CL

Colgate-Palmolive Company Stock in Brief

We've been asking ourselves recently if the market has placed a fair valuation on Colgate-Palmolive Company. Let's dive into some of the fundamental values of this large-cap Consumer Discretionary company to determine if there might be an opportunity here for value-minded investors.

Colgate-Palmolive Company's P/B and P/E Ratios Are Higher Than Average:

Colgate-Palmolive Company, together with its subsidiaries, manufactures and sells consumer products worldwide. The company belongs to the Consumer Discretionary sector, which has an average price to earnings (P/E) ratio of 22.96. In contrast, Colgate-Palmolive Company has a trailing 12 month P/E ratio of 41.7 based on its earnings per share of $1.91.

There is an important limit on the usefulness of P/E ratios. Since the P/E ratio is the share price divided by earnings per share, the ratio is determined partially by market sentiment on the stock. Sometimes a negative sentiment translates to a lower market price and therefore a lower P/E ratio -- and there might be good reasons for this negative sentiment.

One of the main reasons not to blindly invest in a company with a low P/E ratio is that it might have low growth expectations. Low growth correlates with low stock performance, so it's useful to factor growth into the valuation process. One of the easiest ways to do this is to divide the company's P/E ratio by its expected growth rate, which results in the price to earnings growth, or PEG ratio.

Colgate-Palmolive Company's PEG ratio is 3.16, which shows that the stock is overvalued in terms of its estimated growth. For reference, a PEG ratio near or below 1 is a potential signal that a company is undervalued.

Increasing Revenues but Narrowing Margins:

2018 2019 2020 2021 2022 2023
Revenue (MM) $15,544 $15,693 $16,471 $17,421 $17,967 $19,136
Revenue Growth n/a 0.96% 4.96% 5.77% 3.13% 6.51%
Operating Margins 24% 23% 24% 19% 16% 16%
Net Margins 15% 15% 16% 12% 10% 8%
Net Income (MM) $2,400 $2,367 $2,695 $2,166 $1,785 $1,587
Earnings Per Share $2.75 $2.75 $3.14 $2.55 $2.13 $1.92
EPS Growth n/a 0.0% 14.18% -18.79% -16.47% -9.86%
Diluted Shares (MM) 873 861 859 848 839 827
Free Cash Flow (MM) $2,620 $2,798 $3,309 $2,758 $1,860 $2,553
Capital Expenditures (MM) $436 $335 $410 $567 $696 $729
Current Ratio 1.14 1.03 0.99 1.09 1.28 1.16
The above analysis is intended for educational purposes only and was performed on the basis of publicly available data. It is not to be construed as a recommendation to buy or sell any security. Any buy, sell, or other recommendations mentioned in the article are direct quotations of consensus recommendations from the analysts covering the stock, and do not represent the opinions of Market Inference or its writers. Past performance, accounting data, and inferences about market position and corporate valuation are not reliable indicators of future price movements. Market Inference does not provide financial advice. Investors should conduct their own review and analysis of any company of interest before making an investment decision.

IN FOCUS