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Sector: FMCG

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Large Cap

Colgate-Palmolive Share Price

COLPAL

2,051

-12.00(-0.58%)
10th Jul 2026 | 3:28 PM
NSE : COLPAL
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Colgate-Palmolive Performance

Price Movement

₹2051.00

₹2047.10

₹2071.90

Today's LowToday's High

1 Year Performance

₹2051.00

₹1782.00

₹2504.00

52 Week Low52 Week High

Markets Today

High₹2,071.90
Low₹2,047.10
Open at₹2,069.40
Prev Close₹2,063.00
Volumes1.21 L
Avg Price₹2,055.06
Lower Circuit₹1,856.70
Upper Circuit₹2,269.30

Historical Performance

3M High₹2,223.70
3M Low₹1,878.10
1 Yr High₹2,504.00
1 Yr Low₹1,782.00
3 Yr High₹3,890.00
3 Yr Low₹1,752.25
5 Yr High₹3,890.00
5 Yr Low₹1,375.60

Summary

As of 10-07-2026 16:03, Colgate-Palmolive (India) Ltd. share price today is ₹0, with a change of ₹-2063.00 (-100.00%) from the previous close of ₹2063. The stock opened at ₹2069.4 and traded between ₹2047.1 and ₹2071.9, with a total traded volume of 120761 shares. The company has a market capitalization of ₹54943.8 Cr in the FMCG sector. while its 52-week high and low are ₹2504 and ₹1782, respectively.

Colgate-Palmolive (India) Ltd. valuation metrics include a P/E ratio of 41.5, and book value of ₹34.70. Profitability indicators show ROE of 83.66% along with a dividend yield of 2.4%. Colgate-Palmolive (India) Ltd. has reported revenue of ₹6035.04 Cr and net profit of ₹1325.31 Cr.

Colgate-Palmolive (India) Ltd. technical indicators include Day RSI at 46.62, Day MFI at 44.91, Day ADX at 14.62. Additional indicators include Commodity Channel Index (CCI) at 3.8 and Williams %R at -51.63. Momentum indicators show Day MACD at -2.66, Day MACD Signal Line at -10, DayATR at 47.59. Rate of Change indicators for Colgate-Palmolive (India) Ltd. include ROC125 at -3.52 and ROC21 at 0.73.

Exponential moving averages include EMA5 at ₹2047.1, EMA10 at ₹2040.5, EMA12 at ₹2038.9, EMA20 at ₹2038.8, EMA26 at ₹2041.5, EMA50 at ₹2051.6, EMA100 at ₹2073.3, EMA200 at ₹2146.1. Simple moving averages include SMA5 at ₹2057.1, SMA10 at ₹2031.3, SMA20 at ₹2032.6, SMA30 at ₹2030.6, SMA50 at ₹2078.7, SMA100 at ₹2065.6, SMA150 at ₹2083.8, SMA200 at ₹2121.7.

Support levels for Colgate-Palmolive are placed at First Support ₹1991.57, Second Support ₹1963.03, Third Support ₹1917.87. Resistance levels are seen at First Resistance ₹2065.27, Second Resistance ₹2110.43, Third Resistance ₹2138.97. Colgate-Palmolive (India) Ltd. shareholding pattern shows promoter holding at 51%, FII holding at 13.6%, DII holding at 0%, public holding at 19.87%.

Colgate-Palmolive Fundamentals

Market Cap
High in industry
54,943.80 Cr.
PE Ratio (TTM)
Above industry Median
41.50
Dividend Yield
Above industry Median
2.40
Net Profit TTM
8% decr over last year
1,325.31
Net Profit Growth
8% decr over last year
1,325.31
PEG Ratio
Negative PEG TTM
-5.30
ROE
3% decr over last year
83.66
Operating Revenue TTM
6,035.04
Operating Revenue Growth
0% decr over last year
Book Value
High in industry
34.70
MFI
MFI is mid-range
44.91
RSI
RSI is mid-range
46.62
EPS (TTM)
31.92
Debt to Equity
0.01
Face Value
-
Operating Profit Margin Qtr.
24.03
Operating Profit Qtr.
-
Net Profit Qtr.
-
Operating Revenue Qtr.
-
PB Ratio
34.70

Colgate-Palmolive Financials

*All values are in Rs. Cr
Loading chart...
Indicator
Mar 2026
Dec 2025
Sep 2025
Jun 2025
Mar 2025
Total Revenue1,595.351,486.131,519.501,434.061,462.51
Operating Expense1,085.721,044.101,054.07981.49964.50
Operating Profit509.63442.03465.43452.57498.01
Depreciation35.0836.2537.1937.5438.37
Interest0.810.970.991.021.08
Tax120.71111.84114.77111.33122.62
Net Profit353.32323.86327.51320.62355

Colgate-Palmolive Technicals

Colgate-Palmolive (India) Ltd. EMA & SMA

2051.00

-26.20 (-1.26%)

Bullish Moving Average

0

Bearish Moving Average

16

Day EMA5 ₹2047.1
Day EMA10 ₹2040.5
Day EMA12 ₹2038.9
Day EMA20 ₹2038.8
Day EMA26 ₹2041.5
Day EMA50 ₹2051.6
Day EMA100 ₹2073.3
Day EMA200 ₹2146.1

Colgate-Palmolive Support and Resistance

Resistance

First Resistance₹2065.27
Second Resistance₹2110.43
Third Resistance₹2138.97

Support

First Support₹1991.57
Second Support₹1963.03
Third Support₹1917.87

Technical Indicators

Day RSI46.62
Day MFI44.91
Day ADX14.62
Day Commodity Channel Index3.80
William-51.63
Day MACD-2.66
Day MACD Signal Line-10.00
Day ATR47.59
Day ROC125-3.52
Day ROC210.73

Colgate-Palmolive Shareholding Pattern

Held ByDec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Promoter515151515151
FII23.722.220.417.215.213.6
DII6.98.29.612.213.815.5
Public18.418.61919.62019.9

Colgate-Palmolive Delivery And Volume

PeriodCombined Delivery VolumeNSE+BSE Traded Volume AvgDaily Avg Delivery Volume %
Day93.79 K1.81 L51.96%
Week1.26 L2.25 L56.13%
1 Month2.34 L4.66 L50.17%
6 Month2.25 L4.65 L48.33%

Colgate-Palmolive SWOT Analysis

Strengths8
Weakness7
Opportunity2
Threats0

Companies with no Debt

Benjamin Graham Value Screen

Expensive Performers (DVM)

PEG lower than Industry PEG

Growth in Net Profit with increasing Profit Margin (QoQ)

Strong cash generating ability from core business - Improving Cash Flow from operation for last 2 years

Companies with Zero Promoter Pledge

Stocks Outperforming their Industry Price Change in the Quarter

Colgate-Palmolive Corporate Action

Ex-Date
Dividend Amount
Dividend Type
Record Date
Instrument Type
01 Jun, 202624INTERIM01 Jun, 2026Equity Share
03 Nov, 202524INTERIM03 Nov, 2025Equity Share
28 May, 202527INTERIM28 May, 2025Equity Share
04 Nov, 202424INTERIM04 Nov, 2024Equity Share
22 May, 202410SPECIAL23 May, 2024Equity Share
22 May, 202426INTERIM23 May, 2024Equity Share
06 Nov, 202322INTERIM06 Nov, 2023Equity Share
19 May, 202321INTERIM20 May, 2023Equity Share
31 Oct, 202218INTERIM01 Nov, 2022Equity Share
05 May, 202221INTERIM07 May, 2022Equity Share

Colgate-Palmolive Stock Comparison

Financials
Price (₹)₹190₹1,088.80₹852.70₹903.30₹212.95₹7,850
% Change2.33%0.13%-0.85%-0.14%1.40%0.79%
Revenue TTM (₹ Cr)₹74,730.67₹15,486.51₹13,611₹9,808.49₹357.71₹3,099.53
Net Profit TTM (₹ Cr)₹1,042.05₹1,861.47₹1,762₹386.69₹108.23₹654.31
PE TTM22.6059.1061.9052.00244.7038.40
1 Year Return-31.08-15.8315.41-7.8811.1-27.91
ROCE17.0223.1539.0018.2530.86-

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