The 52-week high and low prices can offer valuable insights into a stock’s current standing and prospects for future performance. Colgate-Palmolive Co’s current trading price is -14.09% away from its 52-week high, while its distance from the 52-week low is 10.06%. The stock’s price range for this period has been between $85.32 and $109.30 The company’s shares, which are part of the Consumer Defensive sector, had a trading volume of approximately 4.92 million for the day, a number notably lower than the average daily volume of 5.21 million over the last three months.
Colgate-Palmolive Co’s market performance has been stable in recent times. The company’s stock hit a 1-year high of $109.30 on 09/05/24 and a low of $85.32 for the same time frame on 02/18/25.
Exploring Financial Performance and Market Capitalization: A Comprehensive Analysis
Colgate-Palmolive Co (CL) has experienced a quarterly rise of 2.28% in its revenues when compared to the same period in the previous year. Presently, the company has a total market capitalization of 76.16B and boasts a workforce of 34000 employees.
Analyzing Trading Volume and Moving Average Trends
Based on Barchart.com data, the company’s moving average over the 100-day period was 91.07, with a change in price of +0.29. Similarly, Colgate-Palmolive Co recorded 4,905,570 in trading volume during the last 100 days, posting a change of +0.31%.
Understanding Ticker ‘s Debt-to-Equity Ratio: An Analysis
The debt-to-equity (D/E) ratio serves as an important indicator of a company’s financial stability and market position. By dividing a company’s total liabilities by its shareholders’ equity, the D/E ratio reveals the degree to which a company relies on debt to finance assets compared to its shareholders’ equity. At the time of writing, the total D/E ratio for CL stands at 40.15. Similarly, the long-term debt-to-equity ratio is also 36.53.
CL Stock Stochastic Average
Colgate-Palmolive Co’s raw stochastic average for the past 50 days is presently 57.74%, as of today. This marks a increase from the raw stochastic average of the last 20 days, which was 43.63%. Additionally, the company’s Stochastic %K and %D values for the past 20 days were 39.80% and 36.71%, respectively.
CL Stock Price Performance Analysis
Investors’ outlook regarding the stock price performance over the year has been split, with some feeling optimistic and others feeling pessimistic, as it’s been a mixed bag. This year’s metric has recorded a Price increase of 3.29%. However, over the past six months, we’ve seen a stronger performance of -9.42%. The price of CL fallen by 1.17% over the last 30 days. And in the last five days, it has surged by 4.81%.