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COLGATE PALMOLIVE CO (CL) Options Risk Score

Real-time risk analysis for CL options traders — updated every 30 minutes.

100
HIGH Risk
34.5
IV Rank
25.8%
IV %
2026-10-30
Next Earnings
Perfumes, Cosmetics & Other Toilet Preparations
Sector

Data last updated: 2026-09-06

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Is it risky to sell options on COLGATE PALMOLIVE CO (CL) right now?

Over a 4-week expiry window, COLGATE PALMOLIVE CO (CL) scores 100 out of 100 for options catalyst risk (HIGH). The contributing signals are an upcoming earnings report, 15 recent news items and 10 active legal filings within the 4-week window. A HIGH reading (70+) means CL has a dated event inside the window, so an option sold here carries gap risk that time decay alone will not pay for. The score ranks event exposure, not the likely direction of the move.

CL shows an IV Rank of 34, near the low end of its one-year range — options are relatively cheap, which favours option buyers over sellers, with a current implied volatility of about 26%. IV Rank is the most useful figure for deciding whether to sell or buy premium on CL.

CL is scheduled to report earnings on 2026-10-30, which falls inside a typical monthly options expiry — expect elevated implied volatility into the event and an IV crush afterward.

COLGATE PALMOLIVE CO (CL) current implied volatility and IV Rank

As of the latest scan, COLGATE PALMOLIVE CO (CL) shows an IV Rank of 34 with implied volatility around 26%, alongside a TickerRisk options-risk score of 100/100. That is toward the bottom of its 12-month range, so premium is thin. Selling here pays poorly for the risk taken; if you expect a move, buying the move is the cheaper side.

For what this number does and does not tell you about CL's options, see IV Rank explained.

COLGATE PALMOLIVE CO (CL) next earnings date — 2026-10-30

The next CL report lands on 2026-10-30 — about 54 days away — inside the window a typical monthly option would span. CL's IV Rank is currently 34. That matters more than any other single date on the calendar: the stock can gap overnight on the print, and any premium you collect now is partly payment for carrying that gap. Sellers who want the volatility crush without the gap generally choose an expiry that ends before the report.

TickerRisk provides risk scoring for informational purposes only. This is not financial advice. Options trading involves substantial risk of loss. Full disclaimer