: Modest Growth Amid Cost Pressures and Strategic Shifts
Consumer products company Colgate-Palmolive (NYSE:CL) reported revenue ahead of Wall Street’s expectations in Q2 CY2025, with sales up 1% year on year to $5.11 billion. Its non-GAAP profit of $0.92 per share was 2.8% above analysts’ consensus estimates.
Via StockStory · August 12, 2025
1 Cash-Producing Stock Worth Your Attention and 2 That Underwhelm
While strong cash flow is a key indicator of stability, it doesn’t always translate to superior returns. Some cash-heavy businesses struggle with inefficient spending, slowing demand, or weak competitive positioning.
Via StockStory · August 11, 2025
2 Profitable Stocks Worth Your Attention and 1 We Question
Not all profitable companies are built to last - some rely on outdated models or unsustainable advantages. Just because a business is in the green today doesn’t mean it will thrive tomorrow.
Via StockStory · August 7, 2025
Top 3 Risk Off Stocks That May Rocket Higher This Quarterbenzinga.com
Via Benzinga · August 6, 2025