Colgate-Palmolive (CL) Stock Analysis

OW

CL Equity Research — OVERWEIGHT — June 2026

Rating date

Jun 18, 2026

53 days ago

Desk view

OW

5D move

Awaiting market data

Peer rank

46p

Investment card · CL

Here is the analysis note for CL (Colgate-Palmolive Company).

Desk rating

OW

Tactical OW · 12M OW

Horizon

Short to medium term

Confidence

Medium

Invalidation

Thesis weakens if catalysts slip or risk markers breach stated levels.

Bias

OVERWEIGHT

Catalysts

  • Trend is bullish and structurally sound: Price > 50 SMA > 200 SMA with a widening spread — the classic configuration of a sustained uptrend.
  • Momentum is reaccelerating: The MACD line has nearly doubled in the past week (0.027 → 0.656), and RSI at ~57 leaves headroom before overbought levels.
  • The June 3–4 sell-off was aggressively bought: The V-shaped recovery from $84.61 to $90.58 in nine sessions signals strong underlying demand.

Risks

  • Event-driven repricing risk if expectations diverge from incoming evidence.

Market chart

Price context alongside the research narrative.

CL Research Note

Full desk note for Jun 18, 2026. Use tabs for catalysts, valuation and risks, or open the full note.

30 min read

WebserviceX · Agentic Research Desk

CL Equity Research Note

Published Jun 18, 2026 · Desk view OVERWEIGHT · Generated 2026-06-19T07:43:40Z · Maintained by Walter Vijayakumar · Methodology · Track record

CL Stock Rating Summary

CL bias

OVERWEIGHT

Horizon

Short to medium term

CL key risk

Event-driven repricing risk if expectations diverge from incoming evidence.

CL catalyst watch

Trend is bullish and structurally sound: Price > 50 SMA > 200 SMA with a widening spread — the classic configuration of a sustained uptrend.

Invalidation

Thesis weakens if catalysts slip or risk markers breach stated levels.

Confidence

Medium

How the call aged · 5D

Awaiting market dataPeer 46p
Expand

Grading rule: BUY/OVERWEIGHT scores Correct when forward return > 0; UNDERWEIGHT/SELL when < 0; HOLD is Neutral. Window uses 5 US trading sessions after the rating entry close vs benchmark SPY. Scorecard computed 2026-06-19T08:42:27.762118+00:00.

5D move

2026-06-17 → awaiting

Outcome

Awaiting market data

5D trend

+0.70%

Vol (20D ann.)

+27.87%

vs SPY: -1.44%

Close 90.58 (USD, vendor closes)

Batch scorecard · 2026-06-18 · CL

Publish QC

passed
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Pipeline fingerprint 2f45a102687f75c0

Trace 0aeeb6ea

No QC issues recorded.