£41.88
£0.00 (0.00%)
End-of-day quote: 05/04/2024
LSE:ULVR

Unilever PLC Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
Rev. Revenue
£59.60B £60.07B £52.44B £50.72B £51.98B £50.98B £53.72B £52.71B £53.27B £48.44B £49.80B £51.32B £46.47B £44.26B £39.82B £40.52B £40.19B £39.64B
GM % Gross Margin %
42.24% 40.23% 42.30% 43.45% 44.01% 43.70% 43.25% 42.65% 42.17% 41.39% 41.63% 40.52% 39.89% 41.51% 41.79% 47.33% 48.84% 49.31%
OM Operating Margin
16.89% 16.19% 18.38% 18.45% 19.08% 18.30% 17.51% 14.62% 13.88% 16.28% 14.83% 13.31% 13.61% 14.37% 12.19% 12.77% 12.71% 13.33%
EPS Earnings Per Share
£0.00 £2.60 £2.57 £2.62 £2.65 £2.55 £2.36 £2.24 £1.88 £1.82 £1.61 £1.58 £1.57 £1.58 £1.53 £1.29 £1.38 £1.47 £1.23
Div. Dividends
£1.71 £1.67 £1.74 £1.66 £1.64 £1.55 £1.43 £1.28 £1.12 £1.58 £1.05 £0.97 £0.93 £0.84 £0.47 £0.69 £0.75 £0.70
PR % Payout Ratio %
65.77% 64.98% 66.41% 62.64% 64.31% 65.68% 63.84% 68.09% 61.54% 98.14% 66.46% 61.78% 58.86% 54.90% 36.43% 50.00% 51.02% 56.91%
Sha. Shares
2499.02m 2529.32m 2561.81m 2621.98m 2613.07m 2614.26m 2738.88m 2839.69m 2838.85m 2836.75m 2840.01m 2831.79m 2820.36m 2809.75m 2804.16m 2789.08m 2853.06m 2889.9m
OCF Operating Cash Flow
£9.43B £7.28B £7.97B £9.06B £8.11B £7.32B £7.88B £7.05B £7.33B £5.54B £6.29B £6.84B £5.45B £5.49B £5.77B £3.87B £3.88B £4.51B
FCF Free Cash Flow
£6.52B £5.66B £6.39B £7.67B £6.68B £4.96B £5.36B £4.80B £4.80B £3.10B £3.86B £4.33B £3.62B £3.79B £4.53B £2.73B £2.83B £3.50B
FCFS Free Cash Flow Per Share
£3.05 £2.19 £2.55 £3.07 £2.52 £2.16 £2.22 £1.76 £1.81 £1.16 £1.45 £1.58 £1.19 £1.31 £1.58 £0.92 £0.94 £1.17