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Colgate-Palmolive Co. (CL) Stock: 52-Week Performance Showcases Highs, Lows, and Trading Volume

A stock’s 52-week high and low prices can offer a wealth of information about its current standing and prospective future performance. Colgate-Palmolive Co.’s current trading price is -9.43% away from its 52-week high, while its distance from the 52-week low is 46.39%. The stock’s price range for this time frame has been between $67.62 and $109.30. The trading volume of the company’s shares in the Consumer Defensive reached around 1.77 million for the day, which was evidently lower than the average daily volume of 4.09 million over the last three months.

Colgate-Palmolive Co.’s stock has seen a smooth market performance. The company’s stock achieved a 1-year high of $109.30 on 09/05/24, and the lowest price during that time was $67.62, recorded on 10/09/23.

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How Financial Performance Impacts Market Capitalization

Colgate-Palmolive Co. (CL) has experienced a quarterly rise of 2.01% in its revenues when compared to the same period in the previous year. Presently, the company has a total market capitalization of 80.88B and boasts a workforce of 34000 employees.

The Role of Moving Averages and Trading Volume in Technical Analysis

Based on Barchart.com data, the company’s moving average over the 100-day period was 99.64, with a change in price of +4.54. Similarly, Colgate-Palmolive Co. recorded 4,039,871 in trading volume during the last 100 days, posting a change of +4.80%.

How CL’s Debt-to-Equity Ratio Affects Financial Health

A company’s financial condition and market reputation can be evaluated using the debt-to-equity (D/E) ratio. This ratio, calculated by dividing a company’s total liabilities by its shareholders’ equity, indicates the proportion of debt a company employs to back its assets in relation to its shareholders’ equity. At the time of writing, the total D/E ratio for CL stands at 70.54. Similarly, the long-term debt-to-equity ratio is also 66.23.

CL Stock Stochastic Average

Colgate-Palmolive Co.’s raw stochastic average for the past 50 days is currently at 6.17%. This represents a fall from the raw stochastic average of the last 20 days, which was recorded at 7.19%. Additionally, the company’s Stochastic %K and %D values for the past 20 days were 5.25% and 4.98%, respectively.

CL Stock Price Performance Analysis

A mixed performance in the stock price over the year has left investors with either an optimistic or pessimistic outlook, depending on their point of view. Year to date metric has recorded a gain of 24.19%.However, over the last six months, we can see a weaker performance of 12.85%. Over the last 30 days, the price of CL has leaped by -8.23%. And in the last five days, it has fallen by -4.64%.

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