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Colgate-Palmolive Vs. Philip Morris International Industry Stock Comparison
Buy
61
CL
Colgate-Palmolive
Last Price:
100.53
Seasonality Move:
1.63%
Buy
54
PM
Philip Morris International
Last Price:
120.13
Seasonality Move:
0.69%
Buy
61
Colgate-Palmolive (CL)
is a Buy
Is Colgate-Palmolive a Buy, Sell or Hold?
- The current Colgate-Palmolive [CL] share price is $101.19. The Score for CL is 61, which is 22% above its historic median score of 50, and infers lower risk than normal.
- CL is currently trading in the 60-70% percentile range relative to its historical Stock Score levels.
- This Score is currently showing a higher than normal reading, suggesting risk levels may be somewhat lower than normal.
Buy
54
Philip Morris International (PM)
is a Buy
Is Philip Morris International a Buy, Sell or Hold?
- The current Philip Morris International [PM] share price is $120.89. The Score for PM is 54, which is 8% above its historic median score of 50, and infers lower risk than normal.
- PM is currently trading in the 50-60% percentile range relative to its historical Stock Score levels.
- This Score is currently showing a higher than normal reading, suggesting risk levels may be somewhat lower than normal.
CL Stock Price Chart
What is Colgate-Palmolive's stock price today?
-
The Colgate-Palmolive share price today is $101.19
Based on the share price being below its 5, 20 & 50 day exponential moving averages, the current trend is considered strongly bearish and CL is experiencing slight buying pressure.
PM Stock Price Chart
What is Philip Morris International's stock price today?
-
The Philip Morris International share price today is $120.89
The current trend is moderately bearish and PM is experiencing buying pressure, which is a positive indicator for future bullish movement.
CL Technical Analysis
Chart Indicators | Level | Buy or Sell |
---|---|---|
MACD (12, 26): | -0.9 | Sell |
Relative Strength Index (14 RSI): | 46.18 | Sell |
Chaikin Money Flow: | 1783763 | - |
Bollinger Bands | Level | Buy or Sell |
---|---|---|
Bollinger Bands (25): | (100.25 - 104.39) | Sell |
Bollinger Bands (100): | (95.77 - 104.35) | Buy |
PM Technical Analysis
Chart Indicators | Level | Buy or Sell |
---|---|---|
MACD (12, 26): | -0.29 | Sell |
Relative Strength Index (14 RSI): | 52.18 | Buy |
Chaikin Money Flow: | 2312140 | - |
Bollinger Bands | Level | Buy or Sell |
---|---|---|
Bollinger Bands (25): | (119.03 - 122.91) | Sell |
Bollinger Bands (100): | (104.28 - 122.1) | Buy |
CL Moving Averages
Moving Averages | Level | Buy or Sell |
---|---|---|
8-day SMA: | 100.37 | Buy |
20-day SMA: | 101.64 | Sell |
50-day SMA: | 103.43 | Sell |
200-day SMA: | 93.55 | Buy |
8-day EMA: | 100.84 | Buy |
20-day EMA: | 101.65 | Sell |
50-day EMA: | 101.97 | Sell |
200-day EMA: | 94.54 | Buy |
PM Moving Averages
Moving Averages | Level | Buy or Sell |
---|---|---|
8-day SMA: | 119.85 | Buy |
20-day SMA: | 120.19 | Buy |
50-day SMA: | 121.04 | Sell |
200-day SMA: | 103.29 | Buy |
8-day EMA: | 120.16 | Buy |
20-day EMA: | 120.47 | Buy |
50-day EMA: | 119.05 | Buy |
200-day EMA: | 107.55 | Buy |
Colgate-Palmolive Earnings Growth & CL Earnings Dates
- Analysts estimate an earnings increase this quarter of $0.09 per share, a decrease next quarter of $0.00 per share, an increase this year of $0.36 per share, and an increase next year of $0.31 per share.
Philip Morris International Earnings Growth & PM Earnings Dates
- Analysts estimate an earnings increase this quarter of $0.11 per share, a decrease next quarter of $0.00 per share, an increase this year of $0.27 per share, and an increase next year of $0.64 per share.
Colgate-Palmolive Technical Analysis
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Philip Morris International Technical Analysis
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