CL Performance & Benchmarks - -13.6% in 12m

The Total Return for 3m is -8.5%, for 6m -2.2% and YTD -6.2%. Compare with Peer-Group: Household Products

Performance Rating 16.90%
#4 in Peer-Group
Rel. Strength 29.61%
#5387 in Stock-Universe
Total Return 12m -13.57%
#8 in Peer-Group
Total Return 5y 23.04%
#4 in Peer-Group
P/E Value
P/E Trailing 24.6
P/E Forward 23.6
High / Low USD
52 Week High 106.38 USD
52 Week Low 83.85 USD
Sentiment Value
VRO Trend Strength +-100 5.77
Buy/Sell Signal +-5 -2.30
Support / Resistance Levels
Support
Resistance
12m Total Return: CL (-13.6%) vs SPY (16.2%)
Total Return of Colgate-Palmolive versus its related sector ETF SPY
5y Drawdown (Underwater) Chart
5 Year Drawdown / Underwater Chart for CL Performance & Benchmarks - -13.6% in 12m

Top Performer in Household Products

Short Term Performance

Symbol 1w 1m 3m
CL -5.2% -7.2% -8.5%
CENTA -3.03% 13.5% 20.1%
CENT -3.01% 10.9% 16.3%
ODC -5.91% -4.39% 34.5%

Long Term Performance

Symbol 6m 12m 5y
CL -2.16% -13.6% 23%
ODC 34.9% 75.8% 244%
CENTA 13.9% 3.38% 22.0%
CENT 6.93% -2.06% 24.9%

Overall best picks of Peer Group - Selected by proven GARP Predictive Metrics, sorted by Growth Rating

Symbol 1m 12m 5y P/E P/E Forward PEG EPS Stability EPS CAGR
CL NYSE
Colgate-Palmolive
-7.2% -13.6% 23% 24.6 23.6 1.89 43.5% 5.27%
CLX NYSE
The Clorox
4.57% -1.68% -37.6% 22.7 18.3 0.57 37.6% 22.3%
ENR NYSE
Energizer Holdings
11.7% -23.9% -48.2% 29.5 6.42 1.5 -21.7% -18.9%

Performance Comparison: CL vs SPY vs S&P 500

SPY (SPDR SP500 Trust ETF) is the Sector Benchmark for CL
Total Return (including Dividends) CL SPY S&P 500
1 Month -7.20% 2.30% 2.30%
3 Months -8.50% 14.32% 14.32%
12 Months -13.57% 16.19% 16.19%
5 Years 23.04% 106.47% 106.47%

Trend Stabilty (consistency of price movement) CL SPY S&P 500
1 Month -81.9% 88.4% 88.4%
3 Months -44% 97.4% 97.4%
12 Months -64.9% 49.8% 49.8%
5 Years 65.7% 84% 84%

Relative Strength (compared with Indexes) Rank in Peer Group vs. SPY vs. S&P 500
1 Month 0 %th -9.29% -9.29%
3 Month 33 %th -19.96% -19.96%
12 Month 25 %th -25.61% -25.61%
5 Years 67 %th -40.41% -40.41%

FAQs

Does Colgate-Palmolive (CL) outperform the market?

No, over the last 12 months CL made -13.57%, while its related Sector, the SPDR SP500 Trust (SPY) made 16.19%. Over the last 3 months CL made -8.50%, while SPY made 14.32%.

Performance Comparison CL vs Indeces and Sectors

Above 0 means better perfomance compared to Symbol in this Timeframe

CL vs. Indices

Symbol 1w 1m 6m 12m
US S&P 500 SPY -4.8% -9.5% -7.8% -30%
US NASDAQ 100 QQQ -5.2% -9.6% -10.6% -34%
German DAX 40 DAX -4.3% -7.8% -12.4% -43%
Shanghai Shenzhen CSI 300 CSI 300 -2.4% -10.3% -11.4% -33%
Hongkong Hang Seng HSI -4.3% -11.4% -30.3% -55%
India NIFTY 50 INDA -2.6% -1.7% -5.4% -6%
Brasil Bovespa EWZ -3.1% 0.8% -8.9% -15%

CL vs. Sectors

Symbol 1w 1m 6m 12m
Communication Services XLC -4.1% -6.2% -7.6% -40%
Consumer Discretionary XLY -4.6% -9.1% 2% -33%
Consumer Staples XLP -3.3% -5.7% -4.4% -19%
Energy XLE -5% -10% -3.3% -10%
Financial XLF -3.9% -7.2% -4.6% -35%
Health Care XLV -1.3% -4% 8.3% -2%
Industrial XLI -4.3% -10.2% -12.7% -34%
Materials XLB -1.3% -7.1% -1.9% -11%
Real Estate XLRE -2% -7.2% -3.7% -17%
Technology XLK -5.7% -11% -16.4% -34%
Utilities XLU -6.8% -12.1% -13.7% -35%
Aerospace & Defense XAR -3.8% -9.9% -25.8% -58%
Biotech XBI -3.1% -10.5% 5.4% -0%
Homebuilder XHB -1.8% -10.6% 3.4% -0%
Retail XRT -1.4% -9% -0.5% -15%

CL vs. Commodities

Symbol 1w 1m 6m 12m
Oil USO -9.8% -16.1% -4.17% -16%
Natural Gas UNG -3.3% 3.9% 13.9% -14%
Gold GLD -2.8% -6.6% -19.3% -47%
Silver SLV 0.9% -8.8% -19% -40%
Copper CPER 18.9% 6% -4.4% -18%

CL vs. Bonds

Symbol 1w 1m 6m 12m
iShares 20+ Years Bond TLT -6.4% -6.1% -3.4% -9%
iShares High Yield Corp. Bond HYG -5.1% -7.3% -5.9% -22%