Colgate-Palmolive Financial Ratios for Analysis 2009-2024 | CL

Fifteen years of historical annual and quarterly financial ratios and margins for Colgate-Palmolive (CL).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
1.111.281.090.991.031.141.361.311.241.231.081.221.181.001.06
0.900.920.880.870.930.970.961.001.010.800.650.670.640.500.46
8.9310.887.466.9014.0632.3127.07384-148.824.442.232.191.891.220.98
58.2157.0459.5560.8259.4259.3960.0560.0458.6258.5158.5658.1357.3159.1458.77
20.4816.1019.1323.5922.6523.7623.9926.0317.3920.5920.4122.7622.9522.4223.59
20.4816.1019.1323.5922.6523.7623.9926.0317.3920.5920.4122.7622.9522.4223.59
23.3923.1525.6026.8625.9527.0527.0628.9420.1923.1522.9325.2525.4724.8325.88
17.4314.8017.7222.1421.0322.2922.5624.6017.2320.4520.4722.6722.6422.0423.08
11.829.9312.4316.3615.0815.4413.1016.068.6312.6212.8614.4714.5313.9414.95
1.191.141.161.031.041.281.221.251.341.281.251.281.321.391.38
4.203.724.163.864.555.055.065.195.625.195.075.245.385.205.23
12.2711.9513.4313.0310.9011.1010.4410.7711.2411.1310.6510.249.999.679.43
29.7530.5527.1728.0133.4932.8734.9633.8932.4832.7934.2835.6336.5337.7638.72
2572442412604531,29889515,212-3,518.1816995.0311010182.1177.62
-56.57-44.04-48.96-50.92-44.99-64.43-65.56-75.99-44.32-100.17-168.06-163.52-175.29-615.161,789
14.9812.5015.5517.9616.8121.0317.1521.3312.9717.3817.2319.6420.0720.7021.53
26.7520.6028.6333.9132.0239.0531.9339.5624.9633.2833.0835.9636.6441.0739.44
1.170.971.161.300.650.230.280.02-0.051.532.762.552.652.853.30
4.523.053.924.333.643.503.443.503.243.573.413.332.943.143.12
3.672.273.253.853.253.002.872.902.492.782.712.822.662.652.59

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.041.061.061.111.161.171.231.281.181.171.091.091.091.111.010.990.970.920.961.031.031.131.071.141.111.061.081.361.231.211.211.311.020.991.011.241.291.191.091.231.171.271.211.081.021.101.181.221.291.361.181.181.031.051.001.001.291.291.031.061.171.301.25
0.900.940.930.900.960.970.950.920.890.930.910.880.880.900.920.870.870.900.960.930.981.001.030.971.011.030.980.960.960.991.001.000.960.991.011.010.920.890.880.800.760.730.750.650.700.740.720.670.650.670.650.640.570.560.550.500.540.540.500.460.480.560.64
10.0918.0014.088.9321.4928.5420.9610.887.8314.3110.457.467.499.2411.816.906.7410.1023.0114.0646.84-664.50-31.7232.31-97.12-36.3266.4327.0724.4574.08-1,294.6038428.61193-90.14-148.8211.518.838.294.443.472.933.502.232.633.122.652.191.952.141.991.891.661.591.471.221.191.201.130.981.051.411.89
61.0860.6260.0059.6058.5457.8056.8655.6157.1956.9658.4758.1259.4260.0060.7061.1261.1660.7960.1760.1258.9659.7058.8859.1259.0159.2160.1759.8259.9660.1260.3160.3960.1059.9259.7658.8158.6958.2158.7758.6458.4258.6458.3658.8658.7858.3158.2958.4558.3857.6858.0257.3656.1757.4458.3659.0759.4558.7859.2359.4759.2058.7757.47
21.1621.5920.6721.6620.9420.2019.064.3621.2619.7119.558.2921.9123.3823.1122.4124.5124.2823.2423.1921.7922.9722.6323.3822.7324.3424.5624.6724.0822.9524.2428.8427.7024.5523.05-3.5728.4122.9221.1323.5721.6522.5214.6620.4523.1020.8517.2021.9823.7123.0122.3322.1223.6123.1322.9122.7524.3024.8617.7124.2823.1623.6823.15
21.1621.5920.6721.6620.9420.2019.064.3621.2619.7119.558.2921.9123.3823.1122.4124.5124.2823.2423.1921.7922.9722.6323.3822.7324.3424.5624.6724.0822.9524.2428.8427.7024.5523.05-3.5728.4122.9221.1323.5721.6522.5214.6620.4523.1020.8517.2021.9823.7123.0122.3322.1223.6123.1322.9122.7524.3024.8617.7124.2823.1623.6823.15
---------------------------------------------------------------
19.5919.9719.0919.9619.4518.3911.762.8520.0218.7618.077.3619.3222.3722.0320.6823.2822.8621.8521.6720.2121.2920.9621.8321.3322.8523.0923.0222.6521.6722.9125.1027.0523.9022.30-3.7428.2822.7720.9323.4821.5622.3114.5020.4823.1020.9617.2722.1023.6222.8722.1021.7623.3922.8722.5122.3523.9724.4917.2923.8422.7423.1222.55
14.6414.4513.4814.5114.4010.417.800.1113.8713.4512.713.3614.3616.5015.6814.9616.8116.2917.4516.0114.7115.1614.4215.9013.6016.3915.848.3015.2713.7015.1516.2918.1515.6014.17-11.7518.1514.1213.3214.8812.3814.298.9712.9314.9212.9110.6613.9515.1014.6914.1214.1414.6714.8614.4214.8315.7015.819.3215.4614.7615.0114.50
0.300.310.310.300.310.300.290.290.270.290.280.290.280.270.270.270.270.260.270.270.260.290.300.310.310.310.300.310.310.300.300.310.310.310.300.330.290.300.310.310.320.310.300.310.330.320.320.320.320.320.320.330.340.320.330.360.350.360.350.370.360.350.35
0.961.041.061.031.061.000.980.990.920.960.951.091.071.001.021.001.021.001.251.141.181.181.251.251.271.261.211.281.321.271.261.261.291.251.231.361.291.281.241.261.281.191.221.261.261.261.311.301.301.321.261.341.441.261.251.331.251.261.241.371.311.261.24
2.942.772.793.123.122.913.003.083.133.012.873.393.102.953.103.423.213.172.642.792.632.432.512.722.512.522.432.632.602.512.512.642.482.442.432.732.562.402.532.722.512.412.592.672.532.442.392.572.332.392.302.492.612.302.242.472.332.392.242.512.252.172.24
30.6132.4732.2228.8428.8830.9130.0029.2428.7929.9131.3426.5129.0330.4929.0526.3128.0028.4334.0732.2834.2537.0235.8533.0635.8635.7836.9734.2234.6535.9035.7934.1336.3136.8736.9932.9435.1337.4335.6233.0935.9137.2934.7533.7635.5536.8237.7135.0338.5837.6539.1536.1334.4439.1240.2736.4338.5737.6140.1735.8640.0741.5240.22
92.8215911879.4118417097.415.3464.7711582.8319.3666.3185.9611062.8569.4392.21219122360-6,180.00-285.71326-826.47-357.14671145243636-12,220.003,6943271,876-786.3095713181.3778.8948.0933.2231.9222.7423.7034.8333.4825.0626.6125.8426.4925.3624.6023.5520.5523.4323.1124.0023.8514.8921.2420.9923.2930.40
-17.69-16.49-15.98-17.51-15.62-10.77-8.50-0.96-14.50-12.80-12.11-3.94-12.67-13.05-12.50-12.32-13.60-11.88-12.38-12.14-10.64-14.87-13.83-16.20-13.17-15.32-15.94-10.65-19.74-16.26-17.71-18.45-22.61-18.32-15.9312.05-26.41-21.58-20.80-28.52-28.53-34.72-20.72-41.91-35.83-29.05-26.67-39.53-55.36-46.93-39.94-42.90-54.17-52.39-93.10-173.14-209.42-316.58-128.57490-5,609.09-179.10-55.60
4.634.654.404.644.663.292.560.274.194.073.841.254.294.634.614.354.824.464.964.544.174.704.665.294.475.345.162.785.094.454.915.185.915.104.61-3.535.684.514.434.954.244.732.994.305.204.483.744.755.195.064.784.915.294.885.095.835.665.953.585.895.585.485.40
8.878.898.318.288.215.764.450.457.367.507.252.307.828.418.848.209.268.869.748.648.029.329.319.828.7110.6610.195.189.588.499.469.6112.7711.299.89-6.7910.788.879.179.488.078.465.668.2510.468.847.118.699.128.788.938.9710.189.0210.5411.5610.4510.277.0110.7910.299.699.87
1.020.590.751.170.490.380.510.971.260.670.871.161.221.020.781.301.250.850.400.650.20-0.01-0.240.23-0.08-0.220.120.280.300.10-0.010.020.260.04-0.08-0.050.660.840.821.531.922.272.082.762.171.942.162.552.852.652.622.652.963.232.652.852.952.882.823.303.132.711.94
3.452.030.824.523.151.750.883.052.251.090.463.922.621.440.704.333.202.090.893.642.511.450.703.502.521.480.703.442.591.470.783.502.581.460.683.242.321.340.793.572.591.500.883.412.521.410.823.332.231.240.682.942.101.170.683.142.201.260.713.122.261.150.66
2.991.730.673.672.541.340.692.271.740.730.313.252.181.160.583.852.911.900.803.252.251.280.623.002.151.240.572.872.161.210.642.902.211.190.562.491.821.030.662.782.061.160.702.712.081.150.722.821.931.040.622.662.010.940.612.651.891.070.632.591.930.950.59