av/unilever--big.svg

LSE:ULVR

Unilever

  • Stock

GBP

Last Close

4,726.00

02/05 08:36

Market Cap

1.10B

Beta: 0.13

Volume Today

297.55K

Avg: 4.20M

PE Ratio

15.68

PFCF: 20.21

Dividend Yield

3.28%

Payout:56.65%

Preview

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Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
Dec '24
net income
1.56B
-
1.56B
0%
1.46B
6.18%
1.46B
0%
1.45B
0.79%
1.45B
0%
2.37B
63.06%
2.37B
0%
1.77B
25.10%
1.77B
0%
1.47B
17.16%
2.54B
72.65%
1.85B
27.06%
1.85B
0%
2.04B
10.40%
depreciation and amortization
430M
-
430M
0%
340.50M
20.81%
545.50M
60.21%
421M
22.82%
421M
0%
444M
5.46%
444M
0%
377M
15.09%
377M
0%
318.50M
15.52%
712.17M
123.60%
397M
44.25%
397M
0%
830M
109.07%
deferred income tax
1.58B
-
-1.95B
223.01%
-1.40B
-
stock based compensation
41M
-
41M
0%
39.50M
3.66%
39.50M
0%
46.50M
17.72%
46.50M
0%
42M
9.68%
42M
0%
79.50M
89.29%
79.50M
0%
26.50M
66.67%
82M
-
82M
0%
160M
95.12%
change in working capital
-616.50M
-
-616.50M
0%
234M
137.96%
234M
0%
-558M
338.46%
-1.63B
-
-1.63B
0%
-1.17B
-
1.22B
204.56%
1.87B
53.26%
-1.30B
169.40%
-1.30B
0%
2.19B
268.85%
accounts receivables
-153.50M
-
-153.50M
0%
-926M
-
-926M
0%
384M
-
-1.08B
-
-1.08B
0%
1.95B
280.92%
inventory
-229M
-
-229M
0%
-699M
-
-699M
0%
170M
-
-217.50M
-
-217.50M
0%
237M
208.97%
accounts payables
-2.20B
-
other working capital
-616.50M
-
-616.50M
0%
616.50M
200%
616.50M
0%
-558M
190.51%
2.20B
-
665.50M
-
other non cash items
107M
-
107M
0%
386M
260.75%
181M
53.11%
162.50M
10.22%
-395.50M
343.38%
-696M
75.98%
2.83B
507.21%
-547.50M
119.32%
2.02B
468.90%
-4M
100.20%
48.86M
1,321.51%
649.50M
1,229.30%
649.50M
0%
932M
43.49%
net cash provided by operating activities
1.52B
-
1.52B
0%
2.46B
61.89%
2.46B
0%
1.52B
38.13%
1.52B
0%
2.12B
38.83%
2.12B
0%
1.68B
20.48%
1.68B
0%
3.03B
80.04%
5.17B
70.53%
1.68B
67.45%
1.68B
0%
6.16B
265.93%
investments in property plant and equipment
-193M
-
-193M
0%
-361M
87.05%
-361M
0%
-296.50M
17.87%
-296.50M
0%
-431.50M
45.53%
-431.50M
0%
-274M
36.50%
-274M
0%
-477M
74.09%
-816.39M
71.15%
-308.50M
62.21%
-308.50M
0%
-1.12B
263.37%
acquisitions net
-137.50M
-
-137.50M
0%
-928M
574.91%
-928M
0%
1M
100.11%
3.21B
-
-528M
-
-195.09M
63.05%
-398.50M
104.26%
-398.50M
0%
2M
100.50%
purchases of investments
-259.72M
-
-769.14M
-
sales maturities of investments
229.52M
-
53.52M
-
other investing activites
45.50M
-
45.50M
0%
-49M
207.69%
-49M
0%
79.50M
262.24%
80.50M
1.26%
1.87B
2,227.95%
-1.31B
169.90%
174M
113.28%
174M
0%
-42M
124.14%
-392.91M
835.49%
511M
230.06%
511M
0%
886M
73.39%
net cash used for investing activites
-285M
-
-285M
0%
-1.34B
369.47%
-1.34B
0%
-216M
83.86%
-216M
0%
1.44B
767.82%
1.44B
0%
-100M
106.93%
-100M
0%
-1.05B
947.00%
-2.12B
102.48%
-196M
90.75%
-196M
0%
-233M
18.88%
debt repayment
-2.68B
-
-1.08B
-
-156.73M
-
common stock issued
-917.21M
-
-1
-
-832.16M
-
common stock repurchased
-422.50M
-
-422.50M
0%
-1.09B
157.16%
-1.09B
0%
-324M
70.18%
-324M
0%
-430.50M
32.87%
-430.50M
0%
-376.50M
12.54%
-376.50M
0%
-377M
0.13%
-641.07M
70.04%
-187.50M
70.75%
-187.50M
0%
-1.13B
504.27%
dividends paid
-1.14B
-
-1.14B
0%
-1.10B
3.12%
-1.10B
0%
-1.09B
1.36%
-1.09B
0%
-1.08B
1.06%
-1.08B
0%
-1.10B
2.28%
-1.10B
0%
-1.08B
1.86%
-1.84B
69.99%
-1.07B
41.85%
-1.07B
0%
-2.18B
104.40%
other financing activites
-487.50M
-
-487.50M
0%
688.50M
241.23%
688.50M
0%
950M
37.98%
626M
34.11%
-2.48B
495.53%
1.12B
145.27%
233M
79.21%
1.31B
462.58%
-894.50M
168.24%
-226.22M
74.71%
178.50M
178.91%
178.50M
0%
-1.47B
924.09%
net cash used provided by financing activities
-2.05B
-
-2.05B
0%
-1.50B
26.73%
-1.50B
0%
-462M
69.22%
-462M
0%
-3.98B
762.12%
-3.98B
0%
-1.24B
68.75%
-1.24B
0%
-2.35B
88.99%
-3.69B
57.01%
-1.08B
70.84%
-1.08B
0%
-4.79B
344.48%
effect of forex changes on cash
110M
-
110M
0%
32.50M
70.45%
32.50M
0%
97M
198.46%
97M
0%
-100.50M
203.61%
-100.50M
0%
-16M
84.08%
-16M
0%
-43.50M
171.88%
-35.79M
17.73%
-4.50M
87.43%
-4.50M
0%
-39M
766.67%
net change in cash
-701.50M
-
-701.50M
0%
-342.50M
51.18%
-342.50M
0%
943.50M
375.47%
943.50M
0%
-524.50M
155.59%
-819.86M
56.31%
322.50M
139.34%
447.41M
38.73%
-412.50M
192.20%
-681.68M
65.25%
404.50M
159.34%
404.50M
0%
-4.85B
1,300%
cash at beginning of period
5.47B
-
4.77B
12.81%
4.07B
14.70%
3.73B
8.41%
3.39B
9.18%
4.33B
27.86%
5.27B
21.79%
4.66B
11.68%
3.84B
-
4.29B
-
4.85B
-
cash at end of period
4.77B
-
4.07B
14.70%
3.73B
8.41%
3.39B
9.18%
4.33B
27.86%
5.27B
21.79%
4.75B
9.95%
3.84B
19.19%
322.50M
91.60%
4.29B
1,228.86%
-412.50M
109.63%
3.60B
973.67%
404.50M
88.78%
404.50M
0%
operating cash flow
1.52B
-
1.52B
0%
2.46B
61.89%
2.46B
0%
1.52B
38.13%
1.52B
0%
2.12B
38.83%
2.12B
0%
1.68B
20.48%
1.68B
0%
3.03B
80.04%
5.17B
70.53%
1.68B
67.45%
1.68B
0%
6.16B
265.93%
capital expenditure
-193M
-
-193M
0%
-361M
87.05%
-361M
0%
-296.50M
17.87%
-296.50M
0%
-431.50M
45.53%
-431.50M
0%
-274M
36.50%
-274M
0%
-477M
74.09%
-816.39M
71.15%
-308.50M
62.21%
-308.50M
0%
-1.12B
263.37%
free cash flow
1.33B
-
1.33B
0%
2.10B
58.24%
2.10B
0%
1.23B
41.61%
1.23B
0%
1.69B
37.21%
1.69B
0%
1.41B
16.38%
1.41B
0%
2.55B
81.19%
4.35B
70.41%
1.37B
68.43%
1.37B
0%
5.03B
266.51%

All numbers in GBP (except ratios and percentages)