Bitget App
Trade smarter
Buy cryptoMarketsTradeFuturesEarnSquareMore
daily_trading_volume_value
market_share59.14%
Current ETH GAS: 0.1-1 gwei
Hot BTC ETF: IBIT
Bitcoin Rainbow Chart : Accumulate
Bitcoin halving: 4th in 2024, 5th in 2028
BTC/USDT$ (0.00%)
banner.title:0(index.bitcoin)
coin_price.total_bitcoin_net_flow_value0
new_userclaim_now
download_appdownload_now
daily_trading_volume_value
market_share59.14%
Current ETH GAS: 0.1-1 gwei
Hot BTC ETF: IBIT
Bitcoin Rainbow Chart : Accumulate
Bitcoin halving: 4th in 2024, 5th in 2028
BTC/USDT$ (0.00%)
banner.title:0(index.bitcoin)
coin_price.total_bitcoin_net_flow_value0
new_userclaim_now
download_appdownload_now
daily_trading_volume_value
market_share59.14%
Current ETH GAS: 0.1-1 gwei
Hot BTC ETF: IBIT
Bitcoin Rainbow Chart : Accumulate
Bitcoin halving: 4th in 2024, 5th in 2028
BTC/USDT$ (0.00%)
banner.title:0(index.bitcoin)
coin_price.total_bitcoin_net_flow_value0
new_userclaim_now
download_appdownload_now
colgate stock: CL overview

colgate stock: CL overview

A comprehensive, investor‑focused guide to Colgate stock (CL) — listing, trading, performance, financial metrics, dividends, ownership, risks, and where to track updates. Learn how Colgate fits a d...
2024-07-10 05:43:00
share
Article rating
4.6
109 ratings

Colgate stock (Colgate-Palmolive Company — NYSE: CL)

Colgate stock represents equity ownership in Colgate‑Palmolive Company, a global consumer products firm best known for oral care, personal and home care, and select pet nutrition products. This guide explains what Colgate stock is, where and how it trades, key financial and market data, dividend and buyback history, ownership structure, analyst coverage, risks, and practical ways investors can follow CL — including via Bitget’s trading and wallet offerings. Read on to quickly find the market facts, data sources, and investor considerations you need to track Colgate stock in 2026.

Overview

Colgate stock is the publicly traded equity of Colgate‑Palmolive Company, a U.S. multinational consumer goods company. The company’s core businesses include oral care (toothpaste, toothbrushes, mouthwash), personal care (soap, body wash, deodorants), home care (surface cleaners), and a presence in pet nutrition. Investors follow Colgate stock because it is a large‑cap consumer staples company with a long history of steady revenue, consistent dividends, global brand recognition, and defensive characteristics during economic cycles.

Key reasons investors monitor Colgate stock include predictable cash flows, dividend income potential, inclusion in major indices, and broad institutional ownership. The company’s business mix — heavy on oral care and household essentials — tends to make CL a core holding for income‑oriented and low‑volatility portfolios.

Listing and Trading Information

Ticker, Exchange and Trading Hours

The ticker symbol for Colgate‑Palmolive Company common stock is CL. Its primary listing is on the New York Stock Exchange (NYSE) and trading is denominated in U.S. dollars (USD). Typical regular trading hours for NYSE‑listed securities are 09:30–16:00 Eastern Time; pre‑market and after‑hours sessions exist with lower liquidity and distinct risks. Settlement convention for U.S. equities is typically T+2 (trade date plus two business days) for standard share trades.

Delayed indicative quotes are commonly available on public finance portals; real‑time quotes are available through brokerage platforms and market data subscriptions. If you plan to trade or monitor Colgate stock intraday, use a broker or data provider that supplies real‑time streaming prices and order book data.

Market Data Snapshot

Standard market data fields for Colgate stock include the last trade price, intraday change, market capitalization, shares outstanding, average daily trading volume, 52‑week high/low, and beta (volatility vs. the market). These fields are available on financial portals, market terminals, regulatory filings, and brokerage platforms. For example, price charts typically support split‑ and dividend‑adjusted historical series and total‑return views to include reinvested dividends.

Trading Instruments and Accessibility

Retail and institutional investors can access Colgate stock through several instruments:

  • Individual shares — buy and sell CL shares through brokers that list NYSE stocks. Fractional shares may be available via brokers that offer fractional trading.
  • Options — listed equity options (puts and calls) may trade on CL; options allow strategies for income, hedging, or directional exposure. Options require appropriate approval from a broker and understanding of options mechanics.
  • ETFs & mutual funds — many funds hold Colgate stock as part of consumer staples or dividend‑focused strategies, offering indirect exposure.

Bitget provides access to U.S. equities trading services and can be used by eligible customers to trade CL alongside other portfolio holdings. For custody and on‑device key management, investors may use Bitget Wallet to hold tokens and related digital assets; however, equity custody and brokerage services vary by jurisdiction and account type, so verify Bitget’s regional offerings before transacting.

Historical Price Performance

Long‑term Price History

To evaluate long‑term performance of Colgate stock, investors examine multi‑decade price charts adjusted for stock splits and dividends to view real purchasing power and total return. Colgate has a long corporate history — decades of operations and many years of dividend payments — so long‑term charts should be inflation‑adjusted and split‑adjusted to compare properly with peers or indices. Total return series (price change plus reinvested dividends) provide a more complete picture of shareholder returns than price alone.

When researching long horizons, check for corporate actions (splits, spin‑offs, or special dividends) that can affect historical comparability. Authoritative historic price lookups are available on company investor sites and major market data portals; these sources provide split‑adjusted series and official split dates.

Recent Performance

Recent price movements for Colgate stock are driven by quarterly earnings, macroeconomic indicators (consumer spending, inflation), commodity cost shifts, foreign exchange impacts (given international sales), and company‑specific news (product launches, regulatory updates). Intraday and closing prices are listed on finance portals and brokerage platforms; watch earnings release dates and analyst commentary for potential short‑term volatility.

截至 2026-01-25,据 Yahoo Finance 报道,Colgate stock had recently reflected market reaction to the company’s quarterly results and global currency movements. For day‑to‑day tracking of CL’s closing price and intraday range, consult live quotes on your broker platform or trusted finance portals.

Stock Splits and Adjustments

Historical price tables for Colgate stock are adjusted for corporate actions such as stock splits and certain dividends. If Colgate has executed stock splits in its history, historical prices will be multiplied by the appropriate split factor to present a continuous series. Official historical lookup tables and the company’s investor relations pages list split dates and adjustment factors. When using any historical chart, verify whether it shows price‑only data or total‑return data that includes dividends reinvested.

Financial Results and Valuation

Key Financial Metrics

Investors assessing Colgate stock commonly monitor the following financial metrics:

  • Revenue and year‑over‑year growth — indicates top‑line demand across segments and geographies.
  • Net income and EPS (earnings per share) — measures profitability and per‑share earnings power.
  • EBITDA and operating margin — evaluates core operating performance and efficiency.
  • Free cash flow and operating cash flow — critical for dividends and buybacks.
  • Profit margins (gross, operating, net) — shows cost structure and pricing leverage.
  • Valuation multiples — P/E ratio, forward P/E, price/sales, price/book, and EV/EBITDA provide relative valuation context versus peers.
  • Balance sheet metrics — total debt, net leverage (debt/EBITDA), cash on hand.

Colgate reports financial results on a quarterly and annual cadence via SEC filings (10‑Q and 10‑K), investor presentations, and earnings releases. Use these filings to verify reported figures and calculate ratios for valuation comparisons.

Recent Earnings and Guidance

Quarterly earnings releases and management guidance are key catalysts for Colgate stock. Earnings beats or misses relative to consensus estimates, changes to revenue or margin guidance, and commentary on commodity or FX pressures often drive material intraday price moves. Investors typically review the company’s earnings release, presentation slides, and earnings call transcript to assess management tone and forward‑looking assumptions. Analyst reaction and revisions to earnings estimates following a report impact consensus valuation and price targets.

Dividend Policy and Yield

Colgate has a long history of paying cash dividends and is widely followed by income investors. Key dividend details investors check include dividend frequency (quarterly), dividend yield (annual dividend divided by share price), payout ratio (dividends/net income or dividends/free cash flow), historic dividend growth, and ex‑dividend dates. Dividends form an important component of Colgate stock’s total return — many long‑term investors emphasize total return rather than price appreciation alone.

Dividend announcements, increases, or cuts are disclosed in company releases and reflected in shareholder communications. To calculate total return over a period, combine price appreciation with dividends received and assume a reinvestment policy if comparing to total‑return benchmarks.

Share Repurchases and Capital Allocation

Share repurchase programs (buybacks) are part of Colgate’s capital allocation toolkit. Buybacks reduce shares outstanding, which can increase EPS if net income is stable, and are typically disclosed via press releases or in the company’s capital allocation discussion in filings. Investors should monitor authorized buyback amounts, repurchase pacing, and whether buybacks are funded from cash flow or new debt, as these choices affect leverage and liquidity.

Ownership, Float and Shareholder Structure

Institutional and Retail Holders

Colgate stock is held by a mix of institutional investors (mutual funds, pension plans, asset managers), retail shareholders, and insiders. Major institutional holders and their reported stakes are available through regulatory filings and finance portals that aggregate 13F disclosures and institutional ownership tables. Insider holdings and changes are reported by the company and via SEC filings, and they provide context on management alignment with shareholders.

Short Interest and Liquidity

Short interest — the number of shares sold short and not yet covered — can indicate bearish sentiment or hedging activity; it is typically reported biweekly by exchanges. Average daily trading volume, bid‑ask spreads, and order book depth illustrate liquidity for both retail and institutional trades. Colgate stock, as a large‑cap consumer staples name, generally exhibits adequate liquidity for most investors, though very large block trades should consider execution strategies to minimize market impact.

Analyst Coverage and Market Sentiment

Ratings and Price Targets

Sell‑side analysts issue research notes that assign ratings (buy/hold/sell), price targets, and earnings estimates for Colgate stock. Consensus analyst ratings and average price targets are aggregated on financial portals; changes in consensus can influence sentiment and short‑term price action. Investors should review the assumptions underlying analyst models and weigh multiple viewpoints rather than rely solely on a single rating.

Newsflow and Investor Sentiment

Press releases, product announcements, regulatory developments, and macro news affect investor sentiment toward Colgate stock. News aggregators and market‑scan tools capture headlines, while social sentiment platforms provide additional perspectives on retail interest. Short‑term price volatility is often correlated with newsflow and earnings surprises rather than long‑term fundamentals for defensive consumer staples companies.

Corporate Governance and Management

Board and Executive Leadership

Key governance elements for Colgate stock include board composition, executive leadership (CEO, CFO), and governance practices such as committee structures, independence of directors, and executive compensation frameworks. Investors can review biographies, committee charters, and proxy statements to assess governance quality and potential risks related to management succession or strategic direction.

Investor Relations and Filings

The company’s investor relations resources — including the investor relations website, annual reports, and SEC filings — are primary sources for authoritative disclosures. SEC filings such as the 10‑K (annual) and 10‑Q (quarterly) provide audited financial statements, MD&A, risk factors, and footnote disclosures essential for rigorous analysis. Earnings releases and 8‑K filings capture material events that occur between periodic reports.

Major Corporate Events and Strategic Moves

Mergers, Acquisitions and Divestitures

Material M&A activity, divestitures, or portfolio realignments can change Colgate stock’s revenue mix, margins, and growth profile. Past and potential acquisitions should be evaluated for their scale, expected synergies, and how they are financed. Company announcements and regulatory filings provide the official terms and financial impact estimates for material transactions.

Product/Segment Developments

Shifts within business units (e.g., growth in oral care vs. pet nutrition) and geographic performance (North America, Latin America, EMEA, Asia) influence revenue composition and investor outlook. New product launches, packaging innovations, or sustainability initiatives can affect brand strength and cost structure. Segment‑level disclosures in quarterly and annual reports help investors evaluate these dynamics.

Risks and Factors Affecting the Stock

Business and Operational Risks

Industry‑specific risks that may affect Colgate stock include volatility in raw material and commodity costs (e.g., palm oil, packaging materials), supply chain disruptions, input price inflation, and competitive pressures from other consumer goods companies. Currency translation risk is material given Colgate’s significant international revenues. Operational execution — manufacturing continuity, product quality, and distribution efficiency — directly impacts margins and growth.

Market and Regulatory Risks

Macro risks such as slowing consumer spending, recessionary pressures, or high inflation can weigh on demand for premium products. Regulatory risks include changes in product safety requirements, advertising rules, or trade policies that could affect cross‑border operations. Litigation or product recalls are also potential sources of financial and reputational risk for a consumer goods company.

Investment Considerations

Suitability and Investment Horizon

Colgate stock typically attracts investors seeking dividend income, defensive exposure, and lower volatility relative to cyclical names. Typical investor profiles include income‑oriented retail investors, long‑term buy‑and‑hold portfolios, and conservative institutional allocations. Time horizon matters: investors focused on multi‑year total return may prioritize dividend reinvestment and relative valuation, while traders may focus on short‑term catalysts around earnings or news.

Comparable Stocks and Benchmarks

Relevant peers for comparison include other global consumer staples and household & personal care companies. Common benchmarks for performance comparisons include the S&P 500 and consumer staples sub‑indices. Comparing valuation multiples, margin profiles, and dividend yields across peers helps contextualize Colgate stock’s investment case.

Data Sources and How to Track the Stock

Principal public data sources to track Colgate stock include:

  • Company investor relations — official press releases, earnings materials, presentations, and historical corporate actions.
  • SEC EDGAR filings — authoritative financial statements, 10‑K, 10‑Q, 8‑K, and proxy statements.
  • Finance portals and data services — price quotes, charts, analyst estimates, and ownership tables (e.g., Yahoo Finance, Bloomberg, CNBC, TradingView, Morningstar, MacroTrends).
  • Brokerage platforms — real‑time quotes, order execution, and options markets access; Bitget provides eligible customers with access to U.S. securities trading tools and research features.
  • News outlets and research providers — corporate news, macroeconomic context, and analyst reports.

Use a combination of the company’s IR site for primary disclosures and a trusted finance portal or broker for real‑time market data. For longer‑term analysis, download historical price series and filings for model input and total‑return calculations.

See Also

  • Colgate‑Palmolive Company corporate page and investor relations materials
  • Lists of dividend aristocrats and dividend kings for income investor context
  • Consumer staples sector overview and peer comparison pages
  • CL ticker pages on major finance platforms for live quotes and analyst consensus

References and External Links

This article draws on public company disclosures and widely available market data. For numerical claims and historical figures, consult Colgate‑Palmolive’s official investor relations materials and SEC filings first, and verify market data on finance portals mentioned earlier. Specific sources cited in context include corporate releases and financial portals for price and market capitalization figures. All figures should be cross‑checked against official filings or a broker’s real‑time data feed before making portfolio decisions.

Practical Tips for Monitoring Colgate Stock on Bitget

  • Set a watchlist for colgate stock (ticker CL) in your Bitget trading dashboard to receive price alerts and news updates.
  • Use Bitget’s charting tools to compare CL’s total return vs. benchmark indices and peer names over multiple horizons.
  • Track dividend dates and ex‑dividend notifications through Bitget’s announcements and company IR calendars to plan dividend capture or reinvestment strategies.
  • For option strategies, ensure you have the appropriate approval level and use Bitget’s options module (if available in your jurisdiction) or consult your broker for options execution.

Colgate stock is commonly included in dividend and defensive allocations; Bitget users can combine market data with Bitget Wallet custody features for a holistic view of digital and traditional asset holdings, where applicable.

Colgate stock remains a prominent consumer staples holding for investors prioritizing steady dividends and defensive exposure. To keep up with CL, rely on the company’s investor relations and SEC filings for primary disclosures, use reliable market data providers for price and volume, and set up alerts on Bitget to receive news and price movement updates. Explore Bitget’s tools to monitor CL with timely quotes, charts, and portfolio tracking — and consult official filings for any material numbers or company‑level events you plan to act upon.

Further exploration: view Colgate’s latest annual report and 10‑K for a deeper look at segment performance and risk factors, and check analyst coverage summaries on your chosen finance portal to understand the range of market expectations for Colgate stock.

Note: This article is informational and not investment advice. Verify all data with primary sources such as company filings and your broker before making investment decisions.

The content above has been sourced from the internet and generated using AI. For high-quality content, please visit Bitget Academy.
Buy crypto for $10
Buy now!

Trending assets

Assets with the largest change in unique page views on the Bitget website over the past 24 hours.

Popular cryptocurrencies

A selection of the top 12 cryptocurrencies by market cap.
© 2025 Bitget