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NYSE:CL

Colgate-Palmolive Company - NYSE:CL - Comprehensive analysis

Free evaluation through quantitative algorithms Colgate-Palmolive Company - NYSE:CL

Quant Rating

1

Strong Sell

2

Sell

3

Hold

4

Buy

5

Strong Buy


The overall quant rating is not an average of the factor grades listed.Instead, it gives greater weight to the metrics with the strongest predictive value.

Growth-Scoring Model Detail

Name

Fatcor
Percentage

Total Revenue Growth Over Prior Year

3.31

Market

43

Sector

62

Gross Profit Growth Over Prior Year

7.54

Market

57

Sector

67

EBITDA Growth Over Prior Year

7.67

Market

54

Sector

57

EBITA Growth Over Prior Year

7.75

Market

56

Sector

61

EBIT Growth Over Prior Year

7.81

Market

52

Sector

58

Earnings from Cont. Ops. Growth Over Prior Year

24.2

Market

74

Sector

75

Net Income Growth Over Prior Year

25.6

Market

74

Sector

78

Normalized Net Income Growth Over Prior Year

8.97

Market

58

Sector

56

Diluted EPS before Extra Growth Over Prior Year

26.7

Market

74

Sector

77

A/R Growth Over Prior Year

-4.1

Market

23

Sector

32

Inventory Growth Over Prior Year

2.74

Market

73

Sector

63

PPE Net Growth Over Prior Year

-2.4

Market

23

Sector

35

Total Assets Growth Over Prior Year

-2.12

Market

25

Sector

40

Tangible Book Value Growth Over Prior Year

0

Market

0

Sector

0

Common Equity Growth Over Prior Year

-65.19

Market

2

Sector

3

Cash from Ops. Growth Over Prior Year

9.67

Market

62

Sector

71

CAPEX Growth Over Prior Year

-20.43

Market

14

Sector

25

Dividend per Share Growth Over Prior Year

3.66

Market

48

Sector

73

Levered Free Cash Flow Growth Over Prior Year

24

Market

72

Sector

75

Unlevered Free Cash Flow Growth Over Prior Year

22.7

Market

72

Sector

73

Profitability-Scoring Model Detail

Name

Fatcor
Percentage

Gross Margin %

61

Market

77

Sector

85

SG&A Margin %

38.9

Market

92

Sector

79

EBITDA Margin %

24.2

Market

48

Sector

88

EBITA Margin %

21.5

Market

56

Sector

89

EBIT Margin %

21.1

Market

60

Sector

90

Earnings from Cont. Ops Margin %

15.17

Market

58

Sector

92

Net Income Margin %

14.37

Market

56

Sector

92

Net Income Avail. for Common Margin %

14.37

Market

57

Sector

92

Normalized Net Income Margin %

11.79

Market

61

Sector

90

Levered Free Cash Flow Margin %

16.92

Market

72

Sector

94

Unlevered Free Cash Flow Margin %

17.83

Market

70

Sector

94

Return on Assets %

16.38

Market

95

Sector

97

Return on Capital %

27.8

Market

96

Sector

99

Return on Equity %

407

Market

100

Sector

100

Return on Common Equity %

704

Market

100

Sector

100

Total Asset Turnover

1.24

Market

90

Sector

59

Sub-Scoring Model

Valuation
Momentum
Growth
Profitability
80
60
40
20
Valuation: 44
Momentum: 49
Growth: 50
Profitability: 74

Valuation-Scoring Model Detail

Name

Fatcor
Percentage

TEV/LTM Total Revenue

4.22

Market

58

Sector

87

TEV/LTM EBITDA

16.81

Market

68

Sector

77

P/LTM Normalized EPS

32.1

Market

57

Sector

70

P/BV

0

Market

0

Sector

0

TEV/LTM Unlevered FCF

23.6

Market

47

Sector

59

Momentum-Scoring Model Detail

Name

Fatcor
Percentage

1M Price Performance

5.74

Market

93

Sector

77

3M Price Performance

9.67

Market

83

Sector

78

6M Price Performance

-3.27

Market

61

Sector

54

9M Price Performance

-53.59

Market

2

Sector

17

1Y Price Performance

-46.77

Market

4

Sector

23

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