UL · NYSE · Household & Personal Products

Unilever (ADR) (UL)

Builds global consumer brands across beauty, personal care, home care and foods.

$62.04
vs last close−0.90 (−1.42%)
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Unilever PLCUL
Consumer Staples

Sells branded beauty, personal-care, home-care and food products through four business groups and a geographically broad network. Growth execution centers on a smaller set of power brands and portfolio rotation; ice cream is already separated, while the agreed combination of most Foods operations with McCormick remains pending.

Markets branded products across Beauty & Wellbeing, Personal Care, Home Care and Foods, spanning skin care, hair care, deodorants, household cleaning and condiments. The portfolio is managed through global consumer brands and sold across a geographically broad network shaped by decades of local-market operations.

Execution centers on a smaller set of power brands, portfolio rotation and simplified business groups. Ice cream was separated in 2025, leaving four groups in continuing operations.

The business depends on brand strength, product safety, supply-chain integrity and compliance across many jurisdictions. Climate, nature, plastics and livelihoods remain formal operating commitments. A signed combination of most Foods operations with McCormick is still pending, so Foods remains part of the current perimeter.

Company facts

CEOFernando Fernandez
ListedMar 25, 1980
ExchangeNYSE
HeadquartersLondon, United Kingdom
CountryUnited Kingdom
Employees96,000
CIK0000217410
ISINUS9047678035

Market cap$135.57B
EPS (ttm)$2.93
P/E (ttm)21.45
ROE37.1%
P/B7.33
P/S2.59
Dividend yieldDiv yield3.53%
Beta0.03vs XLP 1.08

Price target$71.00+12.8%Average of 37 analysts
ConsensusHold19 of 37 analysts
Ratings

Target rangeAs of Sep 22, 2026

Latest analyst notes

DateFirmActionPriorCurrent
Apr 21, 2026RBC Capital MktsUpgrade
Rating: Underperform
Rating: Sector Perform
Feb 18, 2026DZ BankDowngrade
Rating: Buy
Rating: Hold
Feb 17, 2026KeplerDowngrade
Rating: Buy
Rating: Hold
Feb 9, 2026Deutsche BankDowngrade
Rating: Buy
Rating: Hold
Jan 8, 2026BNP ParibasTarget
Target:
Target: $71

EPSReportedEstimate

Jul '23Jul '23Feb '24Jul '24Feb '25Jul '25Feb '26Jul '26
Reported$1.65$1.53$1.28$1.58$0.85$1.67$1.37$1.83
Estimate$1.49$1.49$1.41$1.67$1.53$1.83$1.75$1.84
Surprise+10.7%+2.7%−9.2%−5.4%−44.8%−8.7%−21.7%−0.5%

RevenueReportedEstimate

Jul '23Jul '23Feb '24Jul '24Feb '25Jul '25Feb '26Jul '26
Reported$33.61B$33.19B$32.09B$33.46B$30.70B$35.47B$29.71B$29.14B
Estimate$32.87B$32.87B$30.05B$33.81B$31.63B$34.49B$31.39B$29.39B
Surprise+2.3%+1.0%+6.8%−1.0%−2.9%+2.9%−5.4%−0.9%
Estimate$1.84
Reported$1.83−0.5%
Estimate$29.39B
Reported$29.14B−0.9%
View details

Debt to equity198.20%
Current ratio74.00%

ProfitabilityRevenueNet incomeNet margin

Q4 FY22Q2 FY23Q4 FY23Q2 FY24Q4 FY24Q2 FY25Q4 FY25Q2 FY26
Revenue$34.69B$34.66B$33.24B$35.45B$33.77B$34.32B$23.04B$29.19B
Net income$5.40B$4.04B$3.35B$4.22B$2.33B$4.00B$2.92B$3.78B
Net margin15.6%11.7%10.1%11.9%6.9%11.7%12.7%12.9%

GrowthOperating income

Q4 FY22Q2 FY23Q4 FY23Q2 FY24Q4 FY24Q2 FY25Q4 FY25Q2 FY26
Operating income$7.13B$6.28B$4.83B$6.78B$3.93B$6.05B$4.76B$5.57B
YoY growth+46.3%+22.6%−32.2%+7.8%−18.6%−10.6%+20.9%−8.1%

Balance sheet, Jun 30, 2026Cash & short-term investments $6.69B · Total debt $36.56B · Total assets $87.64B · Shareholders' equity $18.45B

Revenue
$29.19B
Operating income
$5.57B
Net income
$3.78B

Reported in EUR, converted at the latest exchange rate

View details

Dividend yield
3.53%
Next ex-date
Nov 7, 26
estimated · in 45 days
Annual dividend
$2.22
per share
Schedule
Quarterly
4 payments a year

HistoryDividendAnnual yield

Nov '24Feb '25May '25Aug '25Nov '25Feb '26May '26Aug '26
Dividend$0.536$0.4674$0.5572$0.5822$0.5923$0.5547$0.5449$0.5305
Annual yield3.16%3.22%3.02%3.12%3.18%3.10%4.04%3.53%
Ex-dateNov 8Feb 28May 16Aug 15Nov 7Feb 27May 15Aug 7
Payment dateDec 6Mar 28Jun 13Sep 12Dec 5Apr 10Jun 26Sep 18
View details

Institutions11.83%258.10M ADS
1,204 holders · as of Jun 30, 2026
Other88.17%1.92B ADS
remainder

2.18B ADS as of Sep 23, 2026 · institutions as of Jun 30, 2026 · holders as of their latest filing

Top shareholders13F · 13D/G · Form 4

HolderStakeSharesDate
Wellington Management Group LLPInstitution
1.61%35.06M ADSas of Jun 30, 2026
Fisher Asset Management, LLCInstitution
1.13%24.69M ADSas of Jun 30, 2026
Morgan StanleyInstitution
0.44%9.67M ADSas of Jun 30, 2026
FMR LLCInstitution
0.41%9.01M ADSas of Jun 30, 2026
GQG Partners LLCInstitution
0.40%8.67M ADSas of Jun 30, 2026

Insider tradesForm 4

Nothing filed in the last 12 months.

View details

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Compare

CompanyPriceChange
Unilever (ADR)$62.04−1.42%$135.57B21.52.6−17.9%
Procter & Gamble$147.74−0.32%$352.35B22.421.24.0+1.5%
Colgate-Palmolive$86.33−0.83%$69.66B34.522.03.3+4.9%
Median28.421.63.7+3.2%