CL vs EP: Which is Better to Buy in 2026?

Side-by-side fundamental comparison based on AI analysis of SEC filings

AI Verdict

CL has stronger fundamentals based on our AI analysis.

CL
COLGATE PALMOLIVE CO
SELL
82%
Confidence
VS
EP
EMPIRE PETROLEUM CORP
STRONG SELL
95%
Confidence

CL vs EP Fundamental Comparison

Metric CL EP
Revenue $20.4B $34.2M
Net Income $2.1B $-72.1M
Net Margin 10.5% -210.7%
ROE 3,948.1% N/A
ROA 13.1% -109.4%
Current Ratio 0.83x 0.34x
Debt/Equity 145.17x N/A
EPS $2.63 $-2.12

Green = Better metric | Red = Weaker metric

View Full CL Analysis →
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Browse Sectors: Technology Healthcare Finance Energy Consumer Industrial
Stock Lists: Strong Buy Undervalued Growth Dividend

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CL vs EP: Frequently Asked Questions

Is CL or EP a better buy in 2026?

Based on dual AI fundamental analysis (Claude and ChatGPT), CL has stronger fundamentals. CL is rated SELL (82% confidence) while EP is rated STRONG SELL (95% confidence). This is not investment advice.

How does CL compare to EP fundamentally?

COLGATE PALMOLIVE CO has ROE of 3,948.1% vs EMPIRE PETROLEUM CORP's N/A. Net margins are 10.5% vs -210.7% respectively.

Which stock pays higher dividends, CL or EP?

CL has a dividend yield of N/A or no dividend while EP has N/A or no dividend. Check individual stock pages for detailed dividend history and payout ratios.

Should I invest in CL or EP for long term?

For long-term investing, consider that CL has SELL rating with 82% confidence, while EP has STRONG SELL rating with 95% confidence. Higher confidence indicates more consistent fundamentals from SEC filings. This is not investment advice - always do your own research.

What do the AI models say about CL vs EP?

Our dual AI system (Claude by Anthropic and ChatGPT by OpenAI) analyzes SEC 10-K and 10-Q filings independently. For CL vs EP, the AI consensus favors CL based on fundamental metrics including revenue growth, profitability, ROE, and balance sheet strength.