Colgate-Palmolive Co. (CL)
NASDAQ • Consumer Defensive
January 21, 2026 at 19:15 UTC
Name
CEO
Website
Industry
Year Founded
Employees
Colgate-Palmolive Co. makes everyday consumer products with a focus on oral, personal and home care, and pet nutrition. The company builds brands that appear in supermarkets, pharmacies, and e-commerce channels, and it supports them with steady innovation, packaging updates, and education about hygiene and wellness. Manufacturing and sourcing run across the Americas, Europe, Asia, and Africa, with formulas adapted to local tastes and regulations. Distribution uses both retail partners and direct relationships to keep shelves stocked and digital orders fulfilled. The business sits in the consumer staples sector, where recurring demand and brand trust matter. Colgate-Palmolive Co. stock (CL) is often discussed in the context of global household and personal products, and the ticker connects the company to conversations about brand portfolios and category mix.
TTM is calculated as the sum of the four most recently completed quarters. This is a standard approach when monthly or real-time data is not available.
Colgate-Palmolive Co.'s Technical Indicators Summary
Crude oil (CL) maintains a bullish posture with strong momentum evident from a robust MACD level and a high CCI value, signaling buying interest despite the RSI nearing overbought territory. The price comfortably trades above its short- and medium-term moving averages, reinforcing the upward trend, though it hovers near the 200-day SMA, which suggests some resistance. Volatility remains moderate, as indicated by a stable ATR, while the ADX reflects a trend that is neither weakening nor gaining significant strength. Additionally, the positive On-Balance Volume supports the buying pressure. Overall, these factors combine to underline a solid but cautiously monitored upward trend.
| Indicator | Value |
|---|---|
RSI (14) | 69.70 |
Stochastic %K (14, 3, 3) | 93.21 |
CCI (20) | 159.56 |
WPR (14) | -6.24 |
Momentum (10) | 6.83 |
MFI | 72.44 |
MACD Level (12, 26) | 1.36 |
Bollinger Bands | $75.19 - $85.09 |
ATR (14) | $1.47 (1.74%) |
ADX (14) | 22.13 |
OBV | -36,244,100 |
Simple Moving Averages | $79.24 - $84.67(5 indicators) |
Exponential Moving Averages | $79.85 - $84.18(5 indicators) |
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CL shows a slight downside bias, trading -0.330% under yesterday’s close near 84.64. An extreme bullish skew shows up in options markets (PCR 0.16). Oil supply concerns amid geopolitical tensions and positive options skew are weighing on crude prices today.
Price Change
from $84.92 close
$-0.28
Trading Volume
Below avg (8.1M)
2.7M
vs S&P 500 Today
Moderate Underperformance
-0.47%
52-Week Position
Mid-range
39.4%
Updated: January 21, 2026 at 17:34 UTC
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