Ratio from Unilevers financial statement Ratios Forecasted Actual 2011 2010 2009 2008 Profitability Ratios Gross Profit Margin 328 326 349 347 Net Profit Margin 83 73 80 64 Return on Asset 266 242 267 174 Return on Equity 938 919 928 896 Liquidity and Short Term Solvency Ratio Current Ratio 09 08 08 07 Acid-Test Ratio 08 08 07 06 Asset Management or Activity Ratio. Unilevers debt to assets ratio in 3 years is low which are 065 067 and 071 respectively indicating a low degree of leverage. According to these financial ratios Unilever PLCs valuation is way above the market valuation of its sector. They help investors to obtain meaningful information about Unilever Plc. Financial Ratio Analysis Liquidity Ratio Profitability Ratio Solvency Ratio Activity Ratio PT Unilever Tbk. These are on pages 87 to. You can evaluate financial statements to find patterns among Unilever main balance sheet or income statement drivers such as Direct Expenses of 272 B Net Income of 52 B or Operating Income of 78 B as well as many exotic indicators such as Interest Coverage of 1224 Long Term Debt to Equity. According to these financial ratios Unilever PLCs valuation is below the market valuation of its peer group. Therefore we could see that there is not much risk to buy Unilevers stock. Tells companys ability to fulfil its short term liabilities According to financial position of UPL in 2012 company improves current ratio 03 times from previous year 2011.
Research using the financial ratio analysis can be concluded that the company performance of PT Unilever Indonesia Tbk is in good condition from 2015 to 2019 so it is suitable for investors to invest their capital. You can evaluate financial statements to find patterns among Unilever main balance sheet or income statement drivers such as Direct Expenses of 272 B Net Income of 52 B or Operating Income of 78 B as well as many exotic indicators such as Interest Coverage of 1224 Long Term Debt to Equity. Financial Ratio Analysis Liquidity Ratio Profitability Ratio Solvency Ratio Activity Ratio PT Unilever Tbk. Ratio from Unilevers financial statement Ratios Forecasted Actual 2011 2010 2009 2008 Profitability Ratios Gross Profit Margin 328 326 349 347 Net Profit Margin 83 73 80 64 Return on Asset 266 242 267 174 Return on Equity 938 919 928 896 Liquidity and Short Term Solvency Ratio Current Ratio 09 08 08 07 Acid-Test Ratio 08 08 07 06 Asset Management or Activity Ratio. Certain sections of the Unilever Annual Report and Accounts 2019 have been audited. Dividend payout Ratio Cash Profit 9827. This table contains critical financial ratios such as Price-to-Earnings PE Ratio Earnings-Per-Share EPS Return-On-Investment ROI and others based on Unilever. Let have a look on the financial activities of Unilever. Unilever has a current ratio of 078. Low values however do not indicate a critical problem.
Check Unilever Plc financial statements over time to gain insight into future company performance. Earning Retention Ratio. Tells companys ability to fulfil its short term liabilities According to financial position of UPL in 2012 company improves current ratio 03 times from previous year 2011. UL Ratios This table contains critical financial ratios such as Price-to-Earnings PE Ratio Earnings-Per-Share EPS Return-On-Investment ROI and others based on Unilever PLC ADRs latest. This is the same as debt to asset ratio. Unilever has a current ratio of 078. Dividend payout Ratio Net Profit 9827. Unilever Financial Ratios for Analysis 2005-2021 UL. You can evaluate financial statements to find patterns among Unilever main balance sheet or income statement drivers such as Direct Expenses of 272 B Net Income of 52 B or Operating Income of 78 B as well as many exotic indicators such as Interest Coverage of 1224 Long Term Debt to Equity. 46 rows Current and historical current ratio for Unilever UL from 2006 to 2020.
Certain sections of the Unilever Annual Report and Accounts 2019 have been audited. 70 rows Liquidity Ratios Net Working Capital to Total Assets-557 Current Ratio. Ratio from Unilevers financial statement Ratios Forecasted Actual 2011 2010 2009 2008 Profitability Ratios Gross Profit Margin 328 326 349 347 Net Profit Margin 83 73 80 64 Return on Asset 266 242 267 174 Return on Equity 938 919 928 896 Liquidity and Short Term Solvency Ratio Current Ratio 09 08 08 07 Acid-Test Ratio 08 08 07 06 Asset Management or Activity Ratio. Research using the financial ratio analysis can be concluded that the company performance of PT Unilever Indonesia Tbk is in good condition from 2015 to 2019 so it is suitable for investors to invest their capital. According to these financial ratios Unilever PLCs valuation is way above the market valuation of its sector. Financial Ratio Analysis Liquidity Ratio Profitability Ratio Solvency Ratio Activity Ratio PT Unilever Tbk. In recent 5 years company improves asset to liabilities ratio. Unilever has a current ratio of 078. Dividend payout Ratio Net Profit 9827. Low values however do not indicate a critical problem.
You can evaluate financial statements to find patterns among Unilever main balance sheet or income statement drivers such as Direct Expenses of 272 B Net Income of 52 B or Operating Income of 78 B as well as many exotic indicators such as Interest Coverage of 1224 Long Term Debt to Equity. 46 rows Current and historical current ratio for Unilever UL from 2006 to 2020. According to these financial ratios Unilever PLCs valuation is way above the market valuation of its sector. Let have a look on the financial activities of Unilever. Dividend payout Ratio Cash Profit 9827. Certain sections of the Unilever Annual Report and Accounts 2019 have been audited. Unilever has a current ratio of 078. 21 rows Debt Equity Ratio. Earning Retention Ratio. This table contains critical financial ratios such as Price-to-Earnings PE Ratio Earnings-Per-Share EPS Return-On-Investment ROI and others based on Unilever.