WallStSmart

Colgate-Palmolive Company (CL)vsPitanium Ltd (PTNM)

VS

Smart Verdict

WallStSmart Research — data-driven comparison

Colgate-Palmolive Company generates 31369% more annual revenue ($20.80B vs $66.08M). CL leads profitability with a 10.0% profit margin vs -31.9%. CL trades at a lower P/E of 35.1x. CL earns a higher WallStSmart Score of 58/100 (C).

CL

Buy

58

out of 100

Grade: C

Growth: 4.0Profit: 8.5Value: 4.7Quality: 5.5
Piotroski: 4/9Altman Z: 4.21

PTNM

Avoid

16

out of 100

Grade: F

Growth: 2.7Profit: 2.5Value: 4.0Quality: 6.0
Piotroski: 3/9Altman Z: 1.42
IV

Intrinsic Value Comparison

Multi-model valuation · Graham Formula

CLUndervalued (+8.0%)

Margin of Safety

+8.0%

Fair Value

$98.54

Current Price

$88.58

$9.96 discount

UndervaluedFair: $98.54Overvalued

Intrinsic value data unavailable for PTNM.

Key Strengths & Concerns

Side-by-side fundamental analysis

Key Strengths

CL4 strengths · Avg: 9.3/10
Return on EquityProfitability
36.4%10/10

Every $100 of equity generates 36 in profit

Altman Z-ScoreHealth
4.2110/10

Safe zone — low bankruptcy risk

Market CapQuality
$72.48B9/10

Large-cap with strong market position

Operating MarginProfitability
20.9%8/10

Strong operational efficiency at 20.9%

PTNM0 strengths · Avg: 0/10

No standout strengths identified

Areas to Watch

CL4 concerns · Avg: 3.0/10
PEG RatioValuation
1.604/10

Expensive relative to growth rate

P/E RatioValuation
35.1x4/10

Premium valuation, high expectations priced in

Price/BookValuation
492.1x2/10

Trading at 492.1x book value

EPS GrowthGrowth
-5.9%2/10

Earnings declined 5.9%

PTNM4 concerns · Avg: 3.3/10
EPS GrowthGrowth
0.0%4/10

0.0% earnings growth

Market CapQuality
$239.10M3/10

Smaller company, higher risk/reward

Return on EquityProfitability
5.9%3/10

ROE of 5.9% — below average capital efficiency

Piotroski F-ScoreQuality
3/93/10

Weak financial health signals

Comparative Analysis Report

WallStSmart Research

Bull Case : CL

The strongest argument for CL centers on Return on Equity, Altman Z-Score, Market Cap.

Bull Case : PTNM

PTNM has a balanced fundamental profile.

Bear Case : CL

The primary concerns for CL are PEG Ratio, P/E Ratio, Price/Book. Debt-to-equity of 54.99 is elevated, increasing financial risk.

Bear Case : PTNM

The primary concerns for PTNM are EPS Growth, Market Cap, Return on Equity. A P/E of 346.3x leaves little room for execution misses.

Key Dynamics to Monitor

CL profiles as a value stock while PTNM is a turnaround play — different risk/reward profiles.

CL is growing revenue faster at 8.4% — sustainability is the question.

CL generates stronger free cash flow (609M), providing more financial flexibility.

Monitor HOUSEHOLD & PERSONAL PRODUCTS industry trends, competitive dynamics, and regulatory changes.

Bottom Line

CL scores higher overall (58/100 vs 16/100). Both earn "Buy" and "Avoid" ratings respectively — the choice depends on your investment horizon and risk tolerance.

This analysis is generated from publicly available financial data. Not financial advice.

Colgate-Palmolive Company

CONSUMER DEFENSIVE · HOUSEHOLD & PERSONAL PRODUCTS · USA

Colgate-Palmolive Company is an American multinational consumer products company headquartered on Park Avenue in Midtown Manhattan, New York City. It specializes in the production, distribution and provision of household, health care, personal care and veterinary products.

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Pitanium Ltd

CONSUMER DEFENSIVE · HOUSEHOLD & PERSONAL PRODUCTS · USA

Pitanium Ltd (PTNM) is a leading technology firm specializing in the development of high-performance titanium-based materials, primarily serving the aerospace and defense sectors. With a strong focus on innovation and a rich intellectual property portfolio, the company is committed to enhancing product performance and sustainability. Pitanium's strategic alliances and dedication to stringent environmental standards further strengthen its competitive position, setting the stage for robust growth as it addresses the dynamic needs of industry leaders in the advanced materials market.

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