Unilever PLC (FRA:UNV0)
Germany flag Germany · Delayed Price · Currency is EUR
56.46
+0.57 (1.02%)
At close: Jan 29, 2026

Unilever Balance Sheet

Millions EUR. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
4,3446,1364,1594,3263,4155,548
Short-Term Investments
4787361,112772751477
Trading Asset Securities
548446582500340277
Cash & Short-Term Investments
5,3707,3185,8535,5984,5066,302
Cash Growth
-16.23%25.03%4.55%24.23%-28.50%19.36%
Accounts Receivable
7,6314,2274,0234,5443,5823,433
Other Receivables
3899551,0081,134922933
Receivables
8,0205,1825,0315,6784,5044,366
Inventory
5,5025,1775,1195,9314,6834,462
Prepaid Expenses
-506516969492423
Other Current Assets
2981,0111,3839813,216604
Total Current Assets
19,19019,19417,90219,15717,40116,157
Property, Plant & Equipment
10,94011,66910,70710,77010,34710,558
Long-Term Investments
1,3961,4391,2201,0001,063794
Goodwill
20,61122,31121,10921,60920,33018,942
Other Intangible Assets
17,43018,59018,35718,88018,26115,999
Long-Term Accounts Receivable
-344394520499465
Long-Term Deferred Tax Assets
1,1101,2801,1131,0491,4651,474
Other Long-Term Assets
5,3224,9234,4644,8365,7293,270
Total Assets
75,99979,75075,26677,82175,09567,659
Accounts Payable
16,23910,25810,35511,1008,8968,375
Accrued Expenses
-5,6085,5695,8584,8764,667
Short-Term Debt
702,3381,5812,1584,0341,921
Current Portion of Long-Term Debt
7,0854,3273,1723,2772,8532,160
Current Portion of Leases
-322334340365380
Current Income Taxes Payable
9036788518771,3651,451
Other Current Liabilities
8021,7031,6451,8172,3891,638
Total Current Liabilities
25,09925,23423,50725,42724,77820,592
Long-Term Debt
23,34623,90223,47422,64521,59721,453
Long-Term Leases
1,5241,1641,0611,0681,2841,391
Pension & Post-Retirement Benefits
1,0311,1941,3801,6912,1262,435
Long-Term Deferred Tax Liabilities
3,9294,3423,9954,3754,5303,166
Other Long-Term Liabilities
1,1391,3591,0859141,034967
Total Liabilities
56,06857,19554,50256,12055,34950,004
Common Stock
888888929292
Additional Paid-In Capital
52,84552,84452,84452,84452,84473,472
Retained Earnings
50,70049,72147,05250,25346,74522,548
Treasury Stock
--2,296-6,241-4,809-3,406-483
Comprehensive Income & Other
-85,838-80,367-75,641-79,359-79,168-80,363
Total Common Equity
17,79519,99018,10219,02117,10715,266
Minority Interest
2,1362,5652,6622,6802,6392,389
Shareholders' Equity
19,93122,55520,76421,70119,74617,655
Total Liabilities & Equity
75,99979,75075,26677,82175,09567,659
Total Debt
32,02532,05329,62229,48830,13327,305
Net Cash (Debt)
-26,655-24,735-23,769-23,890-25,627-21,003
Net Cash Per Share
-13.56-12.49-11.88-11.81-12.43-10.11
Filing Date Shares Outstanding
2,1792,2012,2212,2482,2772,331
Total Common Shares Outstanding
2,1792,2012,2212,2482,2772,331
Working Capital
-5,909-6,040-5,605-6,270-7,377-4,435
Book Value Per Share
8.179.088.158.467.516.55
Tangible Book Value
-20,246-20,911-21,364-21,468-21,484-19,675
Tangible Book Value Per Share
-9.29-9.50-9.62-9.55-9.43-8.44
Land
-556471504380347
Buildings
-4,3144,0114,1003,7933,856
Machinery
-14,43213,90014,14813,58114,305
Construction In Progress
-1,6021,2461,064974-
Source: S&P Global Market Intelligence. Standard template. Financial Sources.