ac investment research

Should I Buy NYSE:CL Stock? (15% Forecasted Return)

Given the earnings volatility companies experience, we have specified for these issuers a more stringent decline in EBITDA percentage for each liquidity category to the extent our cash flow forecasts are not already assuming a downside scenario.In our assessment of a company's liquidity, we also consider the impact of unique industry characteristics.Given that we exclude proposed "best efforts" or potential financings as a source of liquidity, we also exclude from uses of liquidity acquisitions and other discretionary spending that are contingent on the successful issuance of new financing to support the proposed transaction. We estimate CL Colgate stock forecast parameters by: Commodity Channel Index with Stepwise Regression because of management is often unable to convert strategic decisions into constructive action; often fails to achieve its financial/operational goals (15% Forecasted Return)

NYSE:CL Price Targets, Stock Forecast (Buy or Sell) as of 12 Jun 2022 for (n+8 weeks)

Stock: CL Colgate

Time series to forecast n: 12 Jun 2022 for (n+8 weeks)

x axis:Likelihood %
y axis:Potential Impact %
z axis:Color (yellow to green) Technical Analysis %

AC Investment Research

In our experiment, we focus on an approach known as Decision making using game theory. We apply principles from game theory to model the relationships between rating actions, news, market signals and decision making.

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