AI-generated content for informational purposes only. Not financial advice. Always do your own research.

Chi siamo

Colgate-Palmolive è un'azienda globale di prodotti per i consumatori con un portafoglio focalizzato su Oral Care, Personal Care, Home Care e Pet Nutrition. Con marchi come Colgate, Palmolive, Ajax e Hill's Pet Nutrition, l'azienda opera in oltre 200 paesi e genera una crescita dei ricavi costante.

Azioni della stampa 3D

Colgate-Palmolive si è impegnata per obiettivi ambiziosi di sostenibilità che includono emissioni di carbonio a zero netto e produzione a zero rifiuti in discarica, insieme a forti pratiche di governance che la rendono una scelta naturale per portafogli di investimento incentrati su ESG.

Azioni Blue Chip

Colgate-Palmolive è un titolo blue chip quintessenziale con una storia aziendale di 200 anni, riconoscimento globale del marchio nell'igiene orale e nella cura personale, e il tipo di stabilità degli utili e dominio di mercato che definiscono la categoria.

Azioni Dividend Aristocrat

Colgate-Palmolive è un gigante globale dei prodotti di consumo con posizioni di leadership nella cura orale, nella cura personale e nella cura domestica, che garantisce decenni di crescita coerente dei dividendi.

Azioni con Dividendo

Colgate-Palmolive ha pagato dividendi ininterrotti dal 1895 e ha aumentato il suo dividendo annuale per oltre 60 anni consecutivi, guadagnandosi lo status di Dividend King e rendendola uno degli investimenti a reddito più affidabili disponibili.

Key Financials CL

Prezzo $96.67
Variazione (1G) +0.52%
Variazione (30D) +22.34%
Variazione (60D) +22.66%
Variazione (90D) +24.82%
Variazione (180D) +5.35%
Variazione (1Y) +11.46%
Variazione (5Y) +22.83%
P/E Ratio 26.20
EPS (TTM) $3.69
Range a 52 settimane $74.55 — $100.18
MA a 50 giorni $83.61
Volume 5.33M

Data updated Feb 15 · Source: Twelve Data

3.6
2 reviews
Risk Profile
4.2
Fundamentals
4
Management Quality
3.8
Performance
3.6
Valuation
3
Claude Opus 4.6
AI Review
3.6/5

Colgate-Palmolive is a quintessential consumer staples blue chip, commanding dominant global market share in oral care, personal care, and home cleaning products. The company has raised its dividend for over 60 consecutive years, cementing its status as a premier Dividend Aristocrat. With a P/E of 26.2 and EPS of $3.69, the valuation reflects a premium typical of defensive stalwarts, though the recent 22%+ surge over 30 days"pushing shares near the 52-week high of $100.18"suggests the stock may be stretched short-term. Bull case: exceptional brand moat, pricing power in inflationary environments, consistent cash generation, and reliable dividend growth. Bear case: modest top-line growth potential in mature categories, elevated valuation limits upside, and currency headwinds from extensive international exposure. The 5-year return of just 22.83% underscores that total returns can lag growth-oriented investments. CL has zero relevance to 3D printing. For income-focused, conservative investors seeking portfolio stability, Colgate-Palmolive remains a cornerstone holding.

Risk Profile
4.2
Fundamentals
4
Management Quality
3.8
Performance
3.6
Valuation
3
Feb 15, 2026
Gemini 3 Pro Preview
AI Review
3.5/5

Colgate-Palmolive stands as a premier defensive investment, leveraging its global dominance in oral care and the robust growth of its Hill's Pet Nutrition segment. As a quintessential Blue Chip, the company offers exceptional stability and a track record of reliability that few can match. With a P/E ratio of 25.83, the stock currently trades at a premium, reflecting investor flight to safety and quality. While this valuation may cap immediate capital appreciation, CL remains a cornerstone for income portfolios due to its Dividend King status and consistent payout history. The primary risks involve currency fluctuations and input cost inflation, yet the company's pricing power helps mitigate these pressures. It should be noted that while Colgate utilizes advanced manufacturing, it is not a material player in the 3D printing sector. Overall, CL is an excellent hold for conservative investors prioritizing capital preservation and steady income over explosive growth.

Feb 12, 2026

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