Unilever PLC (ULVR.L)

LSEConsumer Defensive

£5397.5
-£73.5 (-1.3%)
Market closed

February 25, 2026 at 16:30 UTC

Interactive Chart
ULVR.L
1H
3H
6H
12H
1D
1W
1M
3M
6M
1Y
2Y
5Y
All

04:35:59 UTC

About Unilever PLC

Name

Unilever PLC

CEO

Fernando Fernandez

Industry

Consumer Defensive

Year Founded

1929

Employees

115,964

Unilever PLC is a consumer goods company whose brands sit in homes and workplaces around the world. The business is built on two simple ideas: everyday usefulness and steady execution. Formulation and packaging change in measured steps so products remain familiar, while supply planning aims to keep core ranges available through seasonal swings. Local teams adapt taste, fragrance, and usage guidance to regional habits without losing the thread of the brand. Retail partners see consistent resets and clear shelf rules; digital channels mirror the same logic so baskets feel predictable online. Investment in responsible sourcing, packaging design, and product information is treated as routine rather than intermittent initiative. Within consumer staples, Unilever positions scale as a promise of continuity: items that work the way people expect, delivered through channels that can be audited and repeated.

Analyst Ratings
Consensus Recommendation
Analyst consensus: 4 Buy, 11 Hold, 9 Sell
Buy4
Hold11
Sell9
Fundamentals & Financials
Revenue (TTM)
£35.4B
Net Income (TTM)
£4.3B
EPS (TTM)
£1.89
ROA (TTM)
6.15%
Current Ratio
0.79
Dividend Yield
0.097%

TTM is calculated as the sum of the four most recently completed quarters. This is a standard approach when monthly or real-time data is not available.

Income Statement
ItemQ4 2025
Revenue£20,348.3M
Cost of Sales£0
Gross Profit£0
Operating Income£4,157.3M
Net Income£2,580.4M
EPS£1.18
Technical Indicators

Unilever PLC's Technical Indicators Summary

ULVR.L is currently trading just above its 10-day simple moving average but remains below all medium and long-term averages, including the 200-day EMA, indicating a lack of clear directional strength. Momentum is mildly positive, supported by a modest buy signal on the 10-day momentum indicator, yet broader momentum oscillators like RSI and CCI suggest consolidation with neutral readings. The average directional index remains subdued, pointing to a weak trend, while volatility measured by the ATR is steady without significant spikes. On the volume front, the on-balance volume shows some accumulation, and price is slightly above the VWAP, reflecting a balanced intraday market. Overall, technical indicators depict a cautious and neutral market stance.

Buy
4 signals
Neutral
11 signals
Sell
9 signals
Overall: Neutral46% Neutral signals
IndicatorValue
RSI (14)
45.89
Stochastic %K (14, 3, 3)
58.00
CCI (20)
-50.55
WPR (14)
-44.22
Momentum (10)
4.50
MFI
31.51
MACD Level (12, 26)
-18.96
Bollinger Bands
$4645.94 - $4927.06
ATR (14)
$85.97 (1.81%)
ADX (14)
22.76
OBV
18,016,436
VWAP
$4746.21
Classic Pivot Point
$4771.17
Fibonacci Pivot Point
$4771.17
Simple Moving Averages
$4746.30 - $4879.30(5 indicators)
Exponential Moving Averages
$4765.04 - $4862.33(5 indicators)
Stay Ahead of the Market

Get premium market insights delivered directly to your inbox.

Today's Snapshot

By the close, VIX had posted a modest -4.15% move, hinting at a small adjustment in sentiment. The session finished with ULVR.L maintaining its lower-volatility footprint, beta 0.24. ULVR.L maintains its low-volatility profile amid mixed sector headlines and modest sentiment shifts.

Price Change

from £5472 close

-£83

Trading Volume

Below avg (5.0M)

1.5M

vs S&P 500 Today

Strong Underperformance

-83.48%

52-Week Position

Upper range

84%

Updated: February 25, 2026 at 16:05 UTC

Quote Summary
OpenPrevious Close
£5480£5472
Day Range52 Week Range
£5361 - £5491£4584.5 - £5542.11
VolumeAvg. Volume
5.1M4M
Market CapP/E Ratio
£117.8B23.8