CL (Colgate-Palmolive Co) Technical Analysis

CL Technical Analysis leverages historical price and volume data to provide real-time indicator values and signals, including RSI, MACD, Bollinger Bands, and volume, to reflect market momentum, volatility ranges, and price-volume dynamics. It also integrates market sentiment metrics such as the VIX volatility index, Advance-Decline ratio (A/D ratio), and Put/Call options ratio for broader market context. Multi-timeframe views span from minute intervals to daily, weekly, and monthly charts, making it easy to track indicator behavior across periods. Key support and resistance levels are displayed alongside current prices, calculated via pivots, Fibonacci retracements, and historical extremes to offer an immediate overview of market structure.
CL
CL

Colgate-Palmolive Co

$92.38+0.86%
Today's High$92.70
Today's Low$90.98
Today's Open$90.98
Yesterday's Close$91.59

CL (Colgate-Palmolive Co) Technical Analysis Overview

AI CreationAs of June 30, 2026, Colgate-Palmolive Co (CL) is showing mildly bullish movement. The MACD Level at 1.0081 confirms a golden cross formation with buy signal, indicating sustained upside momentum strengthening, while the RSI(14) reading of 57.9491 sits in the neutral-to-strong zone, suggesting balanced directional bias with a slight lean toward buyer control. The moving average system remains in strong bullish alignment, with EMA10 at 91.1109, EMA20 at 90.266, EMA50 at 88.9764, and SMA200 at 84.6575 all stacking in bullish order, confirming that structural advantage favors buyers. However, the ADX(14) reading of 15.774 signals weak trend strength, falling below the 20 threshold and implying consolidation rather than an aggressive advance.

Oscillators

Strong Sell
Strong Buy
Neutral
2
Sell
7
Neutral
2
Buy

Summary

Strong Sell
Strong Buy
Buy
2
Sell
8
Neutral
16
Buy

Moving Averages

Strong Sell
Strong Buy
Strong Buy
0
Sell
1
Neutral
14
Buy

CL (Colgate-Palmolive Co) Live Candlestick Chart

CL (Colgate-Palmolive Co) Multi-Timeframe Technical Rating

Summary1H4H1D1W
Moving Averages (15)140140140140
Oscillators (11)NeutralNeutralNeutralNeutral
RSI (14)58.559.859.760.3
MACD (12,26)Golden CrossGolden CrossGolden CrossGolden Cross

CL (Colgate-Palmolive Co) Technical Indicator Interpretation

Based on 1-day closing price series

Oscillators

NameValueOperation
RSI(14)
59.7443Neutral
Stochastic %K (14, 3, 3)
83.7252Sell
Commodity Channel Index (CCI) (20)
99.7979Neutral
Average Directional Index (ADX) (14)
15.8748Neutral
Awesome Oscillator (AO)
2.0026Neutral
Momentum Indicator (10)
1.9Buy
MACD Level (12, 26)
1.0518Buy
Stochastic RSI Fast (3, 3, 14, 14)
88.9864Sell
Williams Percent Range (%R) (14)
-11.5556Neutral
Bull Bear Power (BBP)
2.2799Neutral
Ultimate Oscillator (UO) (7, 14, 28)
56.5987Neutral

Moving Averages

NameValueOperation
EMA (10)
91.3416Buy
SMA (10)
91.181Buy
EMA (20)
90.4655Buy
SMA (20)
89.713Buy
EMA (30)
89.8631Buy
SMA (30)
89.8437Buy
EMA (50)
89.1086Buy
SMA (50)
88.37Buy
EMA (100)
88.0041Buy
SMA (100)
89.1592Buy
EMA (200)
87.1133Buy
SMA (200)
84.7028Buy
Ichimoku Kinko Hyo Base Line (9, 26, 52, 26)
88.69Neutral
Volume-Weighted Moving Average (VWMA) (20)
89.5073Buy
Hull Moving Average (HMA) (9)
92.5592Buy

CL (Colgate-Palmolive Co) Pivot Points

Based on 1-day timeframe

PriceClassicFibonacciCamarillaWoodieDM
R3107.246798.466794.0945104.905-
R298.466795.112793.289798.9925-
R195.073393.040692.484896.12596.77
Pivot P89.686789.686789.686790.212590.535
S186.293386.332790.875287.34587.99
S280.906784.260690.070381.4325-
S372.126780.906789.265578.565-

CL (Colgate-Palmolive Co) Market Sentiment Index

Analyst Rating95.85
Options Put/Call Ratio+182.68%
Implied Volatility (IV)49.26

CL (Colgate-Palmolive Co) Deep Technical Analysis

As of June 30, 2026, Colgate-Palmolive Co (CL) is exhibiting a mildly bullish technical structure. The MACD Level at 1.0081 confirms a golden cross formation with buy signal confirmation, implying sustained momentum strengthening in the near term. The RSI(14) at 57.9491 occupies the neutral-to-strong range (45–70), indicating that neither overbought nor oversold conditions exist; instead, bulls and bears remain in relative equilibrium with a slight lean toward buyer control. **CL technical analysis** reveals that short-term momentum remains constructive despite mixed trend-strength signals. The Average Directional Index (14) at 15.774 signals neutral trend strength, falling below the 20 threshold and suggesting a weak directional structure; this reading implies the market is more prone to consolidation and sideways movement rather than a decisive trending phase. The Commodity Channel Index (20) at 84.162 similarly registers neutral, indicating that oscillator momentum is not reaching extreme levels; the Momentum (10) at 1.32 with a sell signal suggests that short-term momentum may be losing steam, though the overall backdrop remains balanced. The moving average system presents a strongly bullish alignment across all timeframes. EMA10 at 91.1109 trades above EMA20 at 90.266, which sits above EMA50 at 88.9764, creating a classic bullish cascade; SMA20 at 89.5095 aligns closely with the exponential averages, while SMA200 at 84.6575 anchors the longer-term uptrend below current price action. This stacking of moving averages confirms that the CL price forecast reflects medium-term support structure intact, with the price holding above all key averages and suggesting that the broader trend remains tilted toward buyers. In terms of key levels, the Fibonacci retracement framework identifies resistance targets at R1 (91.9696), R2 (93.9075), and R3 (97.0441), while support rests at S1 (85.6963), S2 (83.7584), and S3 (80.6217). The last price of 91.70 sits just below the first resistance level, positioning the market in a zone where near-term buyers retain control; a sustained break above R1 would extend the advance toward R2. The intraday range from low 90.61 to high 92.11 shows modest volatility, consistent with the weak ADX reading and suggesting traders should monitor whether the current price can sustain above the EMA20 level as a near-term support reference. The CL market analysis remains constructive, though the lack of strong trend confirmation warrants caution against overextending positions. On the market sentiment front, the analyst rating at 95.85 reflects a notably optimistic consensus, suggesting that professional strategists view the near-term Colgate-Palmolive price prediction favorably. The implied volatility at 53.2747 sits at a moderate level, indicating that option markets are pricing in meaningful uncertainty; the option put/call ratio of 2.28 leans toward defensive positioning, hinting at some underlying caution despite the bullish technical backdrop. Overall, the technical picture supports a constructive near-term outlook, though the interplay between bullish moving average alignment and weak trend-strength metrics suggests traders should remain disciplined about position sizing and watch for confirmation of a break through resistance before committing to larger moves.

FAQ

What is the current technical rating for CL?

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On the 4H timeframe, the aggregate technical rating for CL is Buy. This rating is dynamically aggregated from moving averages and momentum oscillators to reflect the prevailing trend direction and price velocity.

Where are the key support and resistance levels for CL?

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What are the current RSI and MACD signals for CL?

x

How often is the CL technical analysis data updated?

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