CL Colgate-Palmolive Company
Consumer Staples > Household & Personal Products > Personal Care Products > Personal Care Products | NYSE, LargeCap | Last Price: 99.14 | 2026-02-27 | Atrp: 1.9
Sat 21 Feb 2026 to Thu 26 Feb 2026: Score -5
| Metric | Previous | New | Change | Interpretation | |
|---|---|---|---|---|---|
| â | Short Percent | 2.11% | 2.29% | ▲ 8.53% | Bearish. Lower is better. Slight increase; still high, potential for squeeze if positive catalysts emerge Percentage of shares sold short |
| â | EBITDA | $4921M | $4868M | ▼ -1.08% | Bearish. Higher is better. Decline in earnings before interest, taxes, depreciation, and amortization; indicates weaker operational cash flow Earnings before interest, taxes, depreciation, and amortization |
| â | Operating Margin TTM | 20.75% | 20.38% | ▼ -1.78% | Bearish. Higher is better. Operating margin TTM growth slowing. Percentage of revenue left after operating expenses |
| â | Return On Assets TTM | 16.57% | 16.36% | ▼ -1.27% | Bearish. Higher is better. Return on assets TTM growth slowing. Efficiency in generating profits from total assets |
| â | Price Sales TTM | 3.7707 | 3.8682 | ▲ 2.59% | Bearish. Lower is better. Higher multiple; market willing to pay more per dollar of sales Stock price divided by revenue per share over the trailing twelve months |
| â | Short Ratio | 2.13 | 2.17 | ▲ 1.88% | Bearish. Lower is better. Slight decline |
| â | PEG Ratio | 3.7379 | 3.6985 | ▼ -1.05% | Bullish. Lower is better. Slight decrease, improving the value relative to growth P/E ratio adjusted for growth rate |
| â | Forward PE | 25.0627 | 24.7525 | ▼ -1.24% | Bullish. Lower is better. Slight improvement Stock price divided by expected future earnings |
Sat 14 Feb 2026 to Sat 21 Feb 2026: Score 1
| Metric | Previous | New | Change | Interpretation | |
|---|---|---|---|---|---|
| â | Price Sales TTM | 3.8333 | 3.7707 | ▼ -1.63% | Bullish. Lower is better. Lower multiple; market willing to pay less per dollar of sales Stock price divided by revenue per share over the trailing twelve months |
Fri 30 Jan 2026 to Sat 07 Feb 2026: Score -8
| Metric | Previous | New | Change | Interpretation | |
|---|---|---|---|---|---|
| â | Book Value | 1.062 | 0.067 | ▼ -93.69% | Bearish. Higher is better. Substantial decrease; stock now trades further from book value Net asset value of the company per share |
| â | Return On Equity TTM | 293.64% | 49.75% | ▼ -83.06% | Bearish. Higher is better. Return on equity TTM growth slowing. Efficiency in generating profits from shareholders' equity |
| â | Profit Margin | 14.47% | 10.46% | ▼ -27.71% | Bearish. Higher is better. Profit margin growth slowing. Percentage of revenue that turns into profit |
| â | PEG Ratio | 3.4867 | 3.6505 | ▲ 4.7% | Bearish. Lower is better. Slight increase, worsening the value relative to growth P/E ratio adjusted for growth rate |
| â | Forward PE | 23.3645 | 24.4499 | ▲ 4.65% | Bearish. Lower is better. Slight decline Stock price divided by expected future earnings |
| â | Price Book MRQ | 1347.7704 | 1409.2702 | ▲ 4.56% | Bearish. Lower is better. Further to 1; more overvalued on assets but worsened perception Stock price divided by book value per share for the most recent quarter |
| â | Enterprise Value/Revenue | 3.8995 | 4.0624 | ▲ 4.18% | Bearish. Lower is better. Slight decline Enterprise value divided by revenue |
| â | Enterprise Value/EBITDA | 20.0909 | 20.9304 | ▲ 4.18% | Bearish. Lower is better. Slight decline Enterprise value to earnings before interest, taxes, depreciation |
| â | Price Sales TTM | 3.6311 | 3.7437 | ▲ 3.1% | Bearish. Lower is better. Higher multiple; market willing to pay more per dollar of sales Stock price divided by revenue per share over the trailing twelve months |
| â | EBITDA | $4812M | $4921M | ▲ 2.27% | Bullish. Higher is better. Increase in earnings before interest, taxes, depreciation, and amortization; indicates stronger operational cash flow Earnings before interest, taxes, depreciation, and amortization |
| â | Operating Margin TTM | 20.23% | 20.75% | ▲ 2.57% | Bullish. Higher is better. Operating margin TTM growth accelerating. Percentage of revenue left after operating expenses |
| â | Gross Profit TTM | $12088M | $12251M | ▲ 1.35% | Bullish. Higher is better. Slight increase, but margins may be improving Revenue minus cost of goods sold over the trailing twelve months |
| â | Revenue TTM | $20097M | $20382M | ▲ 1.42% | Bullish. Higher is better. Slight top-line expansion Total revenue over the trailing twelve months |
| â | Revenue Per Share TTM | 24.764 | 25.203 | ▲ 1.77% | Bullish. Higher is better. Slight improvement Revenue generated per outstanding share over the trailing twelve months |
| â | Wall Street Target Price | 89.8421 | 95.3158 | ▲ 6.09% | Bullish. Higher is better. Higher analyst expectations, pointing to increased optimism for future performance Analysts' consensus target price for the stock |
| â | Return On Assets TTM | 15.34% | 16.57% | ▲ 8.02% | Bullish. Higher is better. Return on assets TTM growth accelerating. Efficiency in generating profits from total assets |
| â | Enterprise Value | $75.85B | $82.8B | ▲ 9.17% | Bullish. Higher is better. Increased, reflecting higher market cap and possibly debt adjustments Market capitalization plus debt minus cash |
| â | Quarterly Revenue Growth YOY | 21% | 61% | ▲ 205.26% | Bullish. Higher is better. Quarterly revenue growth YOY growth accelerating. Year-over-year growth in quarterly revenue |
Fri 23 Jan 2026 to Fri 30 Jan 2026: Score -23
| Metric | Previous | New | Change | Interpretation | |
|---|---|---|---|---|---|
| â | Price Book MRQ | 80.8042 | 1347.7704 | ▲ 1567.95% | Bearish. Lower is better. Further to 1; more overvalued on assets but worsened perception Stock price divided by book value per share for the most recent quarter |
| â | Earnings Per Share | 3.61 | 2.63 | ▼ -27.15% | Bearish. Higher is better. Significant decline in earnings per share Profit allocated to each outstanding share |
| â | Enterprise Value/EBITDA | 15.8382 | 20.0909 | ▲ 26.85% | Bearish. Lower is better. Significant decline Enterprise value to earnings before interest, taxes, depreciation |
| â | Short Percent | 2% | 2.26% | ▲ 13% | Bearish. Lower is better. Moderate increase; still high, potential for squeeze if positive catalysts emerge Percentage of shares sold short |
| â | PEG Ratio | 3.3137 | 3.4867 | ▲ 5.22% | Bearish. Lower is better. Slight increase, worsening the value relative to growth P/E ratio adjusted for growth rate |
| â | Forward PE | 22.2222 | 23.3645 | ▲ 5.14% | Bearish. Lower is better. Slight decline Stock price divided by expected future earnings |
| â | Price Sales TTM | 3.4851 | 3.6311 | ▲ 4.19% | Bearish. Lower is better. Higher multiple; market willing to pay more per dollar of sales Stock price divided by revenue per share over the trailing twelve months |
| â | Short Ratio | 2.48 | 2.64 | ▲ 6.45% | Bearish. Lower is better. Slight decline |
| â | Enterprise Value/Revenue | 3.797 | 3.8995 | ▲ 2.7% | Bearish. Lower is better. Slight decline Enterprise value divided by revenue |
| â | Wall Street Target Price | 88.8947 | 89.8421 | ▲ 1.07% | Bullish. Higher is better. Higher analyst expectations, pointing to increased optimism for future performance Analysts' consensus target price for the stock |
| â | EPS Estimate Current Year | 3.6535 | 3.8643 | ▲ 5.77% | Bullish. Higher is better. Slight increase; improved outlook for current year earnings Expected earnings per share this year |
| â | EPS Estimate Next Year | 3.841 | 4.1393 | ▲ 7.77% | Bullish. Higher is better. Slight raised expectations for further out Expected earnings per share next year |
Fri 16 Jan 2026 to Fri 23 Jan 2026: Score -4
| Metric | Previous | New | Change | Interpretation | |
|---|---|---|---|---|---|
| â | PEG Ratio | 3.2569 | 3.3137 | ▲ 1.74% | Bearish. Lower is better. Slight increase, worsening the value relative to growth P/E ratio adjusted for growth rate |
| â | Forward PE | 21.8341 | 22.2222 | ▲ 1.78% | Bearish. Lower is better. Slight decline Stock price divided by expected future earnings |
| â | Price Sales TTM | 3.3991 | 3.4851 | ▲ 2.53% | Bearish. Lower is better. Higher multiple; market willing to pay more per dollar of sales Stock price divided by revenue per share over the trailing twelve months |
| â | Price Book MRQ | 79.42 | 80.8042 | ▲ 1.74% | Bearish. Lower is better. Further to 1; more overvalued on assets but worsened perception Stock price divided by book value per share for the most recent quarter |
| â | Enterprise Value/Revenue | 3.738 | 3.797 | ▲ 1.58% | Bearish. Lower is better. Slight decline Enterprise value divided by revenue |
| â | Enterprise Value/EBITDA | 15.5923 | 15.8382 | ▲ 1.58% | Bearish. Lower is better. Slight decline Enterprise value to earnings before interest, taxes, depreciation |
| â | Earnings Per Share | 3.57 | 3.61 | ▲ 1.12% | Bullish. Higher is better. Slight increase in earnings per share Profit allocated to each outstanding share |
| â | Enterprise Value | $75.12B | $76.31B | ▲ 1.58% | Bullish. Higher is better. Increased, reflecting higher market cap and possibly debt adjustments Market capitalization plus debt minus cash |
Fri 09 Jan 2026 to Fri 16 Jan 2026: Score -12
| Metric | Previous | New | Change | Interpretation | |
|---|---|---|---|---|---|
| â | Short Ratio | 2.22 | 2.48 | ▲ 11.71% | Bearish. Lower is better. Moderate decline |
| â | PEG Ratio | 3.1229 | 3.2569 | ▲ 4.29% | Bearish. Lower is better. Slight increase, worsening the value relative to growth P/E ratio adjusted for growth rate |
| â | Forward PE | 20.9205 | 21.8341 | ▲ 4.37% | Bearish. Lower is better. Slight decline Stock price divided by expected future earnings |
| â | Price Book MRQ | 76.1524 | 79.42 | ▲ 4.29% | Bearish. Lower is better. Further to 1; more overvalued on assets but worsened perception Stock price divided by book value per share for the most recent quarter |
| â | Short Percent | 1.87% | 2% | ▲ 6.95% | Bearish. Lower is better. Slight increase; still high, potential for squeeze if positive catalysts emerge Percentage of shares sold short |
| â | Price Sales TTM | 3.2768 | 3.3991 | ▲ 3.73% | Bearish. Lower is better. Higher multiple; market willing to pay more per dollar of sales Stock price divided by revenue per share over the trailing twelve months |
| â | Enterprise Value/Revenue | 3.5989 | 3.738 | ▲ 3.87% | Bearish. Lower is better. Slight decline Enterprise value divided by revenue |
| â | Enterprise Value/EBITDA | 15.0117 | 15.5923 | ▲ 3.87% | Bearish. Lower is better. Slight decline Enterprise value to earnings before interest, taxes, depreciation |
| â | Wall Street Target Price | 87.4737 | 88.5263 | ▲ 1.2% | Bullish. Higher is better. Higher analyst expectations, pointing to increased optimism for future performance Analysts' consensus target price for the stock |
| â | Enterprise Value | $72.33B | $75.12B | ▲ 3.87% | Bullish. Higher is better. Increased, reflecting higher market cap and possibly debt adjustments Market capitalization plus debt minus cash |
Fri 02 Jan 2026 to Fri 09 Jan 2026: Score -6
| Metric | Previous | New | Change | Interpretation | |
|---|---|---|---|---|---|
| â | Price Sales TTM | 3.1244 | 3.2768 | ▲ 4.88% | Bearish. Lower is better. Higher multiple; market willing to pay more per dollar of sales Stock price divided by revenue per share over the trailing twelve months |
| â | PEG Ratio | 3.0515 | 3.1229 | ▲ 2.34% | Bearish. Lower is better. Slight increase, worsening the value relative to growth P/E ratio adjusted for growth rate |
| â | Forward PE | 20.4499 | 20.9205 | ▲ 2.3% | Bearish. Lower is better. Slight decline Stock price divided by expected future earnings |
| â | Price Book MRQ | 74.4103 | 76.1524 | ▲ 2.34% | Bearish. Lower is better. Further to 1; more overvalued on assets but worsened perception Stock price divided by book value per share for the most recent quarter |
| â | Enterprise Value/Revenue | 3.5247 | 3.5989 | ▲ 2.11% | Bearish. Lower is better. Slight decline Enterprise value divided by revenue |
| â | Enterprise Value/EBITDA | 14.7022 | 15.0117 | ▲ 2.11% | Bearish. Lower is better. Slight decline Enterprise value to earnings before interest, taxes, depreciation |
| â | Enterprise Value | $70.84B | $72.33B | ▲ 2.11% | Bullish. Higher is better. Increased, reflecting higher market cap and possibly debt adjustments Market capitalization plus debt minus cash |
Sat 20 Dec 2025 to Fri 02 Jan 2026: Score -1
| Metric | Previous | New | Change | Interpretation | |
|---|---|---|---|---|---|
| â | Short Ratio | 1.96 | 2.22 | ▲ 13.27% | Bearish. Lower is better. Moderate decline |
| â | Short Percent | 1.98% | 1.87% | ▼ -5.56% | Bullish. Lower is better. Slight decrease; still high, potential for squeeze if positive catalysts emerge Percentage of shares sold short |
