Thursday, August 28th, 2025
Stock Profile: UL
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Unilever PLC (UL)

Market: NYSE | Currency: USD

Address: Unilever House

Unilever PLC operates as a fast-moving consumer goods company in the Asia Pacific, Africa, the Americas, and Europe. It operates through five segments: Beauty & Wellbeing, Personal Care, Home Care, Nutrition, and Ice Cream. The Beauty & Wellbeing segment engages in the sale of hair care products, such as shampoo, conditioner, and styling; skin care products including face, hand, and body moisturizer; and prestige beauty and health & wellbeing products consist of the vitamins, minerals, and supplements. The Personal Care segment offers skin cleansing products comprising soap and shower; deodorants; and oral care products, such as toothpaste, toothbrush, and mouthwash Show more




📈 Unilever PLC Historical Chart






📊 Statistics





💰 Dividend History


Year Annual Yield (%) Total Amount Current Yield (%) Ex Date Pay Date Particulars
2025 - $0.520000 - 2025-05-16 - Dividend payout
$0.467000 - 2025-02-28 - Dividend payout
Total Amount for 2025: $0.987000
2024 - $0.476000 - 2024-11-08 - Dividend payout
$0.477000 - 2024-08-09 - Dividend payout
$0.456000 - 2024-05-16 - Dividend payout
$0.458000 - 2024-02-22 - Dividend payout
Total Amount for 2024: $1.867000
2023 - $0.454000 - 2023-11-16 - Dividend payout
$0.475000 - 2023-08-03 - Dividend payout
$0.470000 - 2023-05-18 - Dividend payout
$0.457000 - 2023-02-23 - Dividend payout
Total Amount for 2023: $1.856000
2022 - $0.421000 - 2022-11-17 - Dividend payout
$0.434000 - 2022-08-04 - Dividend payout
$0.456000 - 2022-05-19 - Dividend payout
$0.487000 - 2022-02-24 - Dividend payout
Total Amount for 2022: $1.798000
2021 - $0.498000 - 2021-11-04 - Dividend payout
$0.503000 - 2021-08-05 - Dividend payout
$0.516000 - 2021-05-20 - Dividend payout
$0.514000 - 2021-02-25 - Dividend payout
Total Amount for 2021: $2.031000


📅 Earnings & EPS History for Unilever PLC


DateReported EPS
2026-02-10 (estimated upcoming)-
2010-02-040.26
2009-11-050.43
2009-08-060.32
2009-05-070.29
2008-10-300.4
2008-02-070.3
2007-02-080.34
2006-11-020.27
2006-08-030.36
2006-02-090.12
2005-11-030.32
2005-08-040.36
2005-05-060.29
2005-02-100.35
2004-10-270.41
2004-07-280.36
2004-02-120.4
2003-10-290.43
2003-07-300.34
2003-05-020.25
2003-02-130.35
2002-10-300.37
2002-07-310.33




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