Colgate-Palmolive Company vs Procter & Gamble Company (The) — Stock Comparison
Colgate-Palmolive Company (CL) and Procter & Gamble Company (The) (PG) are both listed on US exchanges. This page compares their Q·Score ratings, key fundamentals (P/E, margins, growth), and Wall Street analyst consensus side by side. Data sourced from Yahoo Finance and updated on each page load.
Procter & Gamble Company (The) narrowly edges Colgate-Palmolive Company on Q·Score (7.5 vs 6.8 out of 10), led by Health (7.3 vs 4.5) and Quality (9.3 vs 8.5). Colgate-Palmolive Company scores higher on Sentiment, reflecting stronger analyst and market sentiment. Analyst consensus targets imply greater upside for PG (+9.2%) than for CL (+7.2%).
Price Performance
Normalised to 100 at period start — shows relative performance.
Q·Score Breakdown
High-quality business with 364% return on equity and 10% profit margins.
⚠ high leverage at 16.4× debt-to-equity.
High-quality business with 31% return on equity and 19% profit margins.
Analyst Consensus
Fundamentals
Frequently Asked Questions
CL vs PG: which stock scores better overall?
Based on Q·Score, Procter & Gamble Company (The) (PG) scores 7.5/10 versus Colgate-Palmolive Company (CL) at 6.8/10. The Q·Score measures five dimensions: Quality, Health, Growth, Valuation, and Sentiment. For informational purposes only — not financial advice.
Which has better revenue growth: CL or PG?
Colgate-Palmolive Company (CL) scores higher on Growth (7/10 vs 7/10). Colgate-Palmolive Company reports revenue growth (8.4% YoY) while Procter & Gamble Company (The) reports (7.4% YoY). Growth scores reflect revenue and earnings momentum relative to sector peers.
Is CL or PG more attractively valued?
Procter & Gamble Company (The) (PG) scores higher on Valuation (6.8/10 vs 6.5/10). CL trades at 22.1× P/E versus PG at 21.1×. Valuation is assessed using P/E ratio, analyst price targets, and 52-week range positioning relative to sector peers.
What do analysts say about CL vs PG?
There are 20 analysts covering CL with a consensus price target of $95.85, and 23 analysts covering PG with a consensus target of $163.43. Analyst consensus ratings are aggregated from Wall Street research and do not constitute investment advice.
Which is more profitable: CL or PG?
Procter & Gamble Company (The) (PG) scores higher on Quality (9.3/10 vs 8.5/10). Net profit margin: CL at 10.0%, PG at 19.2%. Quality scores reflect profit margins, return on equity, and free cash flow generation.
Which has stronger financial health: CL or PG?
Procter & Gamble Company (The) (PG) scores higher on Financial Health (7.3/10 vs 4.5/10). Market beta: CL at 0.32, PG at 0.39. Health scores consider beta, debt-to-equity, and current ratio. All investments carry risk — this is not investment advice.
What are the market caps of CL and PG?
Colgate-Palmolive Company (CL) has a market capitalisation of $71.6B, while Procter & Gamble Company (The) (PG) has a market cap of $348.4B. Market cap data is sourced from Yahoo Finance and reflects the most recent available figures.
Do CL or PG pay dividends?
CL pays a dividend yield of 2.37%, while PG pays a dividend yield of 2.85%. Dividend yields fluctuate with share price and company payout decisions.
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Q·Score is an educational tool and is not financial advice. Data provided by Yahoo Finance. Updated on each page load. How it's calculated →