Unilever N.V. (NYSE: UN) is a large market cap stock with a market cap of 138564.56. It is in the Personal Products industry and sector Consumer Goods, with a current P/E of 23.6, a forward P/E of 21.19 and EPS of 1.94. At a stock price of 45.77 (-1.42%) it has a dividend yield of 3.04%.
EPS growth for the last five years have been 3.30%, more recently this last year it has grown by -4.20%. The next year growth is going to be about 6.82% and more long-term 4.80% after five years. EPS growth quarter over quarter is 1.00%. Sales growth for the past five years have been 3.80% and sales growth quarter over quarter is -2.60%.
For performance, Unilever N.V. the past week has seen a gain of -1.61%. For the last month performance for Unilever N.V. is -3.68%. While the last quarter is 0.18% and half year, 3.70%. Finally for the year, performance is 12.30%.
The 52-week high for Unilever N.V., is at -4.65%, and for the 52-week low it comes to a value of 17.04%. The 20-day simple moving average is -0.61% and 3.61% for the 200-day simple moving average.
Volatility for the week is at 0.95%, and for the month it is 0.94%. Unilever N.V., has a target price of 45.27.
In terms of debt, long term debt/equity is 0.73, and for total debt/equity Unilever N.V. has 1.13. The gross margin is *TBA, while operating margin is *TBA, the profit margin is *TBA. The current ratio is 0.7 and the quick ratio is 0.5.
Insider ownership is at 3.10%, with instituitional ownership at 8.30%. Unilever N.V. has a payout ratio of *TBA. With the total shares outstanding coming to 3027.41. The shares float is 2544.54, with the float short at 0.11%, with short ratio coming to 1.8.
In terms of returns, the return on assets see Unilever N.V., get *TBA, with its returns on investment at 18.50%. Return on equity is *TBA. So will the investors see the target price of 45.27, reached soon?
Disclaimer: Remember there is a risk to your investment, this is not a recommendation, nor personal advice, never invest more than you are able too loose.