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 US Market Open: Feb 9, 14:58 PM 2012 
  NYSE  8089.62  6.64  Index Moved Up   NASDAQ  2928.52  12.66  Index Moved Up 
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91.74
  
Colgate-Palm Quote
Intraday
 
Colgate-Palm Intraday Quote
One Month
 0.27   Macroaxis: 0.3 Up   0.30%  
 76.39 Year To Date 94.89 
 91.06 Trading Day  91.75 
    
Diversification Suggestion
Use Colgate-Palm to enhance returns of your portfolios. The stock experiences normal upward fluctuation
1 Month Beta vs NYSE ......... 0.18
As returns on NYSE increase, Colgate-Palm returns are expected to increase less then the market. However, during bear market, the loss on holding Colgate-Palm will be expected to be smaller as well
Colgate-Palm Small Beta
    
CL Macroaxis: United States NYSEColgate-Palm Quote: Bull
Colgate-Palmolive Company Comm
http://www.colgate.com
212-310-2000
Trade Colgate-Palm
Run Report
 Run Report 
Correlation
 Correlation 
Personal Products  
Market Capitalization 44.384B  
Earnings Per Share 4.94  
Today Lowest 91.06  
Book Value Per Share 4.909  
 Ian M. Cook  executive  Ian M. Cook
Chairman, Chief Officer and Pres 
 Franck J. Moison  executive  Franck J. Moison
Chief Operating Officer of Emerging 
 Fabian T. Garcia  executive  Fabian T. Garcia
Chief Operating Officer of Global I 
 Dennis J. Hickey  executive  Dennis J. Hickey
Chief Financial Officer 
 Andrew D. Hendry  executive  Andrew D. Hendry
Chief Legal Officer, Gen. Counsel a 

Colgate-Palm fundamentals

    
P/E18.52Open91.44
P/B Ratio18.63Volume1027331
SectorConsumer GoodsLast Close91.47
Short Ratio3.10Last Traded2/9/2012
Year High94.89Percent ChangePrice Moved Up 0.30%
Year Low76.39Absolute Change0.27 Price Moved Up
EPS4.94Index MembershipNot Applicable
PEG Ratio1.94Full Time EmployeesNot Applicable
Day High91.75Day Low91.06
Target Price94.69Current EPS4.94
This Year EPS5.39Next Year EPS5.90
Current PE18.52This Year PE16.97
Next Year PE15.50Dividend2.32
Dividend Yield2.54Dividend DateFeb 15
    

Colgate-Palm Performance    Embed Financials for Colgate-Palmolive Company Commo

    
    
 Embed Financials for Colgate-Palmolive Company Commo

Colgate-Palm Profile

    
Colgate-Palmolive Company, together with its subsidiaries, manufactures and markets consumer products worldwide.
 Macroaxis: United States IXIC   0.43 % Macroaxis: 0.43 Moved Up  
 
 Macroaxis: thisGreen CL   0.30 % Macroaxis: 0.3 Moved Up  
 
 Macroaxis: United States GSPC   0.23 % Macroaxis: 0.23 Moved Up  
 
 Macroaxis: United States NYA   0.08 % Macroaxis: 0.08 Moved Up  
 
 Live Sentiment  
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 Bulls TEAM 
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 Bulls FSII 
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 Bulls NEFZX 
 NASDAQ Macroaxis: United States 
 Bought over 500 shares of
 33 minutes ago
for 15.08 
    

Colgate-Palm 30-Days Moving Rating

    

Macroaxis Total Score 

    
28
Current 30 Days Moving Rating
    
    

Estimated Market Risk

 0.88
  actual daily
 
 85 %
of total potential
 
Market Risk score

Expected Return

 0.11
  actual daily
 
 8 %
of total potential
 
Expected Return score

Risk-Adjusted Return

 0.12
  actual daily
 
 7 %
of total potential
 
Risk-Adjusted Return score
Based on monthly moving average   [ change ] 
Increase Risk-Adjusted return of CL by adding it to a well-diversified portfolio
    

 Colgate-Palm Last Intraday

    
 
0.27Macroaxis: 0.27 Down0.30%
 
91.47,91.47,91.74,91.74,91.06,91.75,91.74
 
91.4791.74
    

Latest headlines for Colgate-Palm


Possible Bearish Inside Day Candle Pattern Detected for Colgate-Palmolive ...

Possible Bearish Inside Day Candle Pattern Detected for Colgate-Palmolive ... Financial News Network Online - 2 hours ago Analyzing the price chart for Colgate-Palmolive (NYSE:CL) has revealed a potential bearish inside day candle pattern. Yesterday's price range of $90.04 and $90.90 is within the prior day's high and low of the day.

Colgate-Palmolive Company (CL) Shares Given New $90.00 Price Target by Credit ...

Colgate-Palmolive Company (CL) Shares Given New $90.00 Price Target by Credit ... LocalizedUSA - 19 hours ago Analysts at Credit Suisse (NYSE: CS) increased their price target on shares of Colgate-Palmolive Company (NYSE: CL) to $90.00 in a research report issued to clients and investors on Friday.

Colgate-Palmolive has the Best Relative Performance in the Household Products ...

Colgate-Palmolive has the Best Relative Performance in the Household Products ... Financial News Network Online - Jan 27, 2012 Below are the top five companies in the Household Products industry as measured by relative performance. This analysis was compiled based on yesterday's trading activity as we search for stocks that have the potential to outperform.

An Earnings Breather For Consumer Products (PG, KMB, CL)

24/7 Wall St. - Jan 27, 2012 Procter & Gamble (NYSE: PG) has reported earnings for its second quarter and the consumer products giant has turned in earnings of $0.57 EPS but the normalized earnings was $1.10 EPS on $22.14 billion in sales.

Colgate Beats, Margins Lag on Costs

Zacks.com - Jan 26, 2012 Colgate-Palmolive Company (CL) posted fourth-quarter 2011 adjusted earnings of $1.30 per share, beating the Zacks Consensus Estimate by a penny. Colgate-Palmolive Q4 Earnings Fall; Adjusted Net Matches View (CL) - Dividend.com (blog) Colgate Announces 4th Quarter and Full Year 2011 Results - MarketWatch (press release)