CL

Colgate-Palmolive Company

  • sector: Consumer Defensive
  • exchange: NYSE
  • in 3 Arithmos indices

Indices that include CL 3/3

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  1. #1

    Recession-Resilient US Defensive 20 — Equal-Weighted

    CL · 5.00%JNJABBVUNHMRK+15 more

    Global consumer products company with oral care, personal care, and home care brands; 60% gross margin and 3% dividend yield indicate stable FCF. Equal-weighted per user specification.

    CAGR
    8.6%
    Sharpe
    0.57
    max DD
    -26.3%
  2. #2

    Recession-Resilient US Defensive 20 — Equal-Weighted

    CL · 5.00%PGKOPEPMDLZ+15 more

    Global oral care and personal products leader with $66B market cap and 60% gross margin. Equal-weighted at 5%; essential consumer products category with consistent demand.

    CAGR
    2.5%
    Sharpe
    0.20
    max DD
    -14.2%
  3. #3

    Beauty & Cosmetics Index

    CL · 7.00%LRLCYELPGULTA+5 more

    Personal care leader with premium oral and skin franchise.

    CAGR
    Sharpe
    max DD

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Performance figures are simulated backtests, not live returns. Past performance does not predict future results. Arithmos is a research and data tool, not investment advice.

Investment research & data tool · not investment advice · not a regulated broker or advisor · past performance does not guarantee future results.