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CL NYSE
Colgate-Palmolive Co Household/Personal Products
Fri 21 Mar, close
Overall
100%
Extreme Bullish
 
75%
Trade Quality
Long
0%
Short
 
 
Long Trade
Target 1: 95.87   Profit: 6.2%  
Stop/Trailing Stop: 89.02

Loss: 1.4%   P/L ratio: 4.4 : 1 - Excellent
Target 2: 96.79   Profit: 7.2%  
P/L ratio: 5.1 : 1 - Excellent  Extreme rally
Breakout Long Short
Default chart
Quote 90.3 +0.02,+0%
L 89.99 O 90.11 H 91.36
Volume 8.95mil +83.4% typical
52 Wk 85.6 to 108.8
Earnings recent Mar 12 pMkt  Link
PEG 4.1
P/E 25.7
Short 1.32%Div 2.31%
EPS 3.51Mkt Cap 73.28B
1d
3d
5d
10d
1Y
5Y
5d 30 Min
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Detailed Chart
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Fri 21 Mar, close
8 Month Detailed Chart
100%
Overall
100%
Extreme Bullish
75%
Trade Quality
Long
0%
Short
Breakout Long Short
Quote & Volume
Scale +/-0(min) to 10(max)
QUOTE
90.3, +0.02 pts (+0%), Fri 21 Mar, close
0
flat from yesterday's close.
Today'sL 89.99 O 90.11 H 91.36
Typical price range: 89.29 to 91.27
± 0.993 pts, ± 1.1%

Extreme price range (85% of time) 88.29 to 92.27
± 1.99 pts, ± 2.2%
VOLUME
8.95mil shares, +83.4% compared to typical daily volume over the past 6 months.
High Volume alert!
Typical daily volume is 4.88mil shares over the past 6 months.
RALLIES/PULLBACKS** Current price area
Typical: 5.82 pts (6.4%) occurs 25% of the time.
Extreme: 7.56 pts (8.4%) occurs 5% of the time.
Overall
A summary of bullish and bearish indicators.  
100%
Extreme Bullish
BULLISH
[Positioning] Short term strong pullback, pullback may start to slow.
[Positioning] at support
[Timing] Mild bullish 3 day candlestick pattern with Extreme 3 day accumulation.
[Timing] Extreme Neutral 1 day moneyflow, on an strong-extreme pullback is considered bullish.
BEARISH
None
Positioning Indicators
Indicators for positioning trade entry and exits.
1 DAY PRICE CHANGE
0
flat (+0.02 pts, +0%) from yesterday's close.
SHORT TERM DIRECTION
-8
strong pullback, pullback may start to slow.
OVERBOUGHT/SOLD
2
Neutral, odds equally favor long and short trades.
1 MONTH TREND
3
Up trend.
INTERMEDIATE TREND** Past 4 months
0
Neutral, Sideways trend.
SUPPORT/RESISTANCE
90.3, at support, 90.74 ± 0.998
type triple+,
strength 10
Support Below : -2.7% at 87.9 ± 0.967
type single,
strength 8
Resistance Above : +2% at 92.11 ± 1.01
type double,
strength 10
Timing Indicators
Indicators for timing trade entry and exits.
Over 120 three day candlestick chart patterns analyzed.
3 DAY CANDLESTICK
5
Mild bullish 3 day candlestick pattern.
10
Extreme 3 day accumulation, occurs 5% of the time.
Days Back
Strong Bullish
Mild Bullish
Neutral
Mild Bearish
Strong Bearish
0
5
10
15
25
3 Day Candlestick (over last 25 days)
MONEYFLOW
10
Extreme Neutral 1 day moneyflow,
stalemate between bulls and bears, occurs 5% of the time.
BREAKOUT
None.
BREAKDOWN
None.
Support and Resistance Areas
Over the past 8 months.
Type/Strength Help
CURRENT PRICE
90.3, at support, 90.74 ± 0.998
type triple+,
strength 10
SUPPORT BELOW
-2.7% at 87.9 ± 0.967
type single,
strength 8
-4.4% at 86.31 ± 0.949
type double,
strength 9
RESISTANCE ABOVE
+2% at 92.11 ± 1.01
type double,
strength 10
+4.2% at 94.11 ± 1.04
type double,
strength 7
+7.2% at 96.79 ± 1.06
type single,
strength 1
...
Long Trade
Long trade indicators
75%
Trade Quality
 
Long
TARGET 1
Price: 95.87    Profit: 6.2%  
(Typical rally)
Stop/Trailing Stop: 89.02     Loss: 1.4%
P/L Ratio: 4.4 : 1 - Excellent
POTENTIAL
Poor, there are 2 resistance areas on the way to Target 1.
The potential to reach targets may be lower with strong resistance areas.
TARGET 1 RESISTANCE
+2% at 92.11 ± 1.01
type double,
strength 10
+4.2% at 94.11 ± 1.04
type double,
strength 7
+6.2% at 95.87 is Target 1
TARGET 2
Price: 96.79    Profit: 7.2%  
P/L Ratio: 5.1 : 1 - Excellent
 
(Extreme rally)
Long ReCalc
ReCalc
Reset
Adjust the long trade & breakout
Price Stop Loss %
Target 1   Profit %
P/L ratio: 4.4:1  (Excellent)
Target 2   Profit %
P/L ratio: 5.1:1  (Excellent)
Trade $   Save   Shares
Base Loss %    Save    
Risk $23571 or 261 shares at 1.4% loss
** Risk trade amount higher than base amount
Breakout Trade
Breakout trade indicators.
Breakout Tip
BREAKOUT
None.
Short Trade
Short trade indicators
0%
Trade Quality
 
Short
TARGET 1
Price: 89.43    Profit: 1%  
(Typical pullback)
Cover/Trailing Cover: 91.55     Loss: 1.4%
P/L Ratio: 0.7 : 1 - Poor
POTENTIAL
Excellent, there are 1 support areas on the way to Target 1.
When there are few support areas, stocks may quickly fall to targets.
TARGET 1 SUPPORT
Current price at support: 90.74 ± 0.998
type triple+,
strength 10
-1% at 89.43 is Target 1
TARGET 2
Price: 87.9    Profit: 2.7%  
P/L Ratio: 1.9 : 1 - Poor
 
(Extreme pullback)
Short ReCalc
ReCalc
Reset
Adjust the short trade & breakdown
Price Cover Loss %
Target 1   Profit %
P/L ratio: 0.7:1  (Poor)
Target 2   Profit %
P/L ratio: 1.9:1  (Poor)
Trade $  Save   Shares
Base Loss %   Save     
Risk $23571 or 261 shares at 1.4% loss
** Risk trade amount higher than base amount
Breakdown Trade
Breakdown trade indicators.
BREAKDOWN
None.
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