Colgate-Palmolive Company Stock Data
Data as of June 05, 2026
Stock Price
N/A
Sector
Consumer Defensive
Colgate-Palmolive Company (CL) is classified in Consumer Defensive. Use the metric cards below for valuation and income metrics refreshed on U.S. trading days.
Start with PE or dividend yield for a quick valuation and income read, then open market cap and P/B for size and asset backing. PEG, profit margin, and EV/EBITDA add growth, profitability, and leverage-aware context. Each card links to a dedicated page with formulas, sector peers, and FAQs.
Related Tools
Guide: What is PE ratio?
Browse peers: All Consumer Defensive stocks.
Available Metrics
PE Ratio
Price-to-Earnings ratio based on trailing 12-month earnings
Dividend Yield
Annual dividend as a percentage of current stock price
Market Cap
Total market value of all outstanding shares
P/B Ratio
Price-to-Book ratio comparing stock price to book value per share
PEG Ratio
PE ratio adjusted for expected earnings growth rate
Profit Margin
Net income as a percentage of revenue (TTM)
EV/EBITDA
Enterprise value divided by EBITDA