The lowest and highest of the models that produced a value. This is the spread of the methods, not a price target.
Price target range & 52-week position
Bear$2.63Fair value$48.56Bull$56.13
FairClose
52-week traded range
52W low $74.9852W high $99.14
The 52-week range is measured from the stored price history, not estimated.
Valuation summary
Trading above the consensus fair value
Colgate-Palmolive closed at $86.80, 78.7% above the consensus fair value of $48.56 drawn from 7 valuation models.
Financial DNA score 41/100 — Average. P/E of 33.0x against the 20x sector multiple the P/E model uses.
Quantitative summary only — not investment advice.
All valuation models
DCF Valuation
$56.13
-35.3%
Σ[CF×(1+g)^n/(1.10)^n] + TV/(1.10)^10
g=1%, r=10%, tg=3%, n=10yr
P/E Fair Value
$52.60
-39.4%
EPS × 20x (sector P/E)
EPS=2.63, Sector P/E=20x
Peter Lynch (PEG)
$2.63
-97.0%
EPS × Growth% (PEG = 1 is fair)
EPS=2.63, g=1%
EV/EBITDA
$42.72
-50.8%
(EBITDA × 10.5x − Net Debt) ÷ Shares
EBITDA=3.94B
Dividend Discount (DDM)
$26.56
-69.4%
D1 ÷ (r − g) where D1 = D0×(1+g)
D0=2.08, r=10%, g=2%
Reverse DCF
$86.80
+0.0%
Solve for g: Price = Σ[EPS×(1+g)^n/(1.10)^n] + TV
Implied: 13.9% | Historical: 1%
Margin of Safety
$40.77
-53.0%
Avg(DCF, Graham, P/E) × 75% (25% safety buffer)
Avg fair value=54.37, MoS=25%
Computed on September 12, 2026 from the most recent annual report on file and that day's closing price. Where a company has seen its earnings move sharply since its last annual report, this figure will lag the market.
Educational data only. Not a recommendation to buy, sell or hold any security.