Company: CL
Filing Date: 2025-11-03
Form Type: 424B2
Source: 0001104659-25-105106
Chunk: 59

Company: COLGATE PALMOLIVE CO
Filing Date: 2025-11-03
Form: 424B2
Chunk 59
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 securities:

| · | the                         
 aggregate principal amount; |

| · | the                   
 stated maturity date; |

| · | the                                                                                       
 date or dates on which we will pay principal, if other than at maturity, or the method we 
 will use to determine these dates;                                                        |

| · | whether                                                                                    
 and how the principal amount will be determined, whether by reference to an index, formula 
 or other method;                                                                           |

| · | the                                                                                          
 rate or rates (or manner of calculating the rate or rates) at which the debt securities will 
 bear interest, if any, and the date or dates from which any interest will accrue;            |

| · | the                                                                       
 interest payment dates and regular record dates for any interest payable; |

| · | if                                                                                          
 in addition to or other than the Borough of Manhattan, The City of New York, the place or   
 places where the principal (and premium, if any) and interest, if any, will be payable, and 
 where the debt securities may be delivered for registration, transfer or exchange;          |

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| · | any                                                                                      
 provisions for redemption of the debt securities, the redemption price or prices and any 
 remarketing arrangements;                                                                |

| · | any                                                           
 mandatory redemption or sinking fund or analogous provisions; |

| · | whether                                                                                   
 the debt securities are denominated or payable in United States dollars or in one or more 
 currencies or units of two or more currencies;                                            |

| · | the                                                                                      
 form in which we will issue the debt securities, whether registered, bearer or both, and 
 any restrictions applicable to the exchange of one form for another and/or to the offer, 
 sale and delivery of the debt securities in either form;                                 |

| · | whether                                                                                     
 and under what circumstances we will pay additional amounts under any debt securities held  
 by a person who is not a U.S. person for specified taxes, assessments or other governmental 
 charges and whether we have the option to redeem the affected debt securities rather than   
 pay any such additional amounts;                                                            |

| · | whether                                                                                      
 the debt securities are to be issued in global form and if so, the depositary for the global 
 securities;                                                                                  |

| · | the                                                                                  
 title of the debt securities and the series of which the debt securities are a part; |

| · | the                                                                                             
 minimum denominations in which any debt securities will be issuable if other than denominations 
 of $1,