Company: CL
Filing Date: 2025-06-25
Form Type: 11-K
Source: 0000021665-25-000033
Chunk: 11

Company: COLGATE PALMOLIVE CO
Filing Date: 2025-06-25
Form: 11-K
Chunk 11
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GATE-PALMOLIVE PUERTO RICO SAVINGS AND INVESTMENT PLAN

### NOTES TO FINANCIAL STATEMENTS (continued)
The following table presents the Plan’s level of valuation input, as applicable, for those investments measured at fair value at December 31, 2024:

|                                            |     | Level 1 |           |     | Total |            |
|:-------------------------------------------|:----|:--------|----------:|:----|:------|-----------:|
| Colgate-Palmolive Company Common Stock     |     | $       | 7,041,194 |     | $     |  7,041,194 |
| Mutual funds                               |     |         |   411,689 |     |       |    411,689 |
| Cash reserve funds                         |     |         |   104,731 |     |       |    104,731 |
| Investments in the fair value hierarchy    |     |         | 7,557,614 |     |       |  7,557,614 |
| Investments measured at net asset value(1) |     |         |         — |     |       |  8,395,375 |
| Investments at fair value                  |     | $       | 7,557,614 |     | $     | 15,952,989 |

(1) Consists of Collective trust funds.

The following table presents the Plan’s level of valuation input, as applicable, for those investments measured at fair value at December 31, 2023:

|                                            |     | Level 1 |           |     | Total |            |
|:-------------------------------------------|:----|:--------|----------:|:----|:------|-----------:|
| Colgate-Palmolive Company Common Stock     |     | $       | 6,758,040 |     | $     |  6,758,040 |
| Mutual funds                               |     |         |   424,143 |     |       |    424,143 |
| Cash reserve funds                         |     |         |    59,216 |     |       |     59,216 |
| Investments in the fair value hierarchy    |     |         | 7,241,399 |     |       |  7,241,399 |
| Investments measured at net asset value(1) |     |         |         — |     |       |  6,852