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● Sat 10 Oct 2026/US closed · opens Mon 14:30 BST/117 names scored today/last score 11:59 BSTResearch, not advice · every call is published at Proof
Stocks / PG vs CL · /stock/PG?vs=CL (was /compare/PG,CL)

PG has the strongest read, and the most behind it.

Both lean bullish. The difference is evidence and record: PG’s read rests on 5,195 contracts but our 4h record on it is 26%; PG’s bucket hasn’t paid historically.

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PG Procter & Gamble · Consumer products×
CL Colgate-Palmolive · Consumer products×
The readStrongly bullishMildly bullish
−100 · 0 · +100
Composite+37.2+19.6
Evidence 67 64
Quality8082
Price$144.91$88.12
Contracts today5,195416
Calibrationhasn’t paid −1.64% · n=25,061hasn’t paid −1.11% · n=9,499
30d tape (ink) vs price (dashed)
Our record here, 4h26% of 315 checked11% of 359 checked
02

Tape, 43 days, same axis

PGCLtape_history · hourly, daily close shown

All values from the same rows as each stock page (stock_scores, tape_history, score_outcomes, tape calibration). Compare keeps the stock-page glyphs so nothing needs relearning.

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Add LENWhy is PG’s record 26%?