INFORMED.
LIVE

Colgate-Palmolive (India) Ltd.

BSE: COLPAL500830ISIN INE259A01022
  • Fast Moving Consumer Goods
  • Personal Care
  • BSE 200

Share price

₹1,885.00+28.60 (+1.54%)
as of 18 Sep 2026
Colgate-Palmolive (India) Ltd. share price, 18 Sep 2025 to 18 Sep 2026: ₹2,366.05 to ₹1,885.00 (-20.3%). Low ₹1,797.60, high ₹2,366.05. Volume shown below the price.
52W high
₹2,378.00
52W low
₹1,781.60
Off 52W high
-20.73%
1M return
+0.48%
3M return
-5.65%
6M return
-0.59%
1Y return
-20.33%
20D avg volume
20,153
50 DMA
₹1,959.03
200 DMA
₹2,052.30

Key ratios Standalone

Market cap
₹51,269 Cr
Current price
₹1,885.00
52W high / low
₹2,378.00 / ₹1,781.60
Face value
₹1.00
P/E
38.04
P/B
31.02
EPS (TTM)
₹49.55
Book value / share
₹60.77
ROE
81.55%
ROCE
107.40%
Operating margin
31.34%
Net margin
21.40%
Debt / equity
0.00
Net debt
₹-1,426 Cr
Interest cover
471.70
Dividend yield
2.55%
Dividend / share (TTM)
₹48.00
Payout
96.87%
Cash conversion cycle
-48.3 days

About

In plain English

Colgate-Palmolive (India) makes the toothpaste, toothbrushes, and mouthwash you see in practically every Indian supermarket and chemist—think Colgate Dental Cream or Colgate Max Fresh. It also sells soaps and home-care products like Palmolive liquid hand wash. The company sells these everyday essentials to millions of households, and it earns money every time a family buys a tube or a bottle at a store. Its customers are both retail shoppers and distributors who stock kirana shops, modern trade chains, and online platforms. Because the brand is so trusted, it can charge a slight premium over local competitors, and it often runs promotions to keep people buying regularly.

AI-generated summary, written from the company's own filings and disclosures. Every figure elsewhere on this page comes from exchange data, not from a model. See our editorial standards. Generated 4 Jul 2026.

Financials

MetricQ1 FY27Q4 FY26Q3 FY26Q2 FY26Q1 FY26Q4 FY25Q3 FY25Q2 FY25Q1 FY25Q4 FY24Q3 FY24Q2 FY24
Income statement
1,6031,5951,4861,5201,4341,4631,4621,6191,4971,4901,3961,471
22.8016.8739.2815.0317.9419.0620.4075.9823.4022.6517.8921.01
1,1611,1221,0811,0921,0201,0041,0501,1651,0311,001970.141,034
432.77426.79372.24393.68345.73386.47345.42445.66401.56387.72334.36369.94
89.5177.1374.1584.4340.0265.3198.6387.5958.3352.2763.5270.36
129.26120.80117.84118.06118.20107.27108.83118.35112.3399.92109.83106.21
1.030.810.970.991.021.081.111.150.981.361.511.05
39.2135.0836.2537.1937.5438.3741.1341.7341.5142.1041.3744.28
509.54483.99479.95471.81417.66427.46
465.53490.61444.09442.28431.95477.62432.52530.45489.25511.36443.40457.81
-3.34-16.58-8.390.000.000.00
462.19474.03435.70442.28431.95477.62432.52530.45489.25511.36443.40457.81
119.11120.71111.84114.77111.33122.62109.74135.40125.27131.54113.29117.76
343.08353.32323.86327.51320.62355.00322.78395.05363.98379.82330.11340.05
12.6112.9911.9112.0411.7913.0511.8714.5213.3813.9612.1412.50
Key metrics
502.43509.92472.92480.46470.51517.07474.76573.33531.74554.82486.28503.14
31.30%32.00%31.80%31.60%32.80%35.40%32.50%35.40%35.50%37.20%34.80%34.20%
21.40%22.10%21.80%21.60%22.40%24.30%22.10%24.40%24.30%25.50%23.70%23.10%
28.50%26.60%27.50%
11.80%9.10%1.70%-6.20%-4.20%-1.80%4.70%10.10%
7.00%-0.50%0.30%-17.10%-11.90%-6.50%-2.20%16.20%
MetricTTMFY26FY25FY24FY23FY22FY21FY20FY19FY18
Income statement
6,2046,0356,0405,6805,2265,1004,8414,5254,4624,328
93.9889.12138.8476.5253.5826.2630.3549.2437.6638.82
4,4564,3154,2493,9563,8593,7173,5213,5313,3883,373
1,6251,5381,5791,4581,4921,3681,2501,3501,3281,189
325.22275.73309.86244.91297.77296.08323.59244.11254.58284.43
485.96474.90446.78411.73376.97385.13365.64332.28295.90305.93
3.803.794.325.004.915.897.269.622.50
147.73146.06162.74171.51174.80177.30182.50197.94159.17156.51
1,9451,8531,817
1,8431,8091,9301,8011,4211,4091,3501,0431,112994.68
-28.31-24.970.00-19.50-11.2130.51-11.65
1,8141,7841,9301,7811,4101,4091,3501,0431,143983.03
466.43458.65493.03457.67362.53330.69314.83226.90366.99309.66
1,3481,3251,4371,3241,0471,0781,035816.47775.57673.37
49.5548.7352.8348.6738.5039.6538.0730.0228.51
Key metrics
1,9661,9342,0971,9581,5891,5921,5401,2511,3041,140
31.68%32.00%34.70%34.50%30.40%31.20%31.80%27.60%29.20%26.30%
21.72%22.00%23.80%23.30%20.00%21.10%21.40%18.00%17.40%15.60%
107.40%111.10%
-0.10%6.30%8.70%2.50%5.30%7.00%1.40%3.10%
-7.80%8.50%26.40%-2.90%4.10%26.80%5.30%15.20%
1,7301,323
1.360.97
0.000.00
-1,426-668.10
-48.3-19.1
Balance sheet
3,4083,019
2,2312,108
1,426668.10
209.23226.25
376.30377.26
165.3750.92
718.25776.46
1,386920.79
1,7431,277
0.000.00
0.000.00
0.000.00
1,5841,664
Cash flow
1,8061,394
373.6255.97
-1,422-1,671
76.4671.42

Compounded growth

Sales CAGR 3Y
+4.91%
Sales CAGR 5Y
+4.51%
Sales CAGR 10Y
Profit CAGR 3Y
+8.17%
Profit CAGR 5Y
+5.06%
Profit CAGR 10Y
Sales YoY (TTM)
+3.79%
Profit YoY (TTM)
-3.28%

Compounded from reported annual figures. We publish no share-price CAGR: our prices are as-traded, so one would be wrong across every split and bonus issue.

Shareholding as of 30 Jun 2026

Promoter holding
51.00%
HolderTypeHoldingPreviousChange
Colgate-Palmolive CompanyPromoter40.06%
Colgate-Palmolive (Asia) Pte LtdPromoter Group10.94%
Life Insurance Corporation Of IndiaPublic5.39%
Sbi Large & Midcap FundPublic3.15%
Nippon Life India Trustee Ltd-A/C Nippon India Multi Cap FundPublic1.67%
Foreign BankPublic0.00%
Foreign Institutional InvestorsPublic0.00%
Norwood International IncorporatedPromoter Group0.00%

Public shareholders are disclosed individually only above 1%.

Filings & corporate actions

Recent announcements

Corporate actions

PurposeEx dateRecord datePayment date
Interim Dividend - Rs. - 24.00001 Jun 20261 Jun 2026
Interim Dividend - Rs. - 24.00003 Nov 20253 Nov 2025
Interim Dividend - Rs. - 27.000028 May 202528 May 2025
Interim Dividend - Rs. - 24.00004 Nov 20244 Nov 2024

Board meetings

  • Board Meeting - Financial Results