Unilever PLC - Common Stock - Foreign

Historical Holders from Q1 2014 to Q3 2025

Type / Class
Equity / Common Stock - Foreign
Price per share
$59.21
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
60,296
Total reported value
$3,570,434
% of total 13F portfolios
0%
Share change
-1,472
Value change
-$87,106
Avg sell value change
-0%
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, Unilever PLC - Common Stock - Foreign has 2 institutional shareholders filing 13F forms. They hold 60,296 shares. .

Institutional Holders of Unilever PLC - Common Stock - Foreign across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 60,296 $3,570,434 -$87,106 5,920.53% 2
2025 Q2 61,768 $3,747,688 +$3,743,740 6,068.88% 2
2025 Q1 65 $3,871 -$4,177,103 5,955.38% 1
2024 Q4 73,400 $4,180,801 +$1,829,756 5,695.92% 3
2024 Q3 41,276 $2,679,126 +$4,270 6,480.25% 2
2024 Q2 41,210 $2,264,181 5,494.25% 1
2024 Q1 41,210 $2,068,031 +$2,068,031 5,018.27% 1
2023 Q2 0 $0 -$39,158,507 0
2023 Q1 757,547 $39,158,507 -$584,110 5,169.12% 1
2022 Q4 768,847 $38,576,387 +$6,753,466 5,017.43% 1
2022 Q3 634,247 $29,543,000 +$1,597,868 4,657.96% 1
2022 Q2 599,943 $28,346,000 +$25,799,059 4,724.78% 1
2022 Q1 53,906 $2,447,000 4,539.38% 1
2021 Q4 53,906 $2,878,000 5,338.92% 1
2021 Q3 53,906 $2,909,000 +$1,962,000 5,396.43% 1
2021 Q2 16,207 $947,000 +$233,726 5,843.15% 1
2021 Q1 12,207 $683,000 5,595.15% 1
2020 Q4 12,207 $733,000 6,004.75% 1
2020 Q3 12,207 $754,000 -$717,125 6,176.78% 1
2020 Q2 23,817 $1,282,000 +$624,933 5,382.71% 1
2020 Q1 12,207 $617,000 -$305,315 5,054.48% 1
2019 Q4 17,446 $1,005,374 +$676,000 5,762.92% 2
2019 Q3 5,715 $344,383 6,025.95% 1
2019 Q2 5,715 $356,001 6,229.24% 1
2019 Q1 5,715 $327,293 +$35,507 5,726.91% 1
2018 Q4 5,095 $266,600 5,232.58% 1
2018 Q3 5,095 $280,117 5,497.88% 1
2018 Q2 5,095 $281,982 5,534.48% 1
2018 Q1 5,095 $282,710 5,548.77% 1
2017 Q4 5,095 $284,340 5,580.77% 1
2017 Q3 5,095 $295,234 5,794.58% 1
2017 Q2 5,095 $274,984 5,397.13% 1
2017 Q1 5,095 $250,987 +$221,430 4,926.14% 1
2016 Q4 600 $24,410 -$1,618,590 4,068.33% 1
2016 Q3 34,652 $1,643,000 +$15,173 4,741.43% 1
2016 Q2 34,332 $1,635,000 -$15,335 4,762.32% 1
2016 Q1 34,654 $1,570,000 4,530.5% 1
2015 Q4 34,654 $1,495,000 -$199,919,396 4,314.08% 1
2015 Q3 4,948,102 $201,319,000 -$167,003,217 4,066.23% 2
2015 Q2 3,927,896 $168,639,000 -$1,173,146 4,288.08% 2
2015 Q1 3,955,221 $165,281,000 -$601,568 4,176.35% 2
2014 Q4 3,969,618 $162,664,000 -$195,471,482 4,097.41% 2
2014 Q3 8,680,188 $363,756,000 +$210,197,928 4,190.65% 1
2014 Q2 3,723,975 $168,801,000 +$168,801,000 4,533.86% 2
2014 Q1 0 $0 -$1,564,000 0