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Stock detail
CLOROX COMPANY
CLXSTOCKS | US | NYSE | Consumer Defensive | Household & Personal Products
Profile snapshotUSD 87.2Market cap USD 10.5B
No local candle data found.
Recent detected patterns / setups
Latest 10 Market Radar results for this symbol and selected direction.
PatternTFScan runQuality
BearishICT Order Block Reversal Setup · Lower High15M23 Sept 26, 00:4161
BullishSupport/Resistance Flip Setup15M23 Sept 26, 00:4168
BearishICT FVG Reversal Setup · Lower High15M23 Sept 26, 00:4168
BearishICT Inverse FVG Setup15M23 Sept 26, 00:4181
BearishICT Order Block Setup15M23 Sept 26, 00:4186
BearishICT FVG Setup15M23 Sept 26, 00:4187
BearishFibonacci Retracement Setup15M23 Sept 26, 00:4194
BearishSupport/Resistance Flip Setup4H23 Sept 26, 00:4173
BearishICT Inverse FVG Setup4H23 Sept 26, 00:4181
BearishICT Optimal Trade Entry (OTE) Setup4H23 Sept 26, 00:4186
Annual
Annual fundamentals
2026 vs previous annual period
Metric20222023202420252026
Total revenueUSD 7.1B--USD 7.4B+4.0%USD 7.1B-4.0%USD 7.1B+0.2%USD 6.7B-5.4%
Net incomeUSD 462M--USD 149M-67.7%USD 280M+87.9%USD 810M+189.3%USD 587M-27.5%
Net profit margin6.5%--2.0%-69.0%3.9%+95.8%11.4%+188.8%8.7%-23.4%
EPS3.73--1.2-67.8%2.25+87.5%----4.81--
Free cash flowUSD 535M--USD 930M+73.8%USD 483M-48.1%USD 761M+57.6%USD 405M-46.8%
Total debtUSD 3.1B--USD 2.9B-5.8%USD 2.9B-0.7%USD 2.9B-0.8%USD 5.5B+91.7%
Cash and cash equivalentsUSD 183M--USD 367M+100.5%USD 202M-45.0%USD 167M-17.3%USD 143M-14.4%
Net debtUSD 2.9B--USD 2.6B-12.4%USD 2.7B+5.6%USD 2.7B+0.4%USD 5.4B+98.2%
Quarterly
Quarterly fundamentals
Q2 2026 vs same quarter previous year
MetricQ1 2025Q2 2025Q3 2025Q4 2025Q1 2026Q2 2026
Total revenue----USD 2B--USD 1.4B--USD 1.7B--USD 1.7B--USD 1.9B-2.0%
Net income----USD 332M--USD 80M--USD 157M--USD 187M--USD 163M-50.9%
Net profit margin----16.7%--5.6%--9.4%--11.2%--8.4%-49.9%
EPS1.5--2.68--0.65--1.29--1.54+2.7%----
Free cash flow----USD 219M--USD 57M--USD 269M--USD -165M--USD 244M+11.4%
Total debt----USD 2.9B--USD 3.1B--USD 3.2B--USD 4.5B--USD 5.5B+91.7%
Cash and cash equivalents----USD 167M--USD 166M--USD 227M--USD 1.2B--USD 143M-14.4%
Net debt----USD 2.7B--USD 2.9B--USD 3B--USD 3.3B--USD 5.4B+98.2%
Ownership
Institutional ownership summary
2026 Q3, quarter ended 2026-09-22
PeriodOwnershipInstitutions13F sharesTotal investedPositionsPut/call

