Colgate-Palmolive Co
NYSE:CL

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Colgate-Palmolive Co
NYSE:CL
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Price: 94.92 USD 0.71% Market Closed
Market Cap: 77.6B USD
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Net Margin
Colgate-Palmolive Co

14.3%
Current
12%
Average
3.5%
Industry

Net Margin measures how much net income is generated as a percentage of revenues received. It helps investors assess if a company's management is generating enough profit from its sales and whether operating costs and overhead costs are being contained.

Net Margin
14.3%
=
Net Income
2.9B
/
Revenue
20.1B

Net Margin Across Competitors

Country US
Market Cap 77.6B USD
Net Margin
14%
Country US
Market Cap 415.1B USD
Net Margin
17%
Country US
Market Cap 46.2B USD
Net Margin
13%
Country UK
Market Cap 33.9B GBP
Net Margin
11%
Country DE
Market Cap 33.1B EUR
Net Margin
6%
Country US
Market Cap 27.4B USD
Net Margin
9%
Country US
Market Cap 20.9B USD
Net Margin
5%
Country SE
Market Cap 212.2B SEK
Net Margin
17%
Country JP
Market Cap 2.2T JPY
Net Margin
9%
Country US
Market Cap 5.8B USD
Net Margin
10%
Country ID
Market Cap 68.7T IDR
Net Margin
10%
No Stocks Found

Colgate-Palmolive Co
Glance View

Market Cap
77.6B USD
Industry
Consumer products

Colgate-Palmolive Co. has a storied history that stretches back over two centuries, evolving from a small soap and candle business in 1806 to a global leader in consumer products today. Headquartered in New York City, this multinational corporation has established itself as a household name, primarily through its iconic oral care, personal care, and home care products. With brands like Colgate, Palmolive, Speed Stick, and Irish Spring, Colgate-Palmolive's extensive portfolio resonates not just in North America but across more than 200 countries worldwide. The company's commitment to innovation, sustainability, and community engagement positions it as a forward-thinking enterprise that adapts to changing consumer preferences while maintaining a solid foundation in trust and reliability. For investors, Colgate-Palmolive represents a compelling opportunity in the consumer goods sector, marked by its impressive financial resilience and robust dividend history. The company's strategic focus on emerging markets and e-commerce has propelled its growth trajectory, even in the face of global economic challenges. Colgate-Palmolive’s strong brand equity, coupled with a consistent commitment to cost management and operational efficiency, ensures that it remains competitive. Furthermore, the company is actively pursuing sustainability initiatives, reducing its environmental footprint, which aligns with increasing consumer and investor interest in responsible investing. All these factors contribute to a strong investment case for those looking to tap into a well-established, yet innovative, player in the essential consumer products space.

CL Intrinsic Value
75.1 USD
Overvaluation 21%
Intrinsic Value
Price

See Also

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What is Net Margin?

Net Margin measures how much net income is generated as a percentage of revenues received. It helps investors assess if a company's management is generating enough profit from its sales and whether operating costs and overhead costs are being contained.

Net Margin
14.3%
=
Net Income
2.9B
/
Revenue
20.1B
What is the Net Margin of Colgate-Palmolive Co?

Based on Colgate-Palmolive Co's most recent financial statements, the company has Net Margin of 14.3%.