# CL vs PG stock comparison

Canonical page: https://synoptiv.com/compare/cl-vs-pg
Last analyzed: CL Jul 30, 2026; PG Jul 14, 2026

Colgate-Palmolive Company (CL) and Procter & Gamble Company (PG) compared on valuation, profitability, price performance and market sentiment. CL sentiment is positive; PG is positive. Last analyzed Jul 30, 2026 and Jul 14, 2026.

## Side-by-side metrics

| Metric | CL | PG |
| --- | ---: | ---: |
| Last close | $93.49 | $147.04 |
| Market capitalization | $74.81B | $345.49B |
| Trailing P/E | 36 | 21.7 |
| Forward P/E | 23.1 | 21 |
| Net margin | 10.04% | 19.16% |

## Company context

- [CL](https://synoptiv.com/stock/CL): Colgate-Palmolive Company — Consumer Defensive, Household & Personal Products.
- [PG](https://synoptiv.com/stock/PG): Procter & Gamble Company — Consumer Defensive, Household & Personal Products.

## Frequently asked questions

### Which has the higher market cap, CL or PG?

PG has the higher market capitalization. CL is about $74.81B, compared with about $345.49B for PG.

### Which has the lower trailing P/E, CL or PG?

PG has the lower trailing P/E. CL trades at 36 times trailing earnings, versus 21.7 for PG.

### Which has stronger market sentiment, CL or PG?

CL has the stronger composite sentiment score. CL scores 28 and PG scores 20 on a −100 to +100 scale.

### Which pays the higher dividend yield, CL or PG?

PG has the higher indicated dividend yield. CL yields 2.27%, compared with 2.90% for PG.

## Important information

Market data can be delayed, incomplete, or wrong. This comparison is research and analysis, not financial advice.

- [Methodology](https://synoptiv.com/methodology)
- [Disclosures](https://synoptiv.com/disclosures)
