Colgate-Palmolive Company

CL · Consumer Defensive

About Colgate-Palmolive Company (CL)

Colgate-Palmolive Company is a Household & Personal Products company operating in the Consumer Defensive sector.

CL trades on the US stock exchanges (NYSE/NASDAQ) and is classified as a large-cap stock .

Sector
Consumer Defensive
Industry
Household & Personal Products

Key Statistics

Current Price
$85.15
Market Cap
$68.25B
52-Week High
$99.33
52-Week Low
$74.55
Sector
Consumer Defensive
Industry
Household & Personal Products

$1,000 Invested in Colgate-Palmolive Company (CL)

1 Year
$966
+-3%
3 Years
$1,266
+27%
5 Years
$1,264
+26%
10 Years
$1,570
+57%
Since IPO
$196,902
+19590%

How much would $1,000 invested in CL be worth today?

What would $1,000 invested in CL 1 year ago be worth today?

A $1,000 investment in Colgate-Palmolive Company (CL) in 2025 would be worth $966 as of May 2026, representing a -3.4% total return.

What would $1,000 invested in CL 3 years ago be worth today?

A $1,000 investment in Colgate-Palmolive Company (CL) in 2023 would be worth $1,266 as of May 2026, representing a +26.6% total return.

What would $1,000 invested in CL 5 years ago be worth today?

A $1,000 investment in Colgate-Palmolive Company (CL) in 2021 would be worth $1,264 as of May 2026, representing a +26.4% total return.

What would $1,000 invested in CL 10 years ago be worth today?

A $1,000 investment in Colgate-Palmolive Company (CL) in 2016 would be worth $1,570 as of May 2026, representing a +57.0% total return.

What would $1,000 invested in CL at IPO be worth today?

A $1,000 investment in Colgate-Palmolive Company (CL) at IPO would be worth $196,902 as of May 2026, representing a +19590.2% total return.

Monthly Returns Heatmap

Avg Monthly Return
+1.07%
Positive Months
367
58% of 634
Negative Months
263
41% of 634
Data Period
52+ years
634 months
Best Performers
Best month ever: Oct 1974 (+50.3%)
Best month on avg: October (+2.8%)
Worst Performers
Worst month ever: Aug 1998 (-21.8%)
Worst month on avg: September (-0.6%)

Over the past 52+ years (634 months), Colgate-Palmolive Company (CL) has averaged a monthly return of +1.07% with a median return of +1.21%. The stock had 367 positive months (58%) and 263 negative months (41%). The best month in CL's history was October 1974 with a +50.3% return, while the worst was August 1998 at -21.8%. Historically, October tends to be the strongest month (averaging +2.8%), and September the weakest (-0.6%).

CL's longest winning streak was 11 consecutive months of gains, while its longest losing streak was 5 consecutive months of losses. The best full year was 1997 with a cumulative return of +54.5%, and the worst was 1978 at -19.5%.

Annual Returns

Over 53 years of trading history, Colgate-Palmolive Company (CL) has delivered an average annual return of +12.27% with a median return of +14.60%. The compound annual growth rate (CAGR) is +10.98%. The stock posted gains in 39 years (74%) and losses in 14 years (26%).

CL's best year was 1997 with a +62.15% gain, while the worst was 1978 at -19.23%. The longest streak of consecutive positive years was 13, and the longest losing streak was 4 years. CL achieved double-digit gains (10%+) in 28 years. It suffered double-digit losses in 5 years.

Avg Return
+12.27%
Best Year
1997 (+62.15%)
Worst Year
1978 (-19.23%)
Positive Years
39/53
Year Return Start End
2026 +8.42% $78.54 $85.15
2025 -10.98% $88.22 $78.54
2024 +16.57% $75.69 $88.22
2023 +3.78% $72.93 $75.69
2022 -5.44% $77.12 $72.93
2021 +2.08% $75.55 $77.12
2020 +27.17% $59.41 $75.55
2019 +18.60% $50.09 $59.41
2018 -19.19% $61.99 $50.09
2017 +17.88% $52.59 $61.99
2016 +0.44% $52.36 $52.59
2015 -1.56% $53.19 $52.36
2014 +8.40% $49.07 $53.19
2013 +27.61% $38.45 $49.07
2012 +15.94% $33.16 $38.45
2011 +18.08% $28.09 $33.16
2010 +0.32% $28.00 $28.09
2009 +22.91% $22.78 $28.00
2008 -10.11% $25.34 $22.78
2007 +21.97% $20.77 $25.34
2006 +21.53% $17.09 $20.77
2005 +9.56% $15.60 $17.09
2004 +4.14% $14.98 $15.60
2003 -2.98% $15.44 $14.98
2002 -7.98% $16.78 $15.44
2001 -9.45% $18.53 $16.78
2000 +0.44% $18.45 $18.53
1999 +41.69% $13.02 $18.45
1998 +28.03% $10.17 $13.02
1997 +62.15% $6.27 $10.17
1996 +34.46% $4.67 $6.27
1995 +13.85% $4.10 $4.67
1994 +4.37% $3.93 $4.10
1993 +14.60% $3.43 $3.93
1992 +16.65% $2.94 $3.43
1991 +35.98% $2.16 $2.94
1990 +19.50% $1.81 $2.16
1989 +39.15% $1.30 $1.81
1988 +24.02% $1.05 $1.30
1987 -0.82% $1.06 $1.05
1986 +29.55% $0.82 $1.06
1985 +38.26% $0.59 $0.82
1984 +22.17% $0.48 $0.59
1983 +15.82% $0.42 $0.48
1982 +25.05% $0.33 $0.42
1981 +23.05% $0.27 $0.33
1980 +9.85% $0.25 $0.27
1979 -7.88% $0.27 $0.25
1978 -19.23% $0.33 $0.27
1977 -18.29% $0.41 $0.33
1976 -1.44% $0.41 $0.41
1975 +22.14% $0.34 $0.41
1974 -0.63% $0.34 $0.34

Frequently Asked Questions: CL

What sector is CL in?

CL operates in the Consumer Defensive sector, specifically in the Household & Personal Products industry.

How has CL performed historically?

Over 53 years of trading history, CL has posted gains in 39 years (74% of the time). The best year was 1997 with a +62.1% return. Past performance does not guarantee future results.

How can I invest in CL?

You can invest in CL through any brokerage account that offers access to US stock exchanges. Popular options include commission-free brokers like Fidelity, Charles Schwab, or Robinhood (US), or international brokers like Interactive Brokers. You can buy individual shares or invest through ETFs that hold CL.

Last updated: 3/24/2026