Stock To Watch: Colgate-Palmolive Company (NYSE:CL)


The leading market experts have placed a mean price target of $74.06 on Colgate-Palmolive Company (NYSE:CL) stock. This price level, which is estimated to be attained in one-year indicates the mean of stock opinions given by the companies included in the First Call survey. The renowned research firms have predicted earnings of $0.73 a share for the upcoming quarter and $2.82 for the current fiscal. Technical View The technical analysis of Colgate-Palmolive Company Commo plainly substantiates that the 50-day moving average of Colgate-Palmolive Company Commo is $71.35, and stock is hovering 0.55 or +0.77% distant from $71.35. It is noted that the 200-day MA is $68.29, and Colgate-Palmolive Company Commo stock is $3.61 or +5.29% off from this point. Colgate-Palmolive Company (NYSE:CL) 52-week high is $72.72 and the 52-week low is $50.84. This explains if the stock moves $-0.82, it will post a 52-week high. In event of $+41.42% points decline, a 52-week low will be hit. Taking the Valuation Aspect To emphasize the valuation of Colgate-Palmolive Company Commo, shareholders can apply financial tool known as price-to-earnings ratio. This financial ratio assesses stock’s valuation by considering the relative expense of the stock. Following this ratio, Colgate-Palmolive Company (NYSE:CL) ratio came in at 47.43. The stock last ended the trading session at $71.90 and registered a market cap of $64.21B. To appraise firm’s growth, the shareholders take help of the Price-to-Earnings-Growth ratio. When a stock has a higher PEG ratio, it is suggestive of lower stock appreciation in approaching sessions. A stock comes in the group of undervalued stocks when its PEG ratio falls in between 0 and 1. Colgate-Palmolive Company (NYSE:CL) PEG ratio is at 3.47.

1 Chart Pattern Every Investor Should Know

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