COLGATE PALMOLIVE CO (CL) Risk Factors

Consumer StaplesLatest 10-K filed Feb 23, 2026Source: SEC EDGAR

WealthWire extracted and classified 22 risk factors from COLGATE PALMOLIVE CO’s latest SEC filing, mapping each to a standardized risk taxonomy so they can be compared across every company and sector. The breakdown below shows how those disclosures distribute across risk categories.

Recent key developments

Concrete developments — dated events, named agreements and instruments, legal proceedings — that COLGATE PALMOLIVE CO surfaced in its latest filing.

  • Since December 31, 2015, the local operating results from our Venezuela operations have not been included in our Consolidated Financial StatementsDecember 31, 2015
  • The war in Ukraine has significantly impacted our operations in Ukraine and Russia
  • The imposition of new or increased tariffs by the United States and/or other countries, including those following the United States' 2025 executive orders and retaliatory tariffs2025
  • In Q4 2025, we took a non-cash, after-tax impairment charge of $794 related to the skin health businessQ4 2025
  • The 2025 Restructuring Program was approved by the Board on July 31, 2025July 31, 2025
  • In January 2026, the OECD Inclusive Framework reached the 'Side-by-Side Package' agreement modifying key aspects of Pillar II, effective January 1, 2026January 2026

Go deeper on CL

This page shows the category breakdown of the latest filing. The WealthWire API and dashboard add the full risk-factor text, multi-year trends, sector comparisons, and CSV export — for CL and every other S&P 500 company.