Unilever (ULVR.L) research

Unilever PLC is a global consumer-goods company organised around Beauty and Wellbeing, Personal Care, Home Care and Foods, with products sold through a broad international portfolio of brands.

Investment Score

The deterministic Investment Score for Unilever (ULVR.L) is 57 with a mechanical rating of Hold and a stated confidence of 83. The score reflects a mix of clear strengths (strong profitability metrics, positive valuation contribution, operating cash flow and net-debt figures) offset by material weaknesses and data gaps (weak short-term liquidity, low financial-health and dividend-sustainability scores, declining revenue and several missing market multiples). The factors driving the Hold outcome are the high Valuation (score 85, contribution 18.89) and Profitability (score 78, contribution 17.33) being balanced against poor Financial Health (score 25, contribution 5.56) and weak Dividend Sustainability (score 25, contribution 2.78); Growth is neutral (score 57, contribution 12.67) and Analyst Consensus is unavailable and excluded.

Score: 57

Dividend evidence

  • Ex-dividend 29 October 2026 · £0.40 · estimated · Yahoo

Sources and limitations

Last updated 2 August 2026. Historical payments do not guarantee future distributions. Research and educational information only.

Detailed dividend history · UK dividend hub · Methodology