Receive FRESH Daily Updates for 17 StockRing Reports for $30/month !!!
1. Dow Jones Index - 30 Stocks on TODAY : Buy
77% or 23 Hold
16% or 5 Sell
7% or 2 stocks
2. Best Brands - 200 stocks on TODAY : Buy
66% or 132 Hold
13% or 26 Sell
21% or 41 stocks
3. Hot News - 200 stocks on 10/6/2009: Buy
73% or 146 Hold
-4% or -9 Sell
31% or 62 stocks
4. S&P 500 Index - 500 Stocks on 7/21/2009:
Buy
68% or 341 Hold
21% or 106 Sell
11% or 53 stocks
5. S&P 400 Mid Cap - 400 Stocks on 7/21/2009: Buy
73% or 292 Hold
15% or 61 Sell
12% or 47 stocks
6. S&P 600 Small Cap - 600 Stocks on 4/18/2009: Buy
66% or 395 Hold
26% or 156 Sell
8% or 49 stocks
7. Nasdaq 100 Index - 100 Stocks on 7/21/2009: Buy
75% or 75 Hold
17% or 17 Sell
8% or 8 stocks
8. Nasdaq Telecom - 164 Stocks on 7/24/2009: Buy
49% or 81 Hold
35% or 56 Sell
16% or 27 stocks
9. Nasdaq Biotech - 136 Stocks on 7/24/2009: Buy
57% or 78 Hold
33% or 45 Sell
10% or 13 stocks
10. Nasdaq Computer - 440 Stocks on 7/22/2009: Buy
60% or 263 Hold
26% or 115 Sell
14% or 62 stocks
11. Nasdaq Finance - 180 Stocks on 7/24/2009: Buy
61% or 109 Hold
6% or 12 Sell
33% or 59 stocks
12. NYSE International - 100 Stocks on 7/21/2009: Buy
58% or 58 Hold
34% or 34 Sell
8% or 8 stocks
13. Legg Mason Mutual - 346 Funds on 10/6/2009: Buy
38% or 133 Hold
51% or 176 Sell
11% or 37 funds
14. T. Row Price Mutual - 161 Funds on 10/6/2009: Buy
52% or 84 Hold
46% or 73 Sell
2% or 4 funds
15. London FTSE 100 - 94 Stocks on 4/1/2009: Buy
20% or 19 Hold
50% or 47 Sell
30% or 28 stocks
16. Canada Toronto - 209 Stocks on 4/18/2009: Buy
53% or 111 Hold
34% or 70 Sell
13% or 28 stocks
17. World Markets - 72 Indexes on 10/23/2009: Buy
86% or 60 Hold
4% or 3 Sell
10% or 7 indexes
TOTAL RATINGS:
Buy
79% or 2400 Hold
2% or 993 Sell
19% or 535 stocks
Video: 10-10-09 - Stock Market Report for S&P 500 stocks
10/26/2009 Monday, October 26, 2009 (Irvine, California) Today StockRing.com Recommendation is to "BUY"for COLGATE PALMOLIVE (NYSE:CL) Stock.
CL stock opening price was $77.92 per share.
Current price of NYSE:CL Stock is $78.42 per share
and it is
$+0.70, (+0.90%) today
and it was trading in the daily range of $77.55 - 78.58 per share.
Current Bid Price for (NYSE:CL) stock is $78.39 and the Ask Price is $78.42. In the last 52 weeks
CL stock was trading in the range of $54.36 - 80.41. 50-Day Moving Average for (NYSE:CL) stock is
$76.622 and 200-Day Moving Average is $70.4055. On average analysts predict that One Year Target Estimated price for
(NYSE:CL) stock is $83.40.
COLGATE PALMOLIVE (NYSE:CL) Market capitalization is $39.087B. (NYSE:CL) stock average daily volume is
2,685,510 shares per day.
However, on last trading session of 11:05am, 2009
CL stock traded 611,593 shares.
Also The Short Ratio for (NYSE:CL) stock is 2.70.
On previous trading session CL Stock closed at $77.72 per share.
Last year COLGATE PALMOLIVE (NYSE:CL) before taxes (EBITDA) (ttm) earned $3.640B on total revenue of $14.900B.
Earnings Per Share - EPS (ttm) for CL stock is 3.908.
Also, (NYSE:CL) Stock Price Per Earnings ratio - P/E is 19.89.
Thus, (NYSE:CL) Stock Price/Sales (ttm) ratio is 2.60 and Price/Book (mrq) ratio is 16.37.
(NYSE:CL) Stock pays a dividend of $1.72 per share which is a yield of 2.21%.
So at this time (NYSE:CL) Stock maintains Trailing Annual Dividend Rate at 1.72
.
StockRing Recommendations for COLGATE PALMOLIVE (NYSE:CL) Stock are updated daily here
http://www.StockRing.com/sr/StockDetail.asp?StockName=CL
If you would like to receive Buy-Sell-Hold ratings for over 50,000 stocks, mutual funds, and ETFs go to StockRing web site: http://www.StockRing.com.
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CL Stock Charts: 1d 5d 3m 6m 1y 2y 5y Max News
Options! More Info
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1 Year Dow Jones Chart |
1 Year S&P 500 Chart |
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1 Year Nasdaq Chart |
1 Year Canada Chart |
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5 Days Dow Jones Chart |
5 Days S&P 500 Chart |
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5 Days Nasdaq Chart |
5 Days Canada Chart |
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CL Stock Charts: 1d 5d 3m 6m 1y 2y 5y Max News
Options! More Info
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Last Trade: |
78.42 |
Trade Time: |
11:05am |
Change: |
+0.70, (+0.90%) |
Prev Close: |
77.72 |
Open: |
77.92 |
Bid: |
78.39 |
Ask: |
78.42 |
1y Target Est: |
$83.40 |
50-Day Moving Average: |
76.622 |
200-Day Moving Average:
|
70.4055 |
Short Ratio: |
2.70 |
Trailing Annual Dividend Rate: |
1.72
|
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Day's Range: |
77.55 - 78.58 |
52wk Range: |
54.36 - 80.41 |
Volume: |
611,593 |
Avg Vol: |
2,685,510 |
Market Cap: |
39.087B |
P/E (ttm): |
19.89 |
EPS (ttm): |
3.908 |
Div & Yield: |
1.72 (2.21%) |
Revenue (ttm): |
14.900B |
Earnings before Tax (EBITDA) (ttm): |
3.640B |
Price/Sales (ttm): |
2.60 |
Price/Book (mrq): |
16.37 |
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Receive FRESH Daily Updates for 17 StockRing Reports for $30/month !!!
1. Dow Jones Index - 30 Stocks on TODAY : Buy
77% or 23 Hold
16% or 5 Sell
7% or 2 stocks
2. Best Brands - 200 stocks on TODAY : Buy
66% or 132 Hold
13% or 26 Sell
21% or 41 stocks
3. Hot News - 200 stocks on 10/6/2009: Buy
73% or 146 Hold
-4% or -9 Sell
31% or 62 stocks
4. S&P 500 Index - 500 Stocks on 7/21/2009:
Buy
68% or 341 Hold
21% or 106 Sell
11% or 53 stocks
5. S&P 400 Mid Cap - 400 Stocks on 7/21/2009: Buy
73% or 292 Hold
15% or 61 Sell
12% or 47 stocks
6. S&P 600 Small Cap - 600 Stocks on 4/18/2009: Buy
66% or 395 Hold
26% or 156 Sell
8% or 49 stocks
7. Nasdaq 100 Index - 100 Stocks on 7/21/2009: Buy
75% or 75 Hold
17% or 17 Sell
8% or 8 stocks
8. Nasdaq Telecom - 164 Stocks on 7/24/2009: Buy
49% or 81 Hold
35% or 56 Sell
16% or 27 stocks
9. Nasdaq Biotech - 136 Stocks on 7/24/2009: Buy
57% or 78 Hold
33% or 45 Sell
10% or 13 stocks
10. Nasdaq Computer - 440 Stocks on 7/22/2009: Buy
60% or 263 Hold
26% or 115 Sell
14% or 62 stocks
11. Nasdaq Finance - 180 Stocks on 7/24/2009: Buy
61% or 109 Hold
6% or 12 Sell
33% or 59 stocks
12. NYSE International - 100 Stocks on 7/21/2009: Buy
58% or 58 Hold
34% or 34 Sell
8% or 8 stocks
13. Legg Mason Mutual - 346 Funds on 10/6/2009: Buy
38% or 133 Hold
51% or 176 Sell
11% or 37 funds
14. T. Row Price Mutual - 161 Funds on 10/6/2009: Buy
52% or 84 Hold
46% or 73 Sell
2% or 4 funds
15. London FTSE 100 - 94 Stocks on 4/1/2009: Buy
20% or 19 Hold
50% or 47 Sell
30% or 28 stocks
16. Canada Toronto - 209 Stocks on 4/18/2009: Buy
53% or 111 Hold
34% or 70 Sell
13% or 28 stocks
17. World Markets - 72 Indexes on 10/23/2009: Buy
86% or 60 Hold
4% or 3 Sell
10% or 7 indexes
TOTAL RATINGS:
Buy
79% or 2400 Hold
2% or 993 Sell
19% or 535 stocks
DirecTV, Colgate: Top 5 Large-Cap Stocks
TheStreet.com - Oct 21, 2009
By Jake Lynch 10/21/09 - 05:00 AM EDT BOSTON (TheStreet) -- These companies have market caps larger than $10 billion and "buy" ratings from our quantitative model, which considers more than 60 ...
International Diversification Begins At Home
istockAnalyst.com - Oct 20, 2009
With the recent decline in the US dollar, investors are thinking more about international diversification . This can be accomplished by many different means such as buying a foreign stock, buying ...
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Return of 'feel good' spendingTrinidad & Tobago ExpressEarlier this year, Republic Bank managing director David Dulal-Whiteway had reported that (right in the wake of the CL Financial debacle) he was seeing a ... |
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