NYSE:CL
Colgate-Palmolive Company
(NYSE:CL)
71.15
-0.20
(-0.28%)
As of 2023-09-29 Close (EST)
52 Week Rng | - |
Market Cap | - |
Avg Volume | - |
1M Volatility | - |
Short Ratio | - |
P/E Ratio (TTM) | - |
P/E Ratio (Fwd) | - |
P/B Ratio | - |
Div & Yield | - |
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MLP_AMY_RATCLIFFE • Millennium Summer Challenge (2023) • Jul 2023
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MLP_USAMAH_ANGUS • Millennium Summer Challenge (2023) • Jul 2023
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MLP_JACK_PULLEN • Millennium Summer Challenge (2023) • Jul 2023
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BrownRock • Duke Emerging Market Portfolio Management (Fall 2022) • Oct 2022
Strong presence in household items in EM. Unlikely to be affected by inflation. Leadership is confident despite a few rocky earning reports
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andrew.traylor2015 • Blue Chip Staples • May 2022
Buy and hold blue chips
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InvestInVests • Aalto Investment management game (Fall 2021) • Nov 2021
Colgate is a leading company in the consumer staples sector. It has an ESG-rating of AA. Therefore it fits our portfolio strategy.
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