Colgate Palmolive (CL) Asset Utilization Ratio (2016 - 2025)
Historic Asset Utilization Ratio for Colgate Palmolive (CL) over the last 17 years, with Q3 2025 value amounting to 1.15.
- Colgate Palmolive's Asset Utilization Ratio fell 498.5% to 1.15 in Q3 2025 from the same period last year, while for Sep 2025 it was 1.15, marking a year-over-year decrease of 498.5%. This contributed to the annual value of 1.24 for FY2024, which is 230.67% up from last year.
- Per Colgate Palmolive's latest filing, its Asset Utilization Ratio stood at 1.15 for Q3 2025, which was down 498.5% from 1.17 recorded in Q2 2025.
- Colgate Palmolive's Asset Utilization Ratio's 5-year high stood at 1.22 during Q4 2024, with a 5-year trough of 1.05 in Q1 2021.
- Its 5-year average for Asset Utilization Ratio is 1.15, with a median of 1.15 in 2023.
- As far as peak fluctuations go, Colgate Palmolive's Asset Utilization Ratio soared by 778.94% in 2022, and later plummeted by 498.5% in 2025.
- Over the past 5 years, Colgate Palmolive's Asset Utilization Ratio (Quarter) stood at 1.13 in 2021, then fell by 0.41% to 1.12 in 2022, then increased by 6.9% to 1.2 in 2023, then increased by 2.1% to 1.22 in 2024, then decreased by 6.2% to 1.15 in 2025.
- Its Asset Utilization Ratio stands at 1.15 for Q3 2025, versus 1.17 for Q2 2025 and 1.22 for Q1 2025.