CL
Colgate-Palmolive·NYSE
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3.23 / 10
Netural
Fundamental analysis yields a modest 3.23 score, rated Neutral. Strengths include PB‑ROE and Asset‑MV, while Cash‑UP and profit metrics lag. Overall, the company shows limited upside, with mixed factor performance and a constrained investment case.
Analysis Checks(6/10)
Revenue-MV
Value0.08
Score0/3
Weight7.48%
1M Return4.49%
Value0.08
Score0/3
Weight7.48%
1M Return4.49%
Equity multiplier
Value302.41
Score2/3
Weight11.23%
1M Return4.51%
Value302.41
Score2/3
Weight11.23%
1M Return4.51%
Profit-MV
Value0.70
Score1/3
Weight11.53%
1M Return5.18%
Value0.70
Score1/3
Weight11.53%
1M Return5.18%
PB-ROE
Value2.89
Score2/3
Weight11.74%
1M Return5.28%
Value2.89
Score2/3
Weight11.74%
1M Return5.28%
Cost of sales ratio (%)
Value39.89
Score2/3
Weight7.29%
1M Return2.89%
Value39.89
Score2/3
Weight7.29%
1M Return2.89%
Operating cycle
Value117.20
Score2/3
Weight10.30%
1M Return4.19%
Value117.20
Score2/3
Weight10.30%
1M Return4.19%
Equity ratio (Total liabilities / Shareholders’ equity attributable to parent company) (%)
Value295.65
Score2/3
Weight11.23%
1M Return4.51%
Value295.65
Score2/3
Weight11.23%
1M Return4.51%
Net income-Revenue
Value-0.04
Score0/3
Weight0.00%
1M Return-3.34%
Value-0.04
Score0/3
Weight0.00%
1M Return-3.34%
Cash-UP
Value0.16
Score0/3
Weight1.04%
1M Return0.70%
Value0.16
Score0/3
Weight1.04%
1M Return0.70%
Asset-MV
Value-0.55
Score3/3
Weight28.15%
1M Return9.78%
Value-0.55
Score3/3
Weight28.15%
1M Return9.78%
Revenue-MV
Value0.08
Score0/3
Weight7.48%
1M Return4.49%
Value0.08
Score0/3
Weight7.48%
1M Return4.49%
Operating cycle
Value117.20
Score2/3
Weight10.30%
1M Return4.19%
Value117.20
Score2/3
Weight10.30%
1M Return4.19%
Equity multiplier
Value302.41
Score2/3
Weight11.23%
1M Return4.51%
Value302.41
Score2/3
Weight11.23%
1M Return4.51%
Equity ratio (Total liabilities / Shareholders’ equity attributable to parent company) (%)
Value295.65
Score2/3
Weight11.23%
1M Return4.51%
Value295.65
Score2/3
Weight11.23%
1M Return4.51%
Profit-MV
Value0.70
Score1/3
Weight11.53%
1M Return5.18%
Value0.70
Score1/3
Weight11.53%
1M Return5.18%
Net income-Revenue
Value-0.04
Score0/3
Weight0.00%
1M Return-3.34%
Value-0.04
Score0/3
Weight0.00%
1M Return-3.34%
PB-ROE
Value2.89
Score2/3
Weight11.74%
1M Return5.28%
Value2.89
Score2/3
Weight11.74%
1M Return5.28%
Cash-UP
Value0.16
Score0/3
Weight1.04%
1M Return0.70%
Value0.16
Score0/3
Weight1.04%
1M Return0.70%
Cost of sales ratio (%)
Value39.89
Score2/3
Weight7.29%
1M Return2.89%
Value39.89
Score2/3
Weight7.29%
1M Return2.89%
Asset-MV
Value-0.55
Score3/3
Weight28.15%
1M Return9.78%
Value-0.55
Score3/3
Weight28.15%
1M Return9.78%
Is CL undervalued or overvalued?
- CL scores 3.23/10 on fundamentals and holds a Fair valuation at present. Backed by its 469.09% ROE, 11.09% net margin, 31.97 P/E ratio, 186.73 P/B ratio, and -25.21% earnings growth, these metrics solidify its Netural investment rating.
