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Balance Sheet - UNILEVER PLC (UL)

$ (Billion, Million)
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total cash and short-term investments + 5.06 7.63 5.89 5.52 4.50 6.30 5.09 4.10 4.09 3.98 2.64 2.82 3.05 2.69 3.80 2.44 3.61 3.19 1.31 1.31
Accounts receivable, net 7.67 5.12 4.94 7.46 5.74 5.31 6.70 5.51 5.22 5.31 -0.66 5.21 4.83 -1.32 -1.11 5.31 3.62 3.86 4.19 4.25
Inventories 4.04 5.18 5.12 5.93 4.68 4.46 4.16 4.30 3.96 4.28 4.34 4.17 3.94 4.44 4.60 4.31 3.58 3.89 3.89 3.80
Other current assets 0.29 1.27 1.74 7.70 2.40 0.03 0.48 7.27 9.33 7.44 6.37 6.37 6.50 6.34 7.00 6.25 4.73 4.09 4.94 0.13
Total current assets 17.06 19.19 17.90 19.16 17.40 16.16 16.43 15.48 16.98 13.88 12.69 12.35 12.12 12.15 14.29 12.48 10.81 11.18 9.77 9.49
Total non-current assets + 53.38 60.56 57.36 58.66 57.69 51.50 48.38 43.98 43.30 42.55 39.61 35.68 33.39 34.02 33.22 28.68 26.21 24.97 27.53 27.59
Total assets 70.44 79.75 75.27 77.82 75.10 67.66 64.81 59.46 60.29 56.43 52.30 48.03 45.51 46.17 47.51 41.17 37.02 36.14 37.30 37.07
Total current liabilities + 21.65 25.23 23.51 25.43 24.78 20.59 20.98 19.77 23.18 20.56 20.02 19.64 17.38 15.82 17.93 13.61 11.60 13.80 13.56 13.88
Total non-current liabilities + 31.21 31.96 31.00 30.69 30.57 29.41 29.94 27.39 22.72 18.89 16.20 14.12 13.32 14.64 14.66 12.48 12.88 11.97 10.92 11.52
Total liabilities 52.86 57.20 54.50 56.12 55.35 50.00 50.92 47.16 45.90 39.45 36.22 33.76 30.70 30.45 32.59 26.09 24.48 25.77 24.48 25.40
Total stockholders' equity + 15.52 19.99 18.10 21.70 19.75 17.66 13.19 12.29 13.63 16.36 16.08 13.65 14.34 15.16 14.29 14.49 12.07 9.95 12.39 11.23
Common shares outstanding 2,195 2,507 2,532 2,560 2,610 2,630 2,627 2,695 2,814 2,854 2,855 2,883 2,924 2,916 2,908 2,905 2,890 2,906 2,976 2,972
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Balance Sheet - UNILEVER PLC (UL)

$ (Billion, Million)
Dec-25 Jun-25 Dec-24 Jun-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Dec-15 Jun-15 Dec-14 Jun-14 Dec-13 Jun-13 Dec-12 Jun-12 Dec-11 Jun-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06 Dec-05 Sep-05 Jun-05 Mar-05 Dec-04 Sep-04 Jun-04 Mar-04 Dec-03 Sep-03 Jun-03 Mar-03 Dec-02 Sep-02 Jun-02 Mar-02
Total cash and short-term investments + 5.06 4.08 7.63 5.87 5.89 5.27 6.33 5.72 5.52 5.10 6.58 0.00 4.50 0.00 5.03 0.00 6.30 0.00 5.96 0.00 5.09 15.23 4.82 21.38 3.91 4.53 4.86 5.97 2.36 3.84 5.84 5.84 2.17 3.95 3.80 1.98 3.58 2.28 4.16 1.69 4.27 1.37 4.66 2.69 2.90 1.56 1.56 3.52 3.52 3.61 3.61 2.42 2.42 1.96 1.96 1.32 1.32 1.31 1.80 1.81 1.53 1.28 1.28 1.94 1.94 1.86 1.86 1.97 2.06 2.60 1.66 3.49 3.58 3.34 2.98 2.90 3.60 3.48 4.47 3.67 3.70
Accounts receivable, net 7.67 7.69 5.12 7.93 4.94 4.02 8.29 7.97 7.46 4.54 7.63 7.45 5.59 4.50 6.48 6.64 4.37 4.37 6.96 7.19 6.70 5.90 8.04 36.81 12.60 5.58 6.66 8.82 5.22 4.20 6.13 6.46 5.31 3.85 6.07 5.07 6.37 5.21 6.18 4.83 6.41 4.44 4.51 0.37 0.37 -1.11 -1.11 4.72 4.09 4.09 5.79 4.93 3.73 5.00 5.48 4.83 4.99 4.12 0.00 1.57 4.82 4.68 0.00 0.00 5.53 0.00 0.00
Inventories 4.04 5.50 5.18 5.62 5.12 5.12 5.67 5.67 5.93 5.93 5.89 5.89 4.68 4.68 4.77 4.77 4.46 4.46 4.65 4.65 4.16 4.16 4.39 19.44 4.30 4.98 4.25 5.22 3.96 3.96 4.16 4.16 4.28 4.28 4.65 4.34 4.59 4.17 4.33 3.94 4.49 4.44 5.00 4.60 4.63 4.31 4.31 4.40 4.40 3.58 3.58 3.76 3.76 3.89 3.89 4.43 4.43 3.89 4.12 4.17 4.14 3.80 3.80 3.89 3.89 4.11 4.11 4.28 4.11 3.76 4.18 4.32 4.50 4.17 4.52 4.70 4.80 4.50 4.97 4.92 4.79
Other current assets 0.29 0.30 1.27 0.34 1.73 3.49 0.02 1.00 7.70 3.58 10.73 3.28 8.22 2.86 1.14 0.98 5.40 0.40 0.39 0.23 2.26 0.51 0.34 0.31 7.27 1.61 4.93 4.38 9.33 4.36 1.29 0.14 7.44 1.12 1.41 6.37 1.20 6.37 1.08 6.50 0.32 1.90 6.31 2.48 5.82 6.25 6.25 5.45 5.45 4.73 4.73 4.99 4.99 4.09 4.09 0.24 0.24 1.21 0.26 0.25 0.44 4.43 4.43 5.09 5.09 1.05 5.17 5.37 4.62 4.13 1.01 5.23 5.31 1.19 7.35 7.18 7.64 2.71 9.41 9.55 7.40
Total current assets 17.06 19.19 19.19 20.22 17.89 17.90 20.36 20.36 19.16 19.16 23.20 23.20 17.40 17.40 17.41 17.41 16.16 16.16 17.95 17.95 16.43 16.43 17.59 77.94 15.48 17.92 19.83 24.40 16.98 16.98 16.60 16.60 13.88 13.88 15.25 12.69 14.87 12.35 15.00 12.12 15.49 12.15 15.97 14.29 13.35 12.48 12.48 13.36 13.36 10.81 10.81 11.17 11.17 11.18 11.18 11.78 11.78 9.93 11.18 11.71 10.95 9.50 9.50 10.92 10.92 11.14 11.14 11.62 10.78 12.06 11.67 13.03 13.39 13.38 14.85 14.77 16.04 16.22 18.85 18.14 15.89
Total non-current assets + 53.38 56.81 60.56 59.61 57.33 57.36 58.05 58.05 58.66 58.66 61.69 57.69 53.15 51.50 52.43 48.38 0.00 46.94 0.00 43.98 0.00 43.35 43.30 41.41 42.55 38.92 39.61 38.52 35.68 33.82 33.39 33.60 34.02 33.48 33.22 30.68 28.68 28.68 28.59 28.59 26.21 26.21 26.28 26.28 24.97 24.97 26.56 26.56 27.37 27.75 27.88 27.48 27.57 27.57 27.69 27.69 28.36 28.36 28.30 27.50 21.79 28.46 28.75 28.68 24.52 25.93 26.80 27.84 28.41 30.18 30.68 30.22
Total assets 70.44 76.00 79.75 79.83 75.22 75.27 78.41 78.41 77.82 77.82 84.89 75.10 70.56 67.66 70.38 64.81 198.49 64.53 285.94 59.46 68.83 63.18 77.72 60.29 60.29 58.01 58.01 56.43 56.43 54.18 52.30 53.39 48.03 48.82 45.51 49.09 46.17 49.45 47.51 44.04 41.17 41.17 41.96 41.96 37.02 37.02 37.45 37.45 36.14 36.14 38.35 38.35 37.30 38.92 39.58 38.42 37.07 37.07 38.61 38.61 39.50 39.50 39.91 38.28 33.85 40.13 41.78 42.07 37.90 40.78 41.58 43.88 44.64 49.03 48.82 46.11
Total current liabilities + 21.65 25.10 25.23 26.13 23.49 23.51 25.61 25.61 25.43 25.43 28.94 28.94 24.78 24.78 23.79 23.79 20.59 20.59 20.98 20.98 20.98 20.98 21.75 96.36 19.77 22.89 25.99 31.97 23.18 23.18 19.82 19.82 20.56 20.56 21.31 20.02 21.84 19.64 20.44 17.38 23.01 15.82 20.37 17.93 15.08 13.61 13.61 14.10 14.10 11.60 11.60 12.00 12.00 13.80 13.80 15.65 15.65 13.56 14.87 15.47 14.73 13.88 13.88 14.52 14.52 15.39 15.39 17.10 14.74 14.56 14.17 16.45 16.51 17.04 10.97 10.50 11.94 20.62 11.68 11.80 12.49
Total non-current liabilities + 31.21 30.97 31.96 30.68 30.98 31.00 30.88 30.88 30.69 30.69 33.09 30.57 27.32 29.41 31.18 29.94 0.00 29.39 0.00 27.39 0.00 24.89 22.72 21.37 18.89 17.76 16.20 15.66 14.12 13.91 13.32 12.77 14.64 14.13 14.66 13.10 12.48 12.48 14.78 14.78 12.88 12.88 14.87 14.87 11.97 11.97 10.92 10.92 10.92 10.67 11.32 10.89 11.52 11.52 14.90 14.90 15.34 15.34 14.62 15.15 13.40 11.43 17.97 17.55 14.51 23.10 24.64 26.17 17.52 30.16 28.78 28.03
Total liabilities 52.86 58.21 57.20 56.81 54.47 54.50 56.49 56.49 56.12 56.12 62.03 55.35 51.11 50.00 52.15 50.92 155.96 51.13 226.58 47.16 54.60 50.88 62.59 45.90 45.90 41.19 41.19 39.45 39.45 39.07 36.22 37.50 33.76 34.35 30.70 35.78 30.45 34.50 32.59 28.18 26.09 26.09 28.88 28.88 24.48 24.48 26.87 26.87 25.77 25.77 26.57 26.57 24.48 25.54 26.79 25.62 25.40 25.40 29.42 29.42 30.74 30.74 31.72 29.89 27.96 25.60 34.42 34.06 31.55 34.06 35.14 38.10 38.14 41.84 40.59 40.52
Total stockholders' equity + 15.52 17.79 19.99 20.31 18.09 18.10 19.26 19.26 19.02 19.02 20.14 17.11 17.02 15.27 15.64 13.19 40.40 12.71 56.32 11.57 13.40 11.58 14.25 13.63 13.63 16.20 16.20 16.36 14.48 15.44 15.27 13.65 13.89 14.34 12.88 15.16 14.23 14.29 15.28 14.49 14.49 12.43 12.43 12.07 12.07 10.09 10.09 9.95 9.95 11.34 11.34 12.39 12.88 12.25 12.23 11.23 11.23 8.79 8.79 8.36 8.36 7.78 7.98 5.53 8.24 6.97 7.53 5.91 6.31 6.02 5.13 5.87 6.51 7.53 4.93
Common shares outstanding 2,195 2,452 2,503 2,511 2,528 2,528 2,537 2,537 2,592 2,553 2,566 2,561 2,627 2,584 2,627 2,628 7,151 2,626 10,275 12,973 2,685 2,737 2,884 2,782 2,846 2,498 2,854 274 2,854 2,856 2,855 2,854 2,911 2,922 2,926 2,915 2,915 2,908 2,908 5,811 5,811 5,805 5,805 5,771 5,771 5,758 5,758 2,906 2,914 2,926 2,926 5,960 2,980 5,970 2,985 2,984 2,984 2,907 2,907 3,036 3,036 3,026 3,026 3,139 2,997 2,997 1,310 2,899 2,994 2,909 3,358 9,792 4,896 6,065 3,033
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