Stocks · NYSE · Consumer Defensive · United States

CL — Colgate-Palmolive Company

Colgate-Palmolive Company (CL) is a consumer defensive stock listed on NYSE (United States). At the close of September 29, 2026 it traded at 86.46 (-0.07% on the day), -3.7% over one month, -6.3% over three months, +10.2% over twelve months. The InvestMuse composite score is +16 on a −100 to +100 scale, a mixed read that ranks #476 of about 1,221 assets. The strongest of its nine dimensions are Sector edge (+96) and Fundamentals (+47); the weakest is Regime (hidden Markov model) (-60). Its volatility regime from the hidden Markov model is Cool. 84 news articles in the last 30 days carried an average tone of +0.20 (on −1 to +1).

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The facts

Last close86.46 (September 29, 2026)
1 day / 1 month / 3 months / 12 months-0.07% / -3.7% / -6.3% / +10.2%
52-week range73.64 – 97.97
Composite score+16 / 100 · mixed view · rank #476
Volatility regime (HMM)Cool
Support levels51.00
Resistance levels60.00, 69.00, 75.00
Trailing P/E36.3
Market cap$73.9B

The nine dimensions

Each dimension is scored from −100 to +100; the composite is their weighted blend. Composite of 9 dimensions; not a recommendation.

How this read is made

Every night InvestMuse scores about 1,221 stocks, crypto assets, currencies, commodities and indices on nine dimensions: a hidden Markov model regime, technical indicators, trend, support and resistance from price clustering, fundamentals, the gap to sector peers, news sentiment, momentum, and chart patterns with demand/supply zones and Fibonacci levels. Members race each other with $100,000 of play money, against five fictional fund managers and the InvestMuse algorithm.

Data as of September 29, 2026. Observations from public market data — not investment advice, not a recommendation to buy or sell.