Colgate-Palmolive Co (CL)

Industry Household & Personal Products

This stock can be held in an Investment ISA and an Investment Account
Sell

$90.70

Buy

$92.10

arrow-up$0.51 (+0.56%)

Colgate-Palmolive Co is a consumer products company. It provides services such as oral care, personal care, home care and pet nutrition.
Prices updated at 19 May 2025, 21:32 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
15,454m15,544m15,693m16,471m17,421m17,967m19,457m20,101m
9,280m9,231m9,325m10,017m10,375m10,248m11,326m12,161m
3,710m3,685m3,617m3,875m3,910m3,617m4,085m4,330m
24.0123.7123.0523.5322.4420.1321.0021.54
2,024m2,400m2,367m2,695m2,166m1,785m2,300m2,889m
4,115m4,168m4,012m4,369m3,760m3,372m4,246m4,853m
Sales, General and administrative5,400m5,389m5,575m6,019m6,407m6,565m7,151m7,729m
Interest expenses153m193m192m183m117m167m287m292m
Provision for income taxes1,313m906m774m787m749m693m937m907m
Operating expenses5,570m5,546m5,708m6,142m6,465m6,631m7,241m7,831m
Income before taxes3,487m3,464m3,301m3,647m3,087m2,660m3,392m3,956m
Net income available to common shareholders2,024m2,400m2,367m2,695m2,166m1,785m2,300m2,889m
2.32.762.763.152.562.132.783.53
Net interest income-102m-143m-145m-164m-100m-153m-232m-225m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)2.282.752.753.142.552.132.773.51
Free cash flow per share2.84872.80593.10813.92123.10892.7573.07084.1238
Book value/share-0.1235-0.4983-0.37910.76830.70320.7492-0.0110.5353
Debt equity ratio--66.87179510.5114412.55336622.7880314.1855536.533019

Balance sheet

20172018201920202021202220232024
Current assets4,639m3,793m4,179m4,338m4,397m5,113m5,279m5,317m
Current liabilities3,408m3,341m4,038m4,404m4,051m4,004m4,741m5,759m
Total capital6,506m6,252m7,450m8,077m7,803m9,142m8,828m7,501m
Total debt6,577m6,366m8,483m8,214m7,833m9,271m9,064m8,512m
Total equity-60m-102m117m743m609m401m609m212m
Total non current liabilities--------
Loans6,566m6,354m7,333m7,334m7,194m8,741m8,219m7,289m
Total assets12,676m12,161m15,034m15,920m15,040m15,731m16,393m16,046m
Total liabilities--------
Cash and cash equivalents1,535m726m883m888m832m775m966m1,096m
Common stock875m863m855m850m840m830m821m813m

Cash flow

20172018201920202021202220232024
Cash at beginning of period1,315m1,535m726m883m888m832m775m966m
Cash dividends paid-1,529m-1,591m-1,614m-1,654m-1,679m-1,691m-1,749m-1,789m
2,501m2,620m2,798m3,309m2,758m1,860m3,040m3,546m
Investments (gains) losses-471m-1,170m-2,099m-779m-592m-1,601m-742m-534m
1,535m726m883m888m832m775m966m1,096m
Net income--------
3,054m3,056m3,133m3,719m3,325m2,556m3,745m4,107m
-553m-436m-335m-410m-567m-696m-705m-561m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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