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CL vs PM

CL
Colgate-Palmolive Company
NEUTRAL
Price
$78.05
Market Cap
$63.51B
Sector
Consumer Defensive
AI Confidence
72%
PM
Philip Morris International Inc.
BULLISH
Price
$155.43
Market Cap
$241.95B
Sector
Consumer Defensive
AI Confidence
92%

Valuation

P/E Ratio
CL
21.86
PM
22.17
Forward P/E
CL
20.22
PM
21.59
P/B Ratio
CL
73.49
PM
-22.17
P/S Ratio
CL
3.16
PM
6.05
EV/EBITDA
CL
14.6
PM
16.14

Profitability

Gross Margin
CL
60.15%
PM
66.92%
Operating Margin
CL
20.23%
PM
40.75%
Profit Margin
CL
14.47%
PM
21.57%
ROE
CL
293.63%
PM
--
ROA
CL
15.34%
PM
14.94%

Growth

Revenue Growth
CL
1.9%
PM
9.4%
Earnings Growth
CL
1.1%
PM
13.1%

Financial Health

Debt/Equity
CL
6.8
PM
--
Current Ratio
CL
0.93
PM
0.85
Quick Ratio
CL
0.51
PM
0.37

Dividends

Dividend Yield
CL
2.66%
PM
3.78%
Payout Ratio
CL
57.14%
PM
78.76%

AI Verdict

CL NEUTRAL

Colgate-Palmolive (CL) trades at a slight discount to sector peers on P/E (21.86 vs 22.17) but faces meaningful headwinds from near-zero revenue growth (1.9% YoY) and deteriorating short-term momentum, with 1Y and 6M returns of -12.6% and -13.4%, respectively. The company maintains elite profitability—Gross Margin of 60.15%, Operating Margin of 20.23%, and ROE of 293.63%—supported by consistent earnings beats over the last 25 quarters, though recent Q/Q EPS growth has turned negative. Elevated leverage (Debt/Equity: 6.80) and weak liquidity (Current Ratio: 0.93) raise structural concerns, while the 2.66% dividend yield offers modest income appeal with a sustainable 57% payout ratio. Analysts are constructive with a $87.26 target implying ~12% upside, but lack of insider activity and stagnant top-line expansion cap near-term catalysts.

Strengths
Exceptional profitability: 60.15% gross margin and 20.23% operating margin, among the highest in consumer defensive sector
Outstanding ROE of 293.63%, reflecting aggressive leverage and efficient equity utilization
Consistent earnings outperformance: 22 out of last 25 quarters beat estimates, with 4-quarter average surprise of 3.78%
Risks
Anemic growth: Revenue up only 1.9% YoY and Q/Q EPS declining -1.1%, signaling stagnation
High financial leverage: Debt/Equity ratio of 6.80, significantly above safe thresholds and likely sector highs
Weak liquidity position: Current ratio of 0.93 and quick ratio of 0.51 indicate potential near-term solvency pressure
PM BULLISH

Philip Morris International (PM) presents a compelling investment case supported by strong profitability, consistent earnings growth, and a resilient dividend profile. Despite near-term price weakness over the past six months (-7.3%), the stock has delivered exceptional long-term returns (+153.1% over 5Y), underpinned by robust YoY EPS growth of 17.3% and a track record of beating earnings estimates in 22 of the last 25 quarters. The company’s high operating margin (40.75%) and gross margin (66.92%) reflect pricing power and cost discipline in a defensive sector, while its forward P/E of 21.59 appears justified given growth and stability. Analysts concur with a unanimous buy rating and a $185.75 target price, implying ~19.5% upside, reinforcing confidence in continued outperformance.

Strengths
Exceptional profitability with operating margin of 40.75% and gross margin of 66.92%, among the highest in consumer defensive sector
Consistent earnings growth: 13.1% YoY and 17.3% most recent Q/Q EPS growth, demonstrating strong underlying momentum
Outstanding earnings surprise record: 22 out of 25 quarters beat estimates, with an average surprise of +4.82% over the last four
Risks
Negative Price/Book ratio (-22.17) suggests deep negative equity, likely due to aggressive share buybacks exceeding retained earnings
Weak liquidity profile: current ratio of 0.85 and quick ratio of 0.37 indicate potential near-term cash flow pressure
Missing key financials (debt/equity, EV, cash/debt) limits full health assessment and raises transparency concerns

Compare Another Pair

CL vs PM: Head-to-Head Comparison

This page compares Colgate-Palmolive Company (CL) and Philip Morris International Inc. (PM) across key fundamental metrics including valuation ratios, profitability margins, growth rates, financial health indicators, and dividend metrics. Each metric highlights the better-performing stock so you can quickly identify relative strengths and weaknesses.

Our AI engine independently analyzes each company's financials, competitive position, and market conditions to produce a verdict (Bullish, Neutral, or Bearish) along with key strengths and risks. Use this comparison alongside your own research to make informed investment decisions.

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