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Unilever PLC

Unilever PLC

ULBATSDepository receipts

$63.67

-$0.16

-0.25%

21 Apr 20:00

$47.55

$65.87

52 weeks low/high

Technical analysis

  • Trend Class
    Turning down
  • Trend Power
    Almost flat
  • Pattern
    Divergence Channel
  • EMA-20
    Bullish reversal
    2025-04-09 the price crossed up the moving average line and demonstrates a strong upside trend.
  • EMA-50
    Bullish reversal
    2025-04-09 the price crossed up the moving average line and formed a short-term upside trend.
  • EMA-100
    Bullish reversal
    2025-04-09 the price crossed up the moving average line and formed a short-term upside trend.
  • Stochastic
    Bullish weakening
    The stochastic indicator is in overbought territory and it falls. These factors indicate that perhaps the upside trend is coming to an end. Last signal: main and signal line crossing.
  • RSI
    Bullish Recovery
    RSI indicator is in the lower part of the neutral territory and it heading north. These factors indicate that the upside trend is forming Last signal: entrance to the overbought zone.
  • MACD
    Bullish Recovery
    Oscillator MACD is in the positive territory it's higher than the signal line and grows. These factors mean that positive mood prevails. Last signal: entrance to the overbought zone.
  • Candle pattern type
    Bearish Harami
    Consists of an unusually large white body followed by a small black body contained within. Large white body It is considered as a bearish pattern when preceded by an uptrend.
    Date of signal:

Prices and risks

Price
ChangeChange by industryMin.Max.Volume
Yesterday1.01%3.68%$63.79$64.2020.02M
Week4.11%2.21%$61.35$64.20476.30M
Month10.47%13.80%$56.80$64.203.04B
3 Months13.84%6.81%$54.32$64.207.37B
6 Months4.00%17.66%$54.32$64.2012.90B
Year36.97%32.35%$47.02$65.8726.39B
3 years42.29%62.23%$42.44$65.8773.81B
5 years22.87%85.20%$42.44$65.87121.13B
All time249.82%199.62%$16.95$65.87113.75B
Volatility
ULBy industry
Yesterday20.16%0.94%
Week1.73%3.22%
Month6.42%7.48%
3 Months8.07%17.50%
6 Months11.60%26.76%
Year19.10%40.81%
3 years32.32%68.16%
5 years47.14%96.81%
All time
Sortino
1.67
Sharpe
1.92
Sterling
1.96
Liquidity index
6.71
Alpha
0.00073
Beta
0.47
Indicators are given for the year

Fundamental analysis

Indicators for the last quarter and their dynamics for 5 quarters

Ratios

Valuation
Price/Sales
3.05
P/FCF
32.94
Debts
D/E
0.00
Efficiency
ROE
31.90
ROA
10.79
ROI
20.41
Net Worth
167.43
Quick Ratio
0.56
Current Ratio
0.77
Other ratios
Net Profit Margin
9.99
Operating Margin
13.51
Gross Margin
13.51
Return on tangible equity
-107.03
Revenue
Revenue
14.95B
Gross Profit
1.67B
EBITDA
2.04B

Financials

Growth
Net Income
$1.32B
Operating Income
$1.67B
Assets
Total Assets
$81.46B
Cash on Hand
$6.38B
Total share holder equity
$22.47B
Debts
Long Term Debt
$9.92B
Total liabilities
$58.99B

News

About

$159.71B

Capitalization

2.50B

Shares outstanding

Consumer Staples

Sector

Personal Care Products

Industry

US9047677045

ISIN

1

Lot size

Mr. Hein. M. A. Schumacher

CEO

There is no information about this company