Unilever
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
19.5618.4017.2016.85
Price/Sales ratio
2.332.272.212.12
Earnings per Share (EPS)
$3.16$3.36$3.59$3.67

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
18.6823.0821.2321.5413.0923.8223.2920.3815.7217.1320.9013.09
Price/Sales ratio
1.992.122.082.412.402.572.562.352.001.862.262.57
Price/Book Value ratio
7.077.336.739.5110.6010.158.517.206.316.136.8310.15
Price/Cash Flow ratio
17.4315.4515.6216.4616.7616.5214.3515.4716.5011.7914.7216.52
Price/Free Cash Flow ratio
26.4720.7420.9920.3620.4819.7215.8617.9620.6214.0217.3719.72
Price/Earnings Growth ratio
2.90-4.663.671.230.21-0.62-25.042.170.54-1.161.160.21
Dividend Yield
3.30%2.93%3.27%3.01%3.31%3.25%3.26%3.71%3.47%3.92%3.11%3.25%
Profitability Indicator Ratios
Gross Profit Margin
41.39%42.16%42.65%43.24%43.69%44.01%43.45%42.30%40.22%42.23%42.89%44.01%
Operating Profit Margin
16.28%13.87%14.62%17.50%18.29%19.07%18.44%18.37%16.04%16.89%18.10%19.07%
Pretax Profit Margin
15.78%13.55%14.16%15.12%24.24%15.94%15.76%16.31%17.20%15.66%15.98%15.94%
Net Profit Margin
10.67%9.21%9.83%11.21%18.37%10.82%11.00%11.53%12.72%10.88%11.01%10.82%
Effective Tax Rate
27.87%27.16%25.73%20.55%20.80%27.30%24.04%22.61%20.00%23.54%24.52%20.80%
Return on Assets
10.76%9.38%9.18%9.99%15.75%8.67%8.24%8.05%9.82%8.61%8.31%8.67%
Return On Equity
37.88%31.79%31.69%44.19%80.96%42.63%36.55%35.35%40.17%35.83%34.58%42.63%
Return on Capital Employed
27.78%22.90%21.48%25.34%23.50%22.62%19.88%19.15%18.39%19.45%20.32%22.62%
Liquidity Ratios
Current Ratio
N/A0.630.670.730.780.780.78N/AN/AN/A0.770.78
Quick Ratio
0.410.410.460.560.560.580.560.510.520.540.550.58
Cash ratio
0.100.110.160.140.160.190.260.130.170.170.190.16
Days of Sales Outstanding
21.3019.9823.0535.4649.7849.7938.2124.9345.30N/A47.9749.79
Days of Inventory outstanding
53.5951.3551.6547.4354.6952.2256.7756.4860.2954.2659.5954.69
Operating Cycle
74.8971.3474.7082.90104.47102.0294.9981.41105.5954.26107.56104.47
Days of Payables Outstanding
98.1898.28103.7398.38115.98115.26106.57107.30112.83109.77181.92115.98
Cash Conversion Cycle
-23.28-26.94-29.02-15.48-11.50-13.23-11.57-25.88-7.24-55.50-74.35-13.23
Debt Ratios
Debt Ratio
0.240.260.280.390.400.390.360.370.340.360.390.39
Debt Equity Ratio
0.850.890.991.732.091.961.631.631.421.501.551.96
Long-term Debt to Capitalization
0.320.370.400.540.640.620.580.550.530.550.540.62
Total Debt to Capitalization
0.460.470.490.630.670.660.620.620.580.600.600.66
Interest Coverage Ratio
N/A13.4911.7813.3919.9210.9813.15N/AN/AN/AN/A10.98
Cash Flow to Debt Ratio
0.470.530.430.330.300.310.360.280.260.340.290.31
Company Equity Multiplier
3.513.383.454.425.134.914.434.384.094.153.934.91
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.110.130.130.140.140.150.170.150.120.150.150.14
Free Cash Flow / Operating Cash Flow Ratio
0.650.740.740.800.810.830.900.860.800.840.830.81
Cash Flow Coverage Ratio
0.470.530.430.330.300.310.360.280.260.340.290.31
Short Term Coverage Ratio
1.101.681.331.022.481.992.311.191.392.061.231.99
Dividend Payout Ratio
61.67%67.85%69.61%65.01%43.39%77.47%76.14%75.75%54.61%67.25%64.35%43.39%