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Colgate-Palmolive (India) Ltd.
Jun 06 BSE 2435.65 ( -16.75 -0.68%)
Volume5788
Prev. Close 2452.40
Open Price 2473.55
Today's Low / High
2428.00 2473.55
B. Price (Qty.)0.00 (0)
O. Price (Qty.) 0.00 (0)
52 Wk Low / High 2324.00
3893.00
Jun 06 NSE 2432.50( -20.70 -0.84%)
Volume385685
Prev. Close 2453.20
Open Price 2457.50
Today's Low / High
2428.00 2464.70
B. Price (Qty.)0.00 (0)
O. Price (Qty.) 0.00 (0)
52 Wk Low / High
2311.50 3890.00
ISIN No INE259A01022 Market Cap. ( in Cr. ) 66160.51 P/BV 40.03 Book Value ( ) 60.77
BSE Code 500830 52 Week High/Low ( ) 3890/2312 FV/ML 1/1 P/E(X) 46.05
NSE Code COLPALEQ Book Closure 28/05/2025 EPS ( ) 52.83 Div Yield (%) 2.10
Scheme NameScheme TypeHolding DateValue ( Rs. Cr )Holding (%)
SBI Magnum Midcap Fund Open Ended 30/04/2025388.111.80
HDFC Mid-Cap Opportunities Fund - Regul...Open Ended 30/04/2025340.270.45
SBI Flexicap Fund Open Ended 30/04/2025265.211.22
SBI Magnum Global Fund Open Ended 30/04/2025253.574.14
SBI Dividend Yield Fund Open Ended 30/04/2025186.292.08
Axis Midcap Fund Open Ended 30/04/2025164.430.57
Nippon India Large Cap Fund Open Ended 30/04/2025155.420.39
Nippon India Multi Cap Fund Open Ended 30/04/2025134.110.33
SBI Consumption Opportunities Fund Open Ended 30/04/2025109.963.63
360 ONE Focused Equity Fund Open Ended 30/04/2025106.971.54
NJ Balanced Advantage Fund Open Ended 30/04/2025100.322.68
NJ Flexi Cap Fund Open Ended 30/04/202581.273.79
SBI Multi Asset Allocation Fund Open Ended 15/05/202579.660.97
Franklin India Equity Advantage Fund Open Ended 30/04/202566.831.98
UTI Quant Fund Open Ended 30/04/202556.933.64
ICICI Prudential Nifty Alpha Low - Vola...Open Ended 30/04/202554.173.10
SBI ESG Exclusionary Strategy Fund Open Ended 30/04/202553.210.96
HDFC Balanced Advantage Fund - Regular ...Open Ended 30/04/202551.750.05
UTI Large & Mid Cap Fund Open Ended 30/04/202550.941.17
Mahindra Manulife Mid Cap Fund Open Ended 30/04/202546.571.31
Nippon India Nifty Alpha Low Volatility...Open Ended 30/04/202541.753.10
UTI Multi Asset Allocation Fund Open Ended 30/04/202539.590.72
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