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The Portfolio That Gives You a $2,000 Raise Every Year
24/7 Wall St.28d agoneutral
The Portfolio That Gives You a $2,000 Raise Every Year

Most investors chase the biggest yield they can find, but the portfolio that actually grows your income year after year is built on a completely different logic. Here is how dividend math quietly delivers something that usually requires a performance review.

Colgate-Palmolive (CL) Faces A Margin Growth Debate, Is The Upside Already Priced In?
Simply Wall St.31d agoneutral
Colgate-Palmolive (CL) Faces A Margin Growth Debate, Is The Upside Already Priced In?

Colgate-Palmolive (CL) is back in focus after fresh analysis highlighted its 60.4% gross margin and 17.8% free cash flow margin over the last two years, alongside slower organic revenue growth of 3.6%. See our latest analysis for Colgate-Palmolive. At a share price of $91.03, Colgate-Palmolive has pulled back in the last week with a 7 day share price return down 4.21%. Its 90 day share price return of 9.03% and year to date share price return of 17.17% indicate momentum over a longer stretch,...

Colgate-Palmolive (CL) Stock Looks Rich Relative To Its Earnings Valuation
Simply Wall St.32d agoneutral
Colgate-Palmolive (CL) Stock Looks Rich Relative To Its Earnings Valuation

Colgate-Palmolive stock has delivered a 32.4% total return over the past three years, yet there is a clear split in what the valuation tools are saying, with the Discounted Cash Flow (DCF) intrinsic value estimate pointing to upside while market multiples suggest the shares are already pricing in a lot of optimism. A 32.4% return over three years suggests Colgate-Palmolive has rewarded patient shareholders, which raises the bar for any new buyers looking for clear value. Stronger cash...

2 Reasons to Like CL (and 1 Not So Much)
StockStory33d agoneutral
2 Reasons to Like CL (and 1 Not So Much)

Colgate-Palmolive trades at $92.24 and has moved in lockstep with the market. Its shares have returned 11.2% over the last six months while the S&P 500 has gained 8.4%.

Investing.com33d agobullish
UAE oil output jumped 80% in June after leaving OPEC

Investing.com -- The United Arab Emirates reported to OPEC that its oil production increased by 80% in June after leaving the producer group, according to a monthly report seen by Bloomberg on Monday.

Investing.com35d agoneutral
BlackRock lists top 10 geopolitical risks

Investing.com -- BlackRock has raised energy security to a high-risk category in its latest geopolitical outlook, warning that the conflict involving Iran has exposed the global economy’s dependence on energy flows through the Strait of Hormuz and could reshape national economic and investment strategies.

Investing.com39d agoneutral
Oil gains as US revokes license for Iranian sales after tanker attacks

Investing.com -- Oil futures were trading over 3% higher midday on Tuesday after the United States revoked a general license that authorized the sale of Iranian oil on Tuesday, following attacks on three tankers in the Strait of Hormuz in recent days. A U.S. official described to Reuters Iran’s actions in the strategic waterway as "wholly unacceptable" and said they would be met with consequences.

Investing.com40d agoneutral
Eight Japanese ships depart Hormuz via passage near Iran

Investing.com -- At least eight vessels controlled by Japan’s Mitsui OSK Lines Ltd. are leaving the Strait of Hormuz through a passage near Iran, including some of the final trapped oil tankers to depart the waterway.

Investing.com41d agoneutral
Millions mourn Khamenei as Trump says Iran talks to resume soon

Investing.com -- Millions of mourners gathered in Tehran on Sunday for the second day of funeral ceremonies for Iran’s late Supreme Leader Ayatollah Ali Khamenei, as U.S. President Donald Trump said negotiations with Tehran would resume after the weeklong proceedings conclude.

Procter & Gamble vs Colgate-Palmolive: Two Consumer Giants, Two Strategies, One Invests, Other Optimizes
24/7 Wall St.42d agoneutral
Procter & Gamble vs Colgate-Palmolive: Two Consumer Giants, Two Strategies, One Invests, Other Optimizes

Procter & Gamble (NYSE:PG) and Colgate-Palmolive (NYSE:CL) both posted top and bottom line beats in their most recent quarters. PG’s fiscal Q3 2026 leaned on Beauty and broad regional strength. Colgate’s Q1 2026 leaned on Latin America and Hill’s Pet. Same shelf, very different engines. Beauty Powers P&G. Latin America Powers Colgate. P&G’s headline was ... Procter & Gamble vs Colgate-Palmolive: Two Consumer Giants, Two Strategies, One Invests, Other Optimizes

Colgate Palmolive (CL) Is Reworking Its Business Around Premium Products And Retail Links
Simply Wall St.44d agoneutral
Colgate Palmolive (CL) Is Reworking Its Business Around Premium Products And Retail Links

Colgate-Palmolive (NYSE:CL) is progressing with its 2030 plan, focusing on premium product offerings and a closer link between digital and physical retail. The company continues to pursue multiple years of organic growth as it adjusts its portfolio and go-to-market approach. Management highlights the 2030 strategy as a multi year transformation of Colgate-Palmolive's business model in the consumer products sector. Colgate-Palmolive, a global consumer products company known for oral care,...