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Colgate Palmolive (CL) Technical (Analysis) Reports Colgate Palmolive ["Technical Analysis"] Reports -USA Stock Exchange MunafaSutra.com

Complete & easy to understand technical analysis of Colgate Palmolive (CL)

Technical Analysis Report for USA stock CL Colgate Palmolive. Dated: 05 Jun 2026 Updated Daily. Stock trades under Consumer Non Durables Deals in Package Goods Cosmetics in USA stock exchange

If you are looking for Tomorrow's Movement Predictions for USA stock CL Colgate Palmolive then click here. or read Experts views on Colgate Palmolive or Forecast & share price targets of Colgate Palmolive

Colgate Palmolive Opened at 85.34 and Closed at: 88.58, which is 3.93% of previous session's close. It moved within a range of 84.85 and 89.59
The session was a Bullish session with an average volume of 3115252, which is -80.92% of previous session's volumes.

  • There is some positive change in the short term trend, but its too soon to jump onto conclusions.
  • There is some positive change in the mid term trend, but its too soon to jump onto conclusions.
  • There is some positive change in the long term trend, but its too soon to jump onto conclusions.

Support for tomorrow is 86.72 and resistance for tomorrow is 91.46
These support and resistance points are valid for the first 5-15 minutes charts

Above are simple pivot point calculations. For a list of much stronger support and resistance levels click here. These are way more stronger support and resistance levels, and mark trend reversals and are Support & Resistance levels recommended by experts.

Support for tomorrow's hourly charts is 85.76, 82.93 resistance for tomorrow's hourly charts is 90.5, 92.41

10 Day SMA for Colgate Palmolive (CL) is 88.88 and stock is trading below these levels. This is not a good sign for its short term trend

20 Day SMA for Colgate Palmolive (CL) is 88.8 and the stock is trading below these levels. This is not a good sign for its mid term trend

50 Day SMA for Colgate Palmolive (CL) is 86.5 and the stock is trading above these levels. This is a good sign for its mid to long term trend

100 Day SMA is 88.79 and the stock is trading below these levels. This is not a good sign for its long term trend

200 Day SMA Colgate Palmolive is 84.25 and stock is trading above these levels. This is a good sign for its long term trend

20 DMA of Colgate Palmolive is at 88.8 and 200 DMA is at 84.25, while 50 DMA and 100 DMA are at 86.5 and 88.79 respectively

Colgate Palmolive (CL) moving average of 20 SMA is at 88.8 and 20 EMA is at 88.23

Colgate Palmolive (CL) moving average of 50 SMA is at 86.5 and 50 EMA is at 87.71

Colgate Palmolive (CL) moving average of 100 SMA is at 88.79 and 100 EMA is at 87.07

Colgate Palmolive (CL) moving average of 200 SMA is at 84.25 and 200 EMA is at 86.61

Colgate Palmolive has performed better than Us Foods in short term. Holding Colgate Palmolive could be a better choice for now!

Colgate Palmolive has performed better than Tyson Foods in short term. Holding Colgate Palmolive could be a better choice for now!

Colgate Palmolive has performed better than Boston Beer in short term. Holding Colgate Palmolive could be a better choice for now!

Colgate Palmolive has performed better than Post Holdings in short term. Holding Colgate Palmolive could be a better choice for now!

Myers Industries has performed better than Colgate Palmolive in short term. You could have earned much better returns by investing in Myers Industries, about 2.13% more returns!

Colgate Palmolive has performed better than Mccormick Company in short term. Holding Colgate Palmolive could be a better choice for now!

Colgate Palmolive has performed better than Lamb Weston in short term. Holding Colgate Palmolive could be a better choice for now!

Colgate Palmolive has performed better than Hershey Company in short term. Holding Colgate Palmolive could be a better choice for now!

Colgate Palmolive has performed better than Caleres Inc in short term. Holding Colgate Palmolive could be a better choice for now!

Arrow Electronics has performed better than Colgate Palmolive in short term. You could have earned much better returns by investing in Arrow Electronics, about 11.2% more returns!

Colgate Palmolive has performed better than Arlo Technologies in short term. Holding Colgate Palmolive could be a better choice for now!

Archer Daniels has performed better than Colgate Palmolive in short term. You could have earned much better returns by investing in Archer Daniels, about 3.02% more returns!

United Guardian has performed better than Colgate Palmolive in short term. You could have earned much better returns by investing in United Guardian, about 0.86% more returns!

Superior Group has performed better than Colgate Palmolive in short term. You could have earned much better returns by investing in Superior Group, about 9.62% more returns!

Colgate Palmolive has performed better than Limoneira Co in short term. Holding Colgate Palmolive could be a better choice for now!

Colgate Palmolive has performed better than Jakks Pacific in short term. Holding Colgate Palmolive could be a better choice for now!

Colgate Palmolive has performed better than Future Fintech in short term. Holding Colgate Palmolive could be a better choice for now!

Colgate Palmolive has performed better than Fossil Group in short term. Holding Colgate Palmolive could be a better choice for now!

Crocs Inc has performed better than Colgate Palmolive in short term. You could have earned much better returns by investing in Crocs Inc, about 13.99% more returns!

Colgate Palmolive Technical analysis of indicators

Price action analysis of Colgate Palmolive (CL) based on a short term time period is definitely negative. This means that there is a strong downtrend in the stock for given time period. Sellers are extremely active on this stock.

ADX buy sell signal for Colgate Palmolive stock for short term is SELL. Signal strength is Weak and stock is losing momentum.

MACD generated a SELL signal for Colgate Palmolive in short term but the sell signal is initial and weak.

MACD line is moving upwards which means that SELL signal is weakening, and buying is picking up momentum.

Colgate Palmolive Stock is trading near its recent LOWS in short term which reflects strong selling momentum. Bears are weakening, and bulls are picking up momentum!

Ichimoku cloud is of green color and prices are above the green cloud Prices appear to be moving up

CCI has generated a buy signal for Colgate Palmolive in short term but BUY signal is weak.

RSI is generating a SELL signal in short term but selling is losing momentum.

MRSI is in positive zone. This is a BUY zone

Stock of Colgate Palmolive is picking up buying momentum according to indicator.

Volume based indicators are showing selling momentum.

Volume Weighted Averaged Price (VWAP) for short term is 88.8 and Colgate Palmolive CL stock is trading below this level. This means that stock is falling with high volumes. VWAP is falling down

People seem to be coming out and selling the Colgate Palmolive CL stock. Volume based technical analysis of Colgate Palmolive CL stock is negative.

Colgate Palmolive Stock has given negative returns over a short term period. Returns for a longer term period have been positive

Force Index is moving in a negative zone, which indicates selling momentum for short term... Selling momentum is getting weaker.

Tomorrow's Predictions

You should also read Tomorrow's Movement Predictions for USA stock CL Colgate Palmolive These predictions are based on various factors, are easy to understand, and upto 75% accurate!

And CL Experts View which covers a lot of information including buying and selling signals

CL future forecast & share price targets

You can also take a look at the Charts and indicator analysis here Announcements & NEWS by Colgate Palmolive or View Candle Stick Charts here

Chart Colgate Palmolive (CL)  Technical (Analysis) Reports Colgate Palmolive [

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