ULVR.L: Unilever PLC Financials
Unilever PLC Income Statement
Total revenue
Net income
Gross margin TTM
46.95%
Operating margin TTM
19.61%
Net profit margin TTM
11.85%
Return on investment TTM
38.5%
| Period end | 31/12/2025 | 31/12/2024 | 31/12/2023 | 31/12/2022 |
|---|---|---|---|---|
| Total revenue | 50,503,000,000 | 60,761,000,000 | 59,604,000,000 | 60,073,000,000 |
| Operating income | 9,902,911,000 | 9,400,000,000 | 9,758,000,000 | 10,755,000,000 |
| Net income | 5,985,934,000 | 5,744,000,000 | 6,487,000,000 | 7,642,000,000 |
All line items
| Line item | 31/12/2025 | 31/12/2024 | 31/12/2023 | 31/12/2022 |
|---|---|---|---|---|
| Total revenue | 50,503,000,000 | 60,761,000,000 | 59,604,000,000 | 60,073,000,000 |
| Cost of revenue | 26,794,000,000 | 33,391,000,000 | 34,429,000,000 | 35,906,000,000 |
| Gross profit | 23,709,000,000 | 27,370,000,000 | 25,175,000,000 | 24,167,000,000 |
| Research and development expenses | 820,906,000 | 987,000,000 | 949,000,000 | 908,000,000 |
| General and administrative expenses | 13,705,000,000 | 5,794,000,000 | 5,749,000,000 | 6,619,000,000 |
| Selling and marketing expenses | 0 | 9,410,000,000 | 8,546,000,000 | 7,821,000,000 |
| Selling, general and administrative expenses | 12,557,107,000 | 15,204,000,000 | 14,295,000,000 | 14,440,000,000 |
| Other expenses | 203,987,000 | 1,779,000,000 | 173,000,000 | 5,711,000,000 |
| Operating expenses | 13,582,000,000 | 17,970,000,000 | 15,417,000,000 | 14,440,000,000 |
| Cost and expenses | 40,376,000,000 | 51,361,000,000 | 49,846,000,000 | 50,346,000,000 |
| Net interest income | -614,697,000 | -680,000,000 | -633,000,000 | -508,000,000 |
| Interest income | 390,814,000 | 438,000,000 | 442,000,000 | 281,000,000 |
| Interest expense | 1,005,511,000 | 1,118,000,000 | 1,075,000,000 | 789,000,000 |
| Depreciation and amortization | 1,353,000,000 | 1,757,000,000 | 1,578,000,000 | 1,946,000,000 |
| EBITDA | 11,108,739,000 | 11,744,000,000 | 11,992,000,000 | 13,072,000,000 |
| EBIT | 9,902,911,000 | 9,987,000,000 | 10,414,000,000 | 11,126,000,000 |
| Non-operating income (excl. interest) | 0 | -587,000,000 | -656,000,000 | -371,000,000 |
| Operating income | 9,902,911,000 | 9,400,000,000 | 9,758,000,000 | 10,755,000,000 |
| Total other income/expenses (net) | -1,365,885,000 | -531,000,000 | -419,000,000 | -418,000,000 |
| Income before tax | 8,537,026,000 | 8,869,000,000 | 9,339,000,000 | 10,337,000,000 |
| Income tax expense | 2,436,204,000 | 2,500,000,000 | 2,199,000,000 | 2,068,000,000 |
| Net income from continuing operations | 6,099,840,000 | 6,369,000,000 | 7,140,000,000 | 8,269,000,000 |
| Net income from discontinued operations | 417,326,000 | 0 | 0 | 0 |
| Other adjustments to net income | 981,943 | 0 | 0 | 0 |
| Net income | 5,985,934,000 | 5,744,000,000 | 6,487,000,000 | 7,642,000,000 |
| Net income deductions | 0 | 0 | 0 | 0 |
| Bottom line net income | 5,985,934,000 | 5,744,000,000 | 6,487,000,000 | 7,642,000,000 |
| EPS | 3 | 2 | 3 | 3 |
| Diluted EPS | 3 | 2 | 3 | 3 |
| Weighted average shares outstanding | 2,184,000,000 | 2,507,100,000 | 2,532,400,000 | 2,548,200,000 |
| Weighted average diluted shares outstanding | 2,195,300,000 | 2,507,100,000 | 2,532,400,000 | 2,620,300,000 |
Unilever PLC Balance Sheet
Total assets
Total liabilities & equity
Liquidity ratio MRQ
—
Current ratio MRQ
—
Long-term debt / assets MRQ
25,727,423,000%
Total debt / assets MRQ
—
| Period end | 31/12/2025 | 31/12/2024 | 31/12/2023 | 31/12/2022 |
|---|---|---|---|---|
| Total assets | 70,557,178,000 | 79,750,000,000 | 75,266,000,000 | 77,821,000,000 |
| Total liabilities | 52,948,671,000 | 57,195,000,000 | 54,502,000,000 | 56,120,000,000 |
| Total equity | 15,548,991,000 | 19,990,000,000 | 18,102,000,000 | 19,021,000,000 |
All line items
| Line item | 31/12/2025 | 31/12/2024 | 31/12/2023 | 31/12/2022 |
|---|---|---|---|---|
| Cash and cash equivalents | 3,945,819,000 | 6,136,000,000 | 4,159,000,000 | 4,326,000,000 |
| Short-term investments | 1,122,371,000 | 1,493,000,000 | 1,950,000,000 | 1,197,000,000 |
| Cash and short-term investments | 5,068,190,000 | 7,629,000,000 | 6,109,000,000 | 5,523,000,000 |
| Net receivables | 7,684,386,000 | 5,117,000,000 | 4,938,000,000 | 5,986,000,000 |
| Accounts receivable | 7,354,983,000 | 4,227,000,000 | 4,023,000,000 | 4,544,000,000 |
| Other receivables | 329,402,000 | 890,000,000 | 915,000,000 | 1,442,000,000 |
| Inventory | 4,047,944,000 | 5,177,000,000 | 5,119,000,000 | 5,931,000,000 |
| Prepaid expenses | 0 | 0 | 0 | -4,544,000,000 |
| Other current assets | 286,350,000 | 1,271,000,000 | 1,736,000,000 | 7,703,000,000 |
| Total current assets | 17,086,870,000 | 19,194,000,000 | 17,902,000,000 | 19,157,000,000 |
| Property, plant and equipment (net) | 9,002,996,000 | 11,669,000,000 | 10,707,000,000 | 10,770,000,000 |
| Goodwill | 17,730,656,000 | 22,311,000,000 | 21,109,000,000 | 21,609,000,000 |
| Intangible assets | 17,075,856,000 | 18,590,000,000 | 18,357,000,000 | 18,880,000,000 |
| Goodwill and intangible assets | 34,806,512,000 | 40,901,000,000 | 39,466,000,000 | 40,489,000,000 |
| Long-term investments | 3,068,748,000 | 104,000,000 | 1,220,000,000 | -293,000,000 |
| Tax assets | 1,147,401,000 | 1,280,000,000 | 927,000,000 | 1,049,000,000 |
| Other non-current assets | 5,444,650,000 | 6,602,000,000 | 5,044,000,000 | 6,649,000,000 |
| Total non-current assets | 53,470,308,000 | 60,556,000,000 | 57,364,000,000 | 58,664,000,000 |
| Other assets | 0 | 0 | 0 | 0 |
| Total assets | 70,557,178,000 | 79,750,000,000 | 75,266,000,000 | 77,821,000,000 |
| Total payables | 18,400,474,000 | 12,299,000,000 | 12,484,000,000 | 13,590,000,000 |
| Accounts payable | 16,959,714,000 | 10,258,000,000 | 10,355,000,000 | 11,100,000,000 |
| Other payables | 1,440,760,000 | 2,041,000,000 | 2,129,000,000 | 2,490,000,000 |
| Accrued expenses | 0 | 0 | 0 | 0 |
| Short-term debt | 2,585,157,000 | 5,880,000,000 | 4,567,000,000 | 5,231,000,000 |
| Capital lease obligations (current) | 0 | 322,000,000 | 334,000,000 | 340,000,000 |
| Tax payables | 0 | 1,233,000,000 | 1,363,000,000 | 877,000,000 |
| Deferred revenue | 0 | 0 | 0 | 0 |
| Other current liabilities | 702,858,000 | 6,733,000,000 | 6,122,000,000 | 6,266,000,000 |
| Total current liabilities | 21,688,490,000 | 25,234,000,000 | 23,507,000,000 | 25,427,000,000 |
| Long-term debt | 25,727,423,000 | 23,289,000,000 | 22,631,000,000 | 21,800,000,000 |
| Capital lease obligations (non-current) | 1,327,622,000 | 1,164,000,000 | 1,061,000,000 | 1,068,000,000 |
| Deferred revenue (non-current) | 0 | 0 | 3,275,000,000 | 0 |
| Deferred tax liabilities (non-current) | 3,607,406,000 | 4,342,000,000 | 3,995,000,000 | 4,375,000,000 |
| Other non-current liabilities | 597,730,000 | 3,166,000,000 | 33,000,000 | 3,450,000,000 |
| Total non-current liabilities | 31,260,181,000 | 31,961,000,000 | 30,995,000,000 | 30,693,000,000 |
| Other liabilities | 0 | 0 | 0 | 0 |
| Capital lease obligations | 1,327,622,000 | 1,486,000,000 | 1,395,000,000 | 1,408,000,000 |
| Total liabilities | 52,948,671,000 | 57,195,000,000 | 54,502,000,000 | 56,120,000,000 |
| Treasury stock | 0 | -2,296,000,000 | -6,241,000,000 | -4,809,000,000 |
| Preferred stock | 0 | 0 | 0 | 0 |
| Common stock | 85,104,000 | 88,000,000 | 88,000,000 | 92,000,000 |
| Retained earnings | 44,283,087,000 | 49,721,000,000 | 47,052,000,000 | 50,253,000,000 |
| Additional paid-in capital | 52,908,622,000 | 52,869,000,000 | 52,844,000,000 | 52,865,000,000 |
| Accumulated other comprehensive income/loss | -73,453,715,000 | -80,367,000,000 | -75,641,000,000 | -79,359,000,000 |
| Other stockholders' equity | -8,274,106,000 | 0 | 0 | -21,000,000 |
| Total stockholders' equity | 15,548,991,000 | 19,990,000,000 | 18,102,000,000 | 19,021,000,000 |
| Total equity | 17,608,507,000 | 22,555,000,000 | 20,764,000,000 | 21,701,000,000 |
| Minority interest | 2,059,515,000 | 2,565,000,000 | 2,662,000,000 | 2,680,000,000 |
| Total liabilities and total equity | 70,557,178,000 | 79,750,000,000 | 75,266,000,000 | 77,821,000,000 |
| Total investments | 4,191,119,000 | 1,597,000,000 | 3,170,000,000 | 904,000,000 |
| Total debt | 29,640,202,000 | 30,655,000,000 | 28,593,000,000 | 28,439,000,000 |
| Net debt | 25,694,383,000 | 24,519,000,000 | 24,434,000,000 | 24,113,000,000 |
Unilever PLC Cash Flow Statement
Cash from operations
Cash from investing
Cash flow / share TTM
—
Revenue / share TTM
—
Operating cash flow TTM
—
| Period end | 31/12/2025 | 31/12/2024 | 31/12/2023 | 31/12/2022 |
|---|---|---|---|---|
| Cash from operations | 7,783,875,000 | 9,519,000,000 | 9,426,000,000 | 7,282,000,000 |
| Cash from investing | -3,645,960,000 | -625,000,000 | -2,294,000,000 | 2,453,000,000 |
| Cash from financing | -5,691,351,000 | -6,941,000,000 | -7,193,000,000 | -8,890,000,000 |
| Net change in cash | -1,871,556,000 | 1,905,000,000 | -180,000,000 | 838,000,000 |
All line items
| Line item | 31/12/2025 | 31/12/2024 | 31/12/2023 | 31/12/2022 |
|---|---|---|---|---|
| Net income | 5,568,608,000 | 6,369,000,000 | 7,140,000,000 | 8,269,000,000 |
| Depreciation and amortization | 1,328,571,000 | 1,757,000,000 | 1,578,000,000 | 1,946,000,000 |
| Deferred income tax | 0 | 0 | 0 | 0 |
| Stock-based compensation | 0 | 324,000,000 | 212,000,000 | 177,000,000 |
| Change in working capital | 113,906,000 | -160,000,000 | 814,000,000 | -422,000,000 |
| Accounts receivable | -2,572,695,000 | -206,000,000 | 768,000,000 | -1,852,000,000 |
| Inventory | -275,926,000 | -198,000,000 | 340,000,000 | -1,398,000,000 |
| Accounts payable | 2,962,527,000 | 0 | -768,000,000 | 1,852,000,000 |
| Other working capital | 0 | 244,000,000 | 474,000,000 | 976,000,000 |
| Other non-cash items | 772,790,000 | 1,229,000,000 | -318,000,000 | -2,688,000,000 |
| Net cash from operating activities | 7,783,875,000 | 9,519,000,000 | 9,426,000,000 | 7,282,000,000 |
| Investments in property, plant and equipment | -1,562,274,000 | -1,738,000,000 | -1,502,000,000 | -1,627,000,000 |
| Acquisitions (net) | -1,414,982,000 | 190,000,000 | -268,000,000 | 3,643,000,000 |
| Purchases of investments | -192,461,000 | -166,000,000 | -891,000,000 | -301,000,000 |
| Sales/maturities of investments | 234,685,000 | 592,000,000 | 62,000,000 | 266,000,000 |
| Other investing activities | -710,928,000 | 497,000,000 | 305,000,000 | 472,000,000 |
| Net cash from investing activities | -3,645,960,000 | -625,000,000 | -2,294,000,000 | 2,453,000,000 |
| Net debt issuance | -1,469,971,000 | 643,000,000 | 497,000,000 | -1,209,000,000 |
| Long-term net debt issuance | 717,801,000 | 54,000,000 | 1,067,000,000 | -664,000,000 |
| Short-term net debt issuance | -2,187,773,000 | 643,000,000 | -570,000,000 | -545,000,000 |
| Net stock issuance | -1,482,736,000 | -1,508,000,000 | -1,507,000,000 | -1,509,000,000 |
| Net common stock issuance | -1,482,736,000 | -1,508,000,000 | -1,507,000,000 | -1,509,000,000 |
| Common stock issuance | 0 | 0 | 0 | 0 |
| Common stock repurchased | -1,482,736,000 | -1,508,000,000 | -1,507,000,000 | -1,509,000,000 |
| Net preferred stock issuance | 0 | 0 | 0 | 0 |
| Net dividends paid | -4,372,599,000 | -4,319,000,000 | -4,363,000,000 | -4,329,000,000 |
| Common dividends paid | -4,372,599,000 | -4,319,000,000 | -4,363,000,000 | -4,329,000,000 |
| Preferred dividends paid | 0 | 0 | 0 | 0 |
| Other financing activities | 1,633,956,000 | -1,757,000,000 | -1,820,000,000 | -1,843,000,000 |
| Net cash from financing activities | -5,691,351,000 | -6,941,000,000 | -7,193,000,000 | -8,890,000,000 |
| Effect of FX changes on cash | -318,119,000 | -48,000,000 | -119,000,000 | -7,000,000 |
| Net change in cash | -1,871,556,000 | 1,905,000,000 | -180,000,000 | 838,000,000 |
| Cash at end of period | 3,945,819,000 | 5,950,000,000 | 4,045,000,000 | 4,225,000,000 |
| Cash at beginning of period | 5,817,375,000 | 4,045,000,000 | 4,225,000,000 | 3,387,000,000 |
| Operating cash flow | 7,783,875,000 | 9,519,000,000 | 9,426,000,000 | 7,282,000,000 |
| Capital expenditure | -1,391,415,000 | -1,971,000,000 | -1,745,000,000 | -1,627,000,000 |
| Free cash flow | 6,392,459,000 | 7,548,000,000 | 7,681,000,000 | 5,655,000,000 |
| Income taxes paid | 0 | 0 | 0 | 0 |
| Interest paid | 0 | 0 | 0 | 0 |