Colgate-Palmolive Company (CL)

Colgate-Palmolive Company (CL) carries a ŷRobot AI score of 73 out of 100. The model's fair value estimate is $98.93, 14.4% above the last close of $86.46. The chart signal reads Buy.

MetricCL
AI score73 / 100
Chart signalBuy
Fair value estimate$98.93
Upside to fair value14.4%
Previous close$86.46
P/E35.87
Price / sales3.40
Market cap$68.97B
EPS2.53
Revenue growth4.1%
1-year price change3.7%

How these numbers are built: the AI score, the fair value model, and the chart signal.

Other Consumer Defensive stocks: Walmart Inc., Costco Wholesale Corp, The Coca-Cola Company, Procter & Gamble Company, Philip Morris International Inc, PepsiCo Inc.

Questions about CL

Is CL overvalued or undervalued right now?

As of Sep 29, 2026, ŷRobot's fair-value model estimates Colgate-Palmolive Company (CL) at $98.93 against a last close of $86.46, implying 14.4% upside to the model's estimate.

Is CL's chart signal bullish or bearish?

The chart-signal model classifies CL as Bullish as of Sep 29, 2026, with a signal score of 0.21 on a -1 to 1 scale.

What is CL's ŷRobot AI score?

CL scores 73 out of 100 on ŷRobot's AI composite, which measures how strongly the fair-value and chart models agree, as of Sep 29, 2026.

Is CL stock expensive on P/E and P/S?

CL trades at 35.9 times earnings and 3.4 times sales as of Sep 29, 2026.

What does CL's seasonal forecast show?

ŷRobot's seasonal forecast curve for CL reads -2.9% at 30 days, +1.0% at 90 days, and +3.7% at one year as of Sep 29, 2026. Seasonal tendencies are historical patterns, not predictions.

How fast is CL growing?

Colgate-Palmolive Company's revenue growth is +4.1% and free-cash-flow growth is +2.7% on the latest reported figures.

CL chart and technical read · All covered stocks

ŷRobot analysis is AI-generated and quality-gated; nothing here is investment advice.