Performance of CL Colgate-Palmolive | 49.3% in 12m

Compare CL with Indices, Sectors and Commodities ✔ like Oil, Gas, Gold, Yields and Bonds. Who outperforms?

Compare Colgate-Palmolive with its related Sector/Index XLP

Compare Colgate-Palmolive with its related Sector/Index XLP

Performance Duell CL vs XLP

TimeFrame CL XLP
1 Week 1.28% 0.58%
1 Month 5.07% 6.07%
3 Months 15.4% 7.13%
6 Months 25.1% 11.82%
12 Months 49.3% 18.15%
YTD 35.9% 15.64%
Rel. Perf. 1m -0.04
Rel. Perf. 3m 1.01
Rel. Perf. 6m 1.02
Rel. Perf. 12m 1.02
Spearman 1m 0.92 0.97
Spearman 3m 0.93 0.93

Is Colgate-Palmolive a good stock to buy?

Yes, based on ValueRay Fundamental Analyses, Colgate-Palmolive (NYSE:CL) is currently (September 2024) a good stock to buy. It has a ValueRay Fundamental Rating of 80.85 and therefor a positive outlook according to the companies health.
Based on ValueRays Analyses, Dividends and Discounted-Cash-Flow, the Fair Value of CL as of September 2024 is 116.19. This means that CL is currently overvalued and has a potential downside of 7.72% (Sold with Premium).

Is CL a buy, sell or hold?

  • Strong Buy: 9
  • Buy: 6
  • Hold: 8
  • Sell: 1
  • Strong Sell: 0
Colgate-Palmolive has received a consensus analysts rating of 3.96. Therefor, it is recommend to buy CL.
Values above 0%: CL is performing better - Values below 0%: CL is underperforming

Compare CL with Broad Market Indices

Symbol 1w 1m 6m 12m
US S&P 500 SPY 5.42% 1.58% 18.39% 27.13%
US NASDAQ 100 QQQ 7.07% 2.99% 22.52% 29.46%
US Dow Jones Industrial 30 DIA 4.10% 1.27% 19.77% 30.81%
German DAX 40 DBXD 4.52% -0.33% 22.24% 34.71%
UK FTSE 100 ISFU 3.53% -1.20% 12.75% 31.15%
Shanghai Shenzhen CSI 300 CSI 300 3.96% 7.38% 31.34% 60.22%
Hongkong Hang Seng HSI 3.50% 0.30% 24.56% 55.15%
Japan Nikkei 225 EXX7 8.40% -0.61% 35.20% 43.45%
India NIFTY 50 INDA 3.38% 2.46% 16.63% 25.00%
Brasil Bovespa EWZ 2.99% -1.81% 33.58% 49.07%

CL Colgate-Palmolive vs. Sectors

Symbol 1w 1m 6m 12m
Communication Services XLC 5.35% 4.48% 17.70% 24.79%
Consumer Discretionary XLY 3.80% -0.32% 23.08% 43.22%
Consumer Staples XLP 0.70% -1.00% 13.25% 31.16%
Energy XLE 7.05% 6.19% 24.75% 51.45%
Financial XLF 4.45% -1.65% 15.17% 18.57%
Health Care XLV 3.35% 0.70% 18.84% 31.66%
Industrial XLI 5.52% 1.92% 20.86% 28.24%
Materials XLB 5.94% 3.48% 22.97% 37.66%
Real Estate XLRE 1.10% 0.06% 13.30% 25.94%
Technology XLK 8.73% 3.41% 26.32% 30.99%
Utilities XLU 1.78% 0.90% 2.95% 25.55%
Aerospace & Defense XAR 6.49% 1.07% 20.60% 22.97%
Biotech XBI 5.96% 2.87% 28.55% 26.70%
Homebuilder XHB 5.68% 1.65% 17.23% 11.71%
Retail XRT 6.26% 5.58% 28.32% 30.66%

CL Colgate-Palmolive vs. Commodities

Symbol 1w 1m 6m 12m
Oil USO 8.56% 9.93% 32.35% 61.36%
Natural Gas UNG -5.83% -2.44% 42.25% 95.96%
Gold GLD 1.57% 0.57% 9.06% 20.04%
Silver SLV 4.58% 1.66% 9.78% 28.89%
Copper CPER 4.70% 4.08% 19.50% 40.86%

Returns of CL vs. Yields & Bonds

Symbol 1w 1m 6m 12m
iShares 20+ Years Bond TLT -2.23% 1.66% 19.26% 38.78%
iShares High Yield Corp. Bond HYG 0.56% 1.97% 19.00% 36.22%
Does Colgate-Palmolive outperform its market, is CL a Sector Leader?
Yes, over the last 12 months Colgate-Palmolive (CL) made 49.31%, while its related Sector, the Consumer Staples Sector SPDR Fund (XLP) made 18.15%.
Over the last 3 months CL made 15.35%, while XLP made 7.13%.
Period CL XLP S&P 500
1 Month 5.07% 6.07% 3.49%
3 Months 15.35% 7.13% 1.39%
12 Months 49.31% 18.15% 22.18%