Today’s top gainers include the company Colgate-Palmolive Co. (NYSE:CL) which is in the industry Personal Products, gaining 0.32% today. In the last week its performance is 1.78%, and 6.10% for the past quarter. Currently, Colgate-Palmolive Co., CL has a target price of 74.31, so today’s gain of 0.32% is a significant step towards its target price. The GAP today is therefore 0.03%.
Colgate-Palmolive Co. (NYSE:CL), has a market cap of 66768.33, and is based in USA. Insider ownership is at 0.40%, and institutional ownership is 75.40%.
At the current price of 74.71, it has a dividend yield of 2.09%, and its target price is 74.31. This is with a profit margin of 8.70%, and total debt/equity of *TBA. Colgate-Palmolive Co. (NYSE:CL) has a P/E of 49.44, as well as a forward P/E of 24.34.
With a current EPS of 1.51, and a forecasted EPS growth for next year at 9.10%,Colgate-Palmolive Co. (NYSE:CL) has had a EPS growth for the past five years at -6.70%. For the next five years EPS growth is projected to be 7.33%.
Performance for the year is 14.24%. Since its IPO date on 1/3/1977, the total performance to date is 13.45%.
Volume today for Colgate-Palmolive Co. (NYSE:CL), is 5222200, while its average volume is 3158.47. Whilst the total gain today was 0.32%, it did have a day high of 0.17%.
Volatility for this week has been at 1.08%, and 1.12% for the month. The 52-week low for Colgate-Palmolive Co., CL has been 49.51%, while the 52-week-high has reached 0.17%.
Looking at its return of investments, which is 25.20%, and its return on assets is 10.70%. Colgate-Palmolive Co. (NYSE:CL) has an operating margin of 17.80%. With a sales growth of -7.60% quarter over quarter. Bearing in mind that Colgate-Palmolive Co., CL is in the sector Consumer Goods, its long-term debt/equity is *TBA, and has a current ratio of 1 and 0.7 for quick ratio.
So what is the value of Colgate-Palmolive Co.? Well its PEG is 6.74, and the P/S is 4.25, along with a P/B of *TBA. Meanwhile it has a p/cash of 60.64.