UNILEVER PLC - Common Stock

Historical Holders from Q1 2016 to Q3 2025

Type / Class
Equity / Common Stock
Shares outstanding
2,505,053,329
Price per share
$59.28
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
395,701
Total reported value
$23,503,982
% of total 13F portfolios
0%
Share change
-476,560
Value change
-$28,959,206
Number of holders
3
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of UNILEVER PLC - Common Stock based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 7.6% 190,384,053 BlackRock, Inc. 31 Mar 2025
As of 30 Sep 2025, UNILEVER PLC - Common Stock has 3 institutional shareholders filing 13F forms. They hold 395,701 shares. of 2,505,053,329 outstanding shares (0.02%) .

Institutional Holders of UNILEVER PLC - Common Stock across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 395,701 $23,503,982 -$28,959,206 $59.28 3
2025 Q2 872,261 $53,127,081 +$33,450,690 $61.01 3
2025 Q1 323,846 $19,254,007 -$5,854,843 $59.45 1
2024 Q4 422,358 $23,940,675 -$5,311,265 $57.79 2
2024 Q3 515,831 $33,509,834 -$7,648,288 $64.91 3
2024 Q2 638,338 $35,079,162 -$3,477,896 $54.93 3
2024 Q1 701,627 $35,252,191 -$8,201,302 $50.24 3
2023 Q4 866,380 $41,964,649 -$1,063,256 $48.38 3
2023 Q3 888,328 $44,091,052 -$4,367,277 $49.55 3
2023 Q2 974,152 $50,705,662 -$987,626 $52.05 3
2023 Q1 993,126 $51,450,329 +$46,382,998 $51.81 4
2022 Q4 97,926 $4,925,890 $0 $50.02 3
2022 Q3 97,926 $4,340,000 $0 $44.34 3
2022 Q2 97,926 $4,437,000 +$2,443,998 $45.32 3
2022 Q1 44,000 $2,005,000 $0 $45.57 1
2021 Q4 44,000 $2,354,000 -$120,375 $53.50 1
2021 Q3 46,250 $2,500,000 -$137,000 $54.05 1
2021 Q2 48,586 $2,845,000 +$137,000 $58.60 2
2021 Q1 46,250 $2,586,000 $0 $55.91 1
2020 Q4 46,250 $2,805,000 +$2,804,998 $60.65 1
2017 Q1 0 $0 -$203,000 $59.28 0
2016 Q4 4,979 $203,000 -$8,277 $40.77 1
2016 Q3 5,182 $246,000 -$11,536 $47.47 1
2016 Q2 5,425 $260,000 -$8,291 $47.93 1
2016 Q1 5,598 $254,000 +$254,000 $45.37 1