Unilever PLC
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Consumer Staples : Personal Care Products | Large Cap Blend
Based in United Kingdom
Company profile

Unilever PLC is a United Kingdom-based fast-moving consumer goods (FMCG) company. The Company operates through five segments: Beauty & Wellbeing, Personal Care, Home Care, Nutrition and Ice Cream. Beauty & Wellbeing segment sells hair care (shampoo, conditioner, styling), skin care (face, hand and body moisturizers) and includes Prestige Beauty and Health & Wellbeing. Personal Care segment sells skin cleansing (soap, shower), deodorant and oral care (toothpaste, toothbrush, mouthwash) products. Home Care segment sells fabric care (washing powders and liquids, rinse conditioners) and a wide range of cleaning products. Nutrition sells scratch cooking aids (soups, bouillons, seasonings), dressings (mayonnaise, ketchup) and tea products. Ice Cream segment includes ice cream products. Its subsidiaries include Unilever de Argentina S.A., Unilever Australia Limited, Unilever Canada Inc, Wall's (China) Co. Limited and Unilever Bangladesh Limited.

This security is an American depositary receipt
ADR Fees
American Depositary Receipt (ADR) Fee

ADR fees charged by custodial banks normally average from 1 to 3 cents per share. Other country fees might apply. To read more, see the Exception Fees tab at Brokerage Fees

Premarket

Last Trade
Delayed
$52.21
0.23 (0.44%)
Bid
--
Ask
--
B/A Size
--

Market Hours

Closing Price
$51.98
Day's Change
0.00 (0.00%)
Bid
--
Ask
--
B/A Size
--
Day's High
--
Day's Low
--
Volume
(Light)
Volume:
30

10-day average volume:
2,367,062
30
  • Prev Close
    51.98
  • Today's Open
    --
  • Day's Range
    --
  • Avg Vol (10-day)
    2.4M
  • Last (time)
    7:00p ET 03/30/23
  • Last (size)
    30
  • 52-Wk Range
    42.44 - 52.34
    LowHigh
  • (10/13/22 - 02/14/23)
    0.69%
  • 21.7%
  • Market Cap
    131.5B
  • Shares Outstanding
    2.5B
  • 3.24
  • 15.95x
  • $2.26/4.37%
  • Ex-dividend Date
    02/23/23
  • Dividend Pay Date
    03/21/23
  • 0.4
  • 10.43
  • (% of float 03/15/23)
    0.09

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