Report
EUR 144.20 For Business Accounts Only

Negative Trend or Turnaround?

​Unilever’s stock has taken a hit with Brexit and a brush with Tesco. The stock is reasonably priced, and the company is one of the best consumer products marketers in the world. Unilever NV manufactures branded and packaged consumer goods, including food, detergents, fragrances, home and personal care products. We divide our report in 3 sectors:

- Ratio summary

- Peer group confrontation

- Next 90/180 days share price movement forecasting using our proprietary “Evidence Based Performance Analysis”© approach.

Underlying
UNILEVER N.V.

Unilever is engaged in the supply of consumer goods in foods, household care and personal products. Co.'s activities are carried out through four categories: Personal Care, sales of skin care and hair care products, deodorants and oral care products; Home Care, sales of home care products, such as powders, liquids and capsules, soap bars and a range of cleaning products; Foods, sales of soups, bouillons, sauces, snacks, mayonnaise, salad dressings, margarines and spreads; and Refreshment, sales of ice cream and tea-based beverages. Co.'s products are sold in over 190 countries around the world.

Provider
Ambrosetti Asset Management SIM
Ambrosetti Asset Management SIM

​Since 2003, Ambrosetti Asset Management is a stockbroking company authorized by Governmental Authorities to execute advisory services for investment and wealth management. We are specialized in providing support services to asset management activities (asset selection, asset allocation, market timing, analysis & research) as well as tailor-made solutions and strategies.

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