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6-K 1 a6-kxmay2025.htm 6-K Document

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
_________________________________________________
FORM 6-K
_________________________________________________
REPORT OF FOREIGN PRIVATE ISSUER
PURSUANT TO RULE 13a-16 OR 15d-16
OF THE SECURITIES EXCHANGE ACT OF 1934

For the month of May, 2025
Commission File
Number: 001-04546
______________________________________________________
UNILEVER PLC
(Translation of registrant’s name into English)
_____________________________________________________

UNILEVER HOUSE, BLACKFRIARS, LONDON, ENGLAND
(Address of principal executive office)
_____________________________________________________
Indicate by check mark whether the registrant files or will file annual reports
under cover of Form 20-F or Form 40-F.
Form 20-F ☒ Form 40-F ☐

Indicate by check mark if the registrant is submitting the Form 6-K in paper
as permitted by Regulation S-T Rule 101(b)(1): ☐

Indicate by check mark if the registrant is submitting the Form 6-K in paper
as permitted by Regulation S-T Rule 101(b)(7): ☐

Indicate by check mark whether the registrant by furnishing the information contained in this Form is also thereby furnishing the
information to the Commission pursuant to Rule 12g3-2(b) under the Securities Exchange Act of 1934.
Yes ..... No .X..
If "Yes" is marked, indicate below the file number assigned to the registrant in connection with Rule 12g3-2(b): 82- _______


Signatures

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

UNILEVER PLC
/S/ M VARSELLONA
By M VARSELLONA
CHIEF LEGAL OFFICER AND GROUP SECRETARY





Date 2 June 2025


TABLE OF CONTENTS EXHIBIT INDEX
Exhibit 99
This Report on Form 6-K contains the following:
Exhibit 99.1 Stock exchange announcement dated May 01, 2025 Entitled
Exhibit 99.2 Stock exchange announcement dated May 01, 2025 Entitled
Exhibit 99.3 Stock exchange announcement dated May 01, 2025 Entitled
Exhibit 99.4 Stock exchange announcement dated May 02, 2025 Entitled
Exhibit 99.5 Stock exchange announcement dated May 06, 2025 Entitled
Exhibit 99.6 Stock exchange announcement dated May 07, 2025 Entitled
Exhibit 99.7 Stock exchange announcement dated May 07, 2025 Entitled
Exhibit 99.8 Stock exchange announcement dated May 08, 2025 Entitled
Exhibit 99.9 Stock exchange announcement dated May 09, 2025 Entitled
Exhibit 99.10 Stock exchange announcement dated May 12, 2025 Entitled
Exhibit 99.11 Stock exchange announcement dated May 13, 2025 Entitled
Exhibit 99.12 Stock exchange announcement dated May 14, 2025 Entitled
Exhibit 99.13 Stock exchange announcement dated May 15, 2025 Entitled
Exhibit 99.14 Stock exchange announcement dated May 16, 2025 Entitled
Exhibit 99.15 Stock exchange announcement dated May 19, 2025 Entitled
Exhibit 99.16 Stock exchange announcement dated May 20, 2025 Entitled
Exhibit 99.17 Stock exchange announcement dated May 21, 2025 Entitled
Exhibit 99.18 Stock exchange announcement dated May 21, 2025 Entitled
Exhibit 99.19 Stock exchange announcement dated May 22, 2025 Entitled
Exhibit 99.2 Stock exchange announcement dated May 23, 2025 Entitled
Exhibit 99.21 Stock exchange announcement dated May 27, 2025 Entitled
Exhibit 99.22 Stock exchange announcement dated May 28, 2025 Entitled
Exhibit 99.23 Stock exchange announcement dated May 29, 2025 Entitled



Exhibit 99.24 Stock exchange announcement dated May 30, 2025 Entitled
Exhibit 99.25 Stock exchange announcement dated May 30, 2025 Entitled
Exhibit 99.26 Stock exchange announcement dated May 30, 2025 Entitled
Exhibit 99.27 Stock exchange announcement dated May 30, 2025 Entitled
Exhibit 99.28 Stock exchange announcement dated June 02, 2025 Entitled


EX-99.1 2 a991-transactioninownsha.htm EX-99.1 a991-transactioninownsha
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:09 01 May 2025 RNS Number : 9334G Unilever PLC 01 May 2025 TRANSACTIONS IN OWN SECURITIES 01 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following ordinary shares on the London Stock Exchange from Goldman Sachs International ( The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 30 April 2025 Number of ordinary shares purchased: 50,000 Highest price paid per share: GBP 47.8600 Lowest price paid per share: GBP 47.2400 Volume weighted average price paid per share: GBP 47.4696 Such purchases form part of the Company's existing share buy-back programme and pursuant to the instructions issued to the Broker by the Company on 13 February 2025 on that date. Following the purchase of these shares, Unilever holds 67,396,885 of its ordinary sha and has 2,501,150,934 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volume LSE 47.4696 50,000 BATS 0.0000 0 Chi-X 0.0000 0 Turquoise 0.0000 0 Aquis 0.0000 0 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies i Market Abuse Regulation), a full breakdown of the individual trades made by the Brok the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Tim 638 47.38 XLON 08 592 47.36 XLON 08 222 47.37 XLON 08 253 47.39 XLON 09 231 47.38 XLON 09 224 47.39 XLON 09 237 47.38 XLON 09 215 47.37 XLON 09 3 47.29 XLON 09 2 47.29 XLON 09 210 47.31 XLON 09 203 47.29 XLON 09 204 47.32 XLON 09 198 47.38 XLON 09 198 47.38 XLON 09 205 47.39 XLON 09 205 47.41 XLON 09 198 47.40 XLON 09 198 47.37 XLON 09 200 47.31 XLON 09 199 47.28 XLON 09 4 47.28 XLON 09 201 47.30 XLON 09 130 47.26 XLON 10 74 47.26 XLON 10 2 47.24 XLON 10 199 47.24 XLON 10 196 47.25 XLON 10 201 47.25 XLON 10 203 47.29 XLON 10 196 47.36 XLON 10 196 47.37 XLON 10 2 47.37 XLON 10 196 47.38 XLON 10 206 47.34 XLON 10 208 47.27 XLON 10 202 47.25 XLON 10 198 47.26 XLON 10 204 47.29 XLON 10 208 47.30 XLON 10 205 47.30 XLON 10 206 47.30 XLON 10 198 47.32 XLON 10 201 47.32 XLON 10 200 47.38 XLON 10 202 47.37 XLON 10 202 47.34 XLON 10 200 47.32 XLON 10 200 47.33 XLON 10 196 47.32 XLON 11 198 47.35 XLON 11 202 47.38 XLON 11 201 47.36 XLON 11 197 47.38 XLON 11 202 47.36 XLON 11 200 47.36 XLON 11 198 47.36 XLON 11 92 47.39 XLON 11 37 47.41 XLON 11 1 47.41 XLON 11 1 47.41 XLON 11 215 47.41 XLON 11 230 47.42 XLON 11 199 47.43 XLON 11 100 47.41 XLON 11 117 47.41 XLON 11 210 47.39 XLON 11 272 47.40 XLON 11 263 47.40 XLON 11 234 47.40 XLON 11 218 47.45 XLON 12 206 47.44 XLON 12 202 47.42 XLON 12 201 47.46 XLON 12 197 47.48 XLON 12 197 47.48 XLON 12 199 47.50 XLON 12 204 47.48 XLON 12 197 47.45 XLON 12 197 47.47 XLON 12 146 47.49 XLON 12 52 47.49 XLON 12 200 47.50 XLON 12 65 47.48 XLON 12 280 47.49 XLON 12 202 47.46 XLON 12 5 47.47 XLON 12 218 47.47 XLON 12 219 47.44 XLON 13 208 47.43 XLON 13 196 47.43 XLON 13 7 47.49 XLON 13 2 47.49 XLON 13 195 47.49 XLON 13 202 47.49 XLON 13 205 47.51 XLON 13


 
9 47.52 XLON 13 188 47.52 XLON 13 38 47.56 XLON 13 38 47.56 XLON 13 38 47.56 XLON 13 38 47.56 XLON 13 47 47.56 XLON 13 200 47.56 XLON 13 202 47.54 XLON 13 203 47.57 XLON 13 200 47.57 XLON 13 28 47.56 XLON 13 179 47.56 XLON 13 50 47.57 XLON 13 101 47.49 XLON 13 173 47.49 XLON 13 224 47.51 XLON 13 235 47.54 XLON 13 213 47.60 XLON 13 208 47.58 XLON 13 207 47.62 XLON 13 206 47.64 XLON 14 207 47.66 XLON 14 206 47.66 XLON 14 209 47.67 XLON 14 197 47.66 XLON 14 7 47.66 XLON 14 7 47.66 XLON 14 20 47.66 XLON 14 283 47.68 XLON 14 208 47.68 XLON 14 19 47.68 XLON 14 241 47.68 XLON 14 209 47.70 XLON 14 25 47.72 XLON 14 198 47.72 XLON 14 78 47.73 XLON 14 143 47.73 XLON 14 10 47.70 XLON 14 213 47.70 XLON 14 205 47.70 XLON 14 134 47.70 XLON 14 246 47.73 XLON 14 230 47.78 XLON 14 221 47.78 XLON 14 216 47.83 XLON 14 219 47.86 XLON 14 157 47.84 XLON 14 60 47.84 XLON 14 216 47.75 XLON 14 200 47.66 XLON 14 27 47.66 XLON 14 223 47.70 XLON 14 200 47.73 XLON 14 20 47.73 XLON 14 209 47.69 XLON 14 212 47.71 XLON 14 3 47.69 XLON 14 56 47.69 XLON 14 2 47.69 XLON 14 155 47.69 XLON 14 198 47.68 XLON 14 223 47.66 XLON 14 200 47.66 XLON 14 199 47.62 XLON 14 202 47.60 XLON 14 203 47.56 XLON 14 196 47.51 XLON 14 198 47.49 XLON 14 184 47.49 XLON 14 25 47.49 XLON 14 207 47.49 XLON 14 206 47.49 XLON 14 205 47.49 XLON 14 207 47.50 XLON 14 208 47.47 XLON 14 205 47.49 XLON 14 196 47.50 XLON 14 198 47.52 XLON 14 87 47.51 XLON 14 2 47.51 XLON 14 123 47.51 XLON 14 291 47.52 XLON 15 208 47.49 XLON 15 263 47.51 XLON 15 116 47.49 XLON 15 177 47.49 XLON 15 214 47.50 XLON 15 210 47.47 XLON 15 214 47.47 XLON 15 215 47.47 XLON 15 208 47.48 XLON 15 7 47.48 XLON 15 7 47.48 XLON 15 7 47.48 XLON 15 7 47.48 XLON 15 7 47.48 XLON 15 7 47.48 XLON 15 7 47.48 XLON 15 7 47.48 XLON 15 150 47.48 XLON 15 105 47.48 XLON 15 101 47.48 XLON 15 200 47.46 XLON 15 1 47.46 XLON 15 88 47.47 XLON 15 267 47.47 XLON 15 201 47.45 XLON 15 221 47.45 XLON 15 2 47.43 XLON 15 205 47.43 XLON 15 216 47.51 XLON 15 61 47.48 XLON 15 151 47.48 XLON 15 209 47.46 XLON 15 43 47.44 XLON 15 100 47.48 XLON 15 154 47.48 XLON 15 22 47.48 XLON 15 34 47.48 XLON 15 304 47.50 XLON 15 261 47.50 XLON 15 220 47.48 XLON 15 244 47.48 XLON 15 121 47.48 XLON 15 105 47.48 XLON 15 197 47.46 XLON 15 231 47.45 XLON 15 215 47.45 XLON 15 7 47.45 XLON 15 218 47.45 XLON 15 342 47.45 XLON 15 316 47.41 XLON 15 317 47.42 XLON 15 318 47.43 XLON 15 215 47.42 XLON 15 224 47.42 XLON 15 61 47.44 XLON 15 205 47.44 XLON 15 278 47.49 XLON 15 296 47.48 XLON 15 325 47.47 XLON 15 234 47.48 XLON 15 88 47.48 XLON 15 321 47.46 XLON 15 336 47.43 XLON 15 252 47.41 XLON 16 244 47.41 XLON 16 332 47.41 XLON 16 361 47.41 XLON 16 322 47.40 XLON 16 316 47.42 XLON 16 350 47.42 XLON 16 335 47.41 XLON 16 317 47.40 XLON 16 326 47.42 XLON 16 3 47.42 XLON 16 66 47.42 XLON 16 250 47.42 XLON 16 365 47.39 XLON 16


 
75 47.36 XLON 16 245 47.36 XLON 16 343 47.36 XLON 16 164 47.36 XLON 16 39 47.36 XLON 16 200 47.42 XLON 16 142 47.42 XLON 16 245 47.46 XLON 16 217 47.48 XLON 16 218 47.48 XLON 16 228 47.48 XLON 16 235 47.48 XLON 16 276 47.49 XLON 16 211 47.47 XLON 16 209 47.47 XLON 16 25 47.47 XLON 16 21 47.47 XLON 16 164 47.47 XLON 16 220 47.48 XLON 16 255 47.48 XLON 16 298 47.48 XLON 16 302 47.48 XLON 16 6 47.47 XLON 16 64 47.47 XLON 16 64 47.47 XLON 16 64 47.47 XLON 16 10 47.47 XLON 16 259 47.50 XLON 16 208 47.48 XLON 16 53 47.48 XLON 16 351 47.46 XLON 16 Media Enquires: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.


 
EX-99.2 3 a992-totalvotingrights.htm EX-99.2 a992-totalvotingrights
RNS Total Voting Rights TOTAL VOTING RIGHTS UNILEVER PLC Released 14:01:11 01 May 2025 RNS Number : 1052H Unilever PLC 01 May 2025     Unilever PLC Voting Rights and Capital Update The following notification is made in accordance with the UK Financial Conduct A Guidance and Transparency Rule 5.6.1. Unilever PLC's issued share capital as at 30 April 2025 consisted of 2,524,997,338 1/9p each. Of those ordinary shares, 67,246,885 were held as treasury shares an shares (including ordinary shares represented by Unilever PLC ADSs) were hel companies in the Unilever group (the "Unilever Group Shares"). The voting rig Unilever Group Shares are not exercisable. Accordingly, as at 30 April 2025, ther shares with voting rights. The figure of 2,455,865,806 may be used by shareholders as the denominator fo which they will determine if they are required to notify their interest in, or a chang Unilever PLC under the UK Financial Conduct Authority's Disclosure Guidance and     This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.


 
EX-99.3 4 a993-directordeclaration.htm EX-99.3 a993-directordeclaration
RNS Director Declaration DIRECTOR DECLARATION UNILEVER PLC Released 15:46:21 01 May 2025 RNS Number : 1236H Unilever PLC 01 May 2025     Unilever PLC Director Declaration In accordance with UKLR 6.4.9R(2), Unilever PLC (the "Company") announces tha executive director of the Company, will join the board of National Grid plc as Chie on 1 September 2025 and will be appointed Chief Executive on 17 November 2025. This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an   anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.


 
EX-99.4 5 a994-transactioninownsha.htm EX-99.4 a994-transactioninownsha
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:04 02 May 2025 RNS Number : 1491H Unilever PLC 02 May 2025 TRANSACTIONS IN OWN SECURITIES 02 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following ordinary shares on the London Stock Exchange from Goldman Sachs International ( The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 01 May 2025 Number of ordinary shares purchased: 50,000 Highest price paid per share: GBP 47.8500 Lowest price paid per share: GBP 47.2400 Volume weighted average price paid per share: GBP 47.4913 Such purchases form part of the Company's existing share buy-back programme and pursuant to the instructions issued to the Broker by the Company on 13 February 2025 on that date. Following the purchase of these shares, Unilever holds 67,446,885 of its ordinary sha and has 2,501,100,934 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volume LSE 47.4913 50,000 BATS 0.0000 0 Chi-X 0.0000 0 Turquoise 0.0000 0 Aquis 0.0000 0 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies i Market Abuse Regulation), a full breakdown of the individual trades made by the Brok the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Tim 664 47.74 XLON 08 459 47.74 XLON 08 51 47.73 XLON 08 148 47.73 XLON 08 230 47.73 XLON 09 142 47.73 XLON 09 57 47.73 XLON 09 118 47.73 XLON 09 77 47.73 XLON 09 140 47.71 XLON 09 71 47.71 XLON 09 146 47.75 XLON 09 200 47.75 XLON 09 29 47.75 XLON 09 45 47.75 XLON 09 200 47.73 XLON 09 168 47.73 XLON 09 207 47.74 XLON 09 53 47.79 XLON 09 200 47.79 XLON 09 8 47.79 XLON 09 249 47.80 XLON 09 8 47.79 XLON 09 218 47.79 XLON 09 87 47.81 XLON 09 206 47.81 XLON 09 277 47.79 XLON 09 205 47.77 XLON 09 248 47.82 XLON 09 248 47.80 XLON 09 200 47.83 XLON 09 197 47.85 XLON 09 156 47.83 XLON 09 196 47.81 XLON 09 221 47.79 XLON 09 214 47.77 XLON 09 95 47.74 XLON 09 14 47.74 XLON 10 236 47.74 XLON 10 93 47.72 XLON 10 78 47.72 XLON 10 26 47.72 XLON 10 391 47.74 XLON 10 216 47.71 XLON 10 208 47.69 XLON 10 32 47.69 XLON 10 424 47.72 XLON 10 423 47.72 XLON 10 67 47.72 XLON 10 55 47.72 XLON 11 100 47.72 XLON 11 295 47.72 XLON 11 1 47.70 XLON 11 215 47.70 XLON 11 56 47.72 XLON 11 672 47.72 XLON 11 158 47.70 XLON 11 33 47.70 XLON 11 257 47.70 XLON 11 479 47.70 XLON 11 532 47.71 XLON 11 197 47.68 XLON 11 602 47.71 XLON 11 470 47.69 XLON 11 266 47.67 XLON 11 80 47.67 XLON 11 113 47.68 XLON 11 124 47.68 XLON 12 200 47.65 XLON 12 200 47.65 XLON 12 25 47.65 XLON 12 166 47.66 XLON 12 35 47.66 XLON 12 244 47.66 XLON 12 219 47.66 XLON 12 197 47.71 XLON 12 209 47.69 XLON 12 133 47.72 XLON 12 72 47.72 XLON 12 88 47.72 XLON 12 108 47.72 XLON 12 162 47.74 XLON 12 198 47.72 XLON 12 215 47.74 XLON 12 9 47.72 XLON 12 206 47.72 XLON 12 251 47.72 XLON 12 208 47.70 XLON 12 200 47.68 XLON 12 237 47.68 XLON 12 99 47.68 XLON 12 200 47.65 XLON 13 48 47.65 XLON 13 188 47.63 XLON 13 200 47.63 XLON 13 93 47.63 XLON 13


 
188 47.61 XLON 13 227 47.62 XLON 13 72 47.59 XLON 13 181 47.59 XLON 13 203 47.60 XLON 13 25 47.58 XLON 13 173 47.58 XLON 13 195 47.56 XLON 13 195 47.53 XLON 13 196 47.54 XLON 13 214 47.52 XLON 13 200 47.52 XLON 13 196 47.49 XLON 13 98 47.49 XLON 13 99 47.49 XLON 13 195 47.49 XLON 13 197 47.47 XLON 13 262 47.45 XLON 13 135 47.46 XLON 13 127 47.46 XLON 13 215 47.47 XLON 13 20 47.47 XLON 13 195 47.49 XLON 13 214 47.47 XLON 14 213 47.51 XLON 14 104 47.55 XLON 14 154 47.55 XLON 14 350 47.55 XLON 14 172 47.57 XLON 14 354 47.57 XLON 14 267 47.55 XLON 14 200 47.53 XLON 14 5 47.53 XLON 14 306 47.51 XLON 14 257 47.49 XLON 14 54 47.50 XLON 14 208 47.50 XLON 14 196 47.44 XLON 14 195 47.41 XLON 14 200 47.39 XLON 14 213 47.44 XLON 14 80 47.38 XLON 14 45 47.38 XLON 14 99 47.38 XLON 14 220 47.39 XLON 14 58 47.39 XLON 14 165 47.39 XLON 14 36 47.38 XLON 14 170 47.38 XLON 14 198 47.39 XLON 14 204 47.38 XLON 14 74 47.37 XLON 14 265 47.37 XLON 14 114 47.38 XLON 14 298 47.38 XLON 14 249 47.37 XLON 14 145 47.36 XLON 14 83 47.36 XLON 14 136 47.36 XLON 14 39 47.34 XLON 14 180 47.34 XLON 14 249 47.34 XLON 14 222 47.33 XLON 14 251 47.31 XLON 14 21 47.25 XLON 14 192 47.25 XLON 14 87 47.24 XLON 14 129 47.24 XLON 14 212 47.24 XLON 14 74 47.28 XLON 14 74 47.28 XLON 14 64 47.28 XLON 14 83 47.30 XLON 14 197 47.30 XLON 14 292 47.30 XLON 14 233 47.30 XLON 14 236 47.28 XLON 14 90 47.32 XLON 14 121 47.32 XLON 14 196 47.32 XLON 14 171 47.32 XLON 14 40 47.32 XLON 14 217 47.30 XLON 14 158 47.30 XLON 14 3 47.30 XLON 14 52 47.30 XLON 14 213 47.28 XLON 15 195 47.30 XLON 15 197 47.35 XLON 15 217 47.30 XLON 15 210 47.29 XLON 15 198 47.29 XLON 15 200 47.33 XLON 15 6 47.33 XLON 15 200 47.33 XLON 15 10 47.29 XLON 15 193 47.29 XLON 15 201 47.31 XLON 15 196 47.31 XLON 15 10 47.31 XLON 15 200 47.31 XLON 15 22 47.31 XLON 15 80 47.31 XLON 15 200 47.33 XLON 15 542 47.33 XLON 15 400 47.31 XLON 15 200 47.31 XLON 15 70 47.31 XLON 15 303 47.31 XLON 15 65 47.33 XLON 15 211 47.33 XLON 15 221 47.33 XLON 15 327 47.34 XLON 15 290 47.31 XLON 15 198 47.29 XLON 15 123 47.27 XLON 15 175 47.27 XLON 15 100 47.27 XLON 15 114 47.27 XLON 15 260 47.27 XLON 15 292 47.24 XLON 15 211 47.29 XLON 15 200 47.33 XLON 15 39 47.33 XLON 15 338 47.36 XLON 15 200 47.36 XLON 15 65 47.36 XLON 15 274 47.36 XLON 15 10 47.36 XLON 15 285 47.36 XLON 15 45 47.36 XLON 15 6 47.36 XLON 15 2 47.36 XLON 15 252 47.36 XLON 15 72 47.36 XLON 15 55 47.36 XLON 15 192 47.36 XLON 15 263 47.36 XLON 15 64 47.36 XLON 15 200 47.34 XLON 15 69 47.34 XLON 15 288 47.32 XLON 15 163 47.30 XLON 15 89 47.30 XLON 15 250 47.32 XLON 15 129 47.30 XLON 15 200 47.29 XLON 16 240 47.29 XLON 16 141 47.27 XLON 16 54 47.27 XLON 16 282 47.30 XLON 16 23 47.30 XLON 16 100 47.30 XLON 16 193 47.30 XLON 16 1 47.28 XLON 16 214 47.28 XLON 16 10 47.26 XLON 16 200 47.26 XLON 16 7 47.26 XLON 16 223 47.30 XLON 16


 
222 47.31 XLON 16 86 47.30 XLON 16 42 47.30 XLON 16 3 47.30 XLON 16 387 47.30 XLON 16 337 47.32 XLON 16 208 47.32 XLON 16 307 47.30 XLON 16 260 47.28 XLON 16 60 47.29 XLON 16 100 47.29 XLON 16 36 47.29 XLON 16 168 47.30 XLON 16 112 47.30 XLON 16 200 47.29 XLON 16 7 47.29 XLON 16 29 47.30 XLON 16 29 47.30 XLON 16 303 47.30 XLON 16 142 47.31 XLON 16 140 47.31 XLON 16 142 47.31 XLON 16 15 47.31 XLON 16 339 47.31 XLON 16 293 47.31 XLON 16 82 47.32 XLON 16 159 47.32 XLON 16 81 47.32 XLON 16 285 47.32 XLON 16 148 47.31 XLON 16 141 47.31 XLON 16 40 47.32 XLON 16 294 47.32 XLON 16 206 47.31 XLON 16 35 47.32 XLON 16 79 47.32 XLON 16 442 47.32 XLON 16 Media Enquires: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.


 
EX-99.5 6 a995-transactioninownsha.htm EX-99.5 a995-transactioninownsha
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:12 06 May 2025 RNS Number : 3301H Unilever PLC 06 May 2025 TRANSACTIONS IN OWN SECURITIES 06 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following nu ordinary shares on the London Stock Exchange from Goldman Sachs International ("th The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 02 May 2025 Number of ordinary shares purchased: 50,000 Highest price paid per share: GBP 47.8400 Lowest price paid per share: GBP 47.5200 Volume weighted average price paid per share: GBP 47.7118 Such purchases form part of the Company's existing share buy-back programme and we pursuant to the instructions issued to the Broker by the Company on 13 February 2025, on that date. Following the purchase of these shares, Unilever holds 67,496,885 of its ordinary share and has 2,501,050,934 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volum LSE 47.7118 50,000 BATS 0.0000 0 Chi-X 0.0000 0 Turquoise 0.0000 0 Aquis 0.0000 0 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the Market Abuse Regulation), a full breakdown of the individual trades made by the Broke the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Tim 642 47.52 XLON 09 400 47.52 XLON 09 126 47.52 XLON 09 159 47.52 XLON 09 156 47.60 XLON 09 215 47.60 XLON 09 289 47.63 XLON 09 191 47.65 XLON 09 239 47.67 XLON 09 222 47.65 XLON 09 209 47.62 XLON 09 197 47.65 XLON 09 198 47.66 XLON 09 190 47.66 XLON 09 196 47.65 XLON 09 199 47.71 XLON 09 200 47.68 XLON 10 190 47.66 XLON 10 195 47.62 XLON 10 100 47.65 XLON 10 93 47.65 XLON 10 190 47.63 XLON 10 192 47.65 XLON 10 190 47.68 XLON 10 196 47.68 XLON 10 190 47.67 XLON 10 107 47.69 XLON 10 88 47.69 XLON 10 190 47.69 XLON 10 168 47.68 XLON 10 79 47.68 XLON 10 254 47.70 XLON 10 29 47.72 XLON 10 210 47.72 XLON 10 213 47.73 XLON 10 205 47.68 XLON 10 201 47.63 XLON 10 199 47.63 XLON 10 117 47.63 XLON 11 83 47.63 XLON 11 199 47.61 XLON 11 200 47.63 XLON 11 169 47.64 XLON 11 218 47.65 XLON 11 199 47.65 XLON 11 211 47.65 XLON 11 201 47.61 XLON 11 198 47.60 XLON 11 190 47.60 XLON 11 195 47.57 XLON 11 191 47.54 XLON 11 194 47.53 XLON 11 2 47.53 XLON 11 198 47.63 XLON 11 190 47.65 XLON 11 100 47.63 XLON 11 95 47.63 XLON 11 273 47.65 XLON 11 30 47.65 XLON 12 510 47.69 XLON 12 543 47.71 XLON 12 109 47.75 XLON 12 345 47.75 XLON 12 16 47.75 XLON 12 16 47.75 XLON 12 16 47.75 XLON 12 16 47.75 XLON 12 381 47.77 XLON 12 261 47.77 XLON 12 193 47.77 XLON 12 271 47.83 XLON 12 100 47.81 XLON 12 162 47.81 XLON 12 218 47.82 XLON 12 212 47.79 XLON 13 194 47.79 XLON 13 190 47.79 XLON 13 219 47.77 XLON 13 70 47.77 XLON 13 257 47.75 XLON 13 254 47.72 XLON 13 96 47.70 XLON 13 54 47.68 XLON 13 140 47.68 XLON 13 248 47.69 XLON 13 225 47.66 XLON 13 441 47.66 XLON 13 100 47.68 XLON 13 100 47.68 XLON 13 100 47.68 XLON 13 53 47.68 XLON 13


 
100 47.68 XLON 13 314 47.68 XLON 13 372 47.69 XLON 13 175 47.68 XLON 13 57 47.68 XLON 13 210 47.70 XLON 13 103 47.70 XLON 13 342 47.68 XLON 13 58 47.66 XLON 13 17 47.64 XLON 13 100 47.64 XLON 13 14 47.73 XLON 13 75 47.73 XLON 13 113 47.73 XLON 13 261 47.71 XLON 13 225 47.70 XLON 13 100 47.70 XLON 14 117 47.70 XLON 14 206 47.72 XLON 14 201 47.70 XLON 14 208 47.70 XLON 14 196 47.70 XLON 14 199 47.68 XLON 14 99 47.68 XLON 14 95 47.68 XLON 14 161 47.75 XLON 14 116 47.75 XLON 14 207 47.77 XLON 14 249 47.75 XLON 14 190 47.73 XLON 14 26 47.73 XLON 14 265 47.75 XLON 14 267 47.75 XLON 14 211 47.73 XLON 14 246 47.70 XLON 14 238 47.68 XLON 14 224 47.69 XLON 14 157 47.66 XLON 14 78 47.66 XLON 14 205 47.67 XLON 14 16 47.67 XLON 14 80 47.68 XLON 14 141 47.68 XLON 14 200 47.65 XLON 14 22 47.65 XLON 14 218 47.67 XLON 14 208 47.71 XLON 14 212 47.73 XLON 14 200 47.70 XLON 14 18 47.70 XLON 14 199 47.68 XLON 14 110 47.69 XLON 14 87 47.69 XLON 14 200 47.71 XLON 14 199 47.70 XLON 14 200 47.68 XLON 14 86 47.68 XLON 14 108 47.68 XLON 14 194 47.72 XLON 14 200 47.69 XLON 14 192 47.68 XLON 14 202 47.67 XLON 14 199 47.71 XLON 14 200 47.71 XLON 14 142 47.69 XLON 14 51 47.69 XLON 14 227 47.66 XLON 14 191 47.69 XLON 14 212 47.71 XLON 14 185 47.71 XLON 14 15 47.71 XLON 14 191 47.71 XLON 14 326 47.73 XLON 14 200 47.71 XLON 15 77 47.71 XLON 15 285 47.72 XLON 15 201 47.72 XLON 15 100 47.74 XLON 15 20 47.74 XLON 15 205 47.74 XLON 15 13 47.74 XLON 15 190 47.71 XLON 15 200 47.71 XLON 15 23 47.71 XLON 15 212 47.71 XLON 15 191 47.71 XLON 15 200 47.71 XLON 15 2 47.71 XLON 15 157 47.69 XLON 15 52 47.69 XLON 15 52 47.66 XLON 15 100 47.66 XLON 15 50 47.66 XLON 15 200 47.66 XLON 15 112 47.66 XLON 15 200 47.64 XLON 15 3 47.64 XLON 15 319 47.63 XLON 15 206 47.61 XLON 15 200 47.62 XLON 15 200 47.62 XLON 15 18 47.62 XLON 15 200 47.62 XLON 15 74 47.62 XLON 15 83 47.62 XLON 15 171 47.62 XLON 15 61 47.65 XLON 15 146 47.65 XLON 15 17 47.65 XLON 15 99 47.69 XLON 15 202 47.70 XLON 15 248 47.70 XLON 15 193 47.70 XLON 15 219 47.75 XLON 15 47 47.75 XLON 15 167 47.75 XLON 15 192 47.78 XLON 15 209 47.78 XLON 15 209 47.78 XLON 15 100 47.78 XLON 15 100 47.78 XLON 15 206 47.80 XLON 15 100 47.78 XLON 15 256 47.78 XLON 15 239 47.76 XLON 15 190 47.76 XLON 15 196 47.76 XLON 15 78 47.76 XLON 15 28 47.76 XLON 15 161 47.76 XLON 15 57 47.77 XLON 15 100 47.77 XLON 15 60 47.77 XLON 15 23 47.80 XLON 15 313 47.80 XLON 15 233 47.78 XLON 15 82 47.78 XLON 15 307 47.79 XLON 15 200 47.79 XLON 15 29 47.79 XLON 15 201 47.79 XLON 15 341 47.77 XLON 15 151 47.78 XLON 15 43 47.78 XLON 15 83 47.76 XLON 15 122 47.76 XLON 15 135 47.80 XLON 15 37 47.82 XLON 15 178 47.82 XLON 15 86 47.82 XLON 15 100 47.82 XLON 16 100 47.82 XLON 16


 
54 47.82 XLON 16 100 47.82 XLON 16 294 47.82 XLON 16 16 47.80 XLON 16 120 47.80 XLON 16 351 47.80 XLON 16 269 47.78 XLON 16 126 47.80 XLON 16 224 47.80 XLON 16 107 47.78 XLON 16 185 47.78 XLON 16 100 47.79 XLON 16 142 47.79 XLON 16 200 47.80 XLON 16 69 47.80 XLON 16 320 47.81 XLON 16 356 47.82 XLON 16 352 47.82 XLON 16 100 47.82 XLON 16 240 47.82 XLON 16 317 47.83 XLON 16 306 47.84 XLON 16 100 47.80 XLON 16 212 47.80 XLON 16 14 47.80 XLON 16 2 47.80 XLON 16 304 47.81 XLON 16 47 47.81 XLON 16 18 47.81 XLON 16 337 47.81 XLON 16 216 47.81 XLON 16 100 47.83 XLON 16 115 47.83 XLON 16 315 47.81 XLON 16 281 47.79 XLON 16 261 47.78 XLON 16 259 47.76 XLON 16 200 47.75 XLON 16 193 47.74 XLON 16 181 47.74 XLON 16 203 47.73 XLON 16 371 47.74 XLON 16 196 47.73 XLON 16 172 47.72 XLON 16 133 47.72 XLON 16 191 47.72 XLON 16 344 47.71 XLON 16 269 47.70 XLON 16 98 47.69 XLON 16 258 47.69 XLON 16 4 47.69 XLON 16 Media Enquiries: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.


 
EX-99.6 7 a996-transactioninownsha.htm EX-99.6 a996-transactioninownsha
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:07 07 May 2025 RNS Number : 5769H Unilever PLC 07 May 2025 TRANSACTIONS IN OWN SECURITIES 07 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following nu ordinary shares on the London Stock Exchange from Goldman Sachs International ("th The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 06 May 2025 Number of ordinary shares purchased: 50,000 Highest price paid per share: GBP 48.1200 Lowest price paid per share: GBP 47.7100 Volume weighted average price paid per share: GBP 47.9135 Such purchases form part of the Company's existing share buy-back programme and we pursuant to the instructions issued to the Broker by the Company on 13 February 2025, on that date. Following the purchase of these shares, Unilever holds 67,546,885 of its ordinary share and has 2,501,000,934 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volume LSE 47.9135 50,000 BATS 0.0000 0 Chi-X 0.0000 0 Turquoise 0.0000 0 Aquis 0.0000 0 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the U Market Abuse Regulation), a full breakdown of the individual trades made by the Broke the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Tim 100 48.05 XLON 09 12 48.05 XLON 09 37 48.05 XLON 09 508 48.05 XLON 09 251 48.06 XLON 09 384 48.04 XLON 09 207 48.05 XLON 09 202 48.05 XLON 09 194 48.05 XLON 09 196 48.03 XLON 09 190 48.03 XLON 09 193 48.04 XLON 09 83 48.03 XLON 09 91 48.06 XLON 09 145 48.06 XLON 09 229 48.05 XLON 09 210 48.09 XLON 09 160 48.09 XLON 09 42 48.09 XLON 09 198 48.12 XLON 09 189 48.08 XLON 09 201 48.06 XLON 09 195 48.03 XLON 09 195 48.00 XLON 09 194 48.01 XLON 10 198 47.97 XLON 10 83 47.99 XLON 10 113 47.99 XLON 10 130 47.99 XLON 10 67 47.99 XLON 10 198 48.01 XLON 10 100 47.97 XLON 10 242 48.03 XLON 10 226 48.06 XLON 10 206 48.05 XLON 10 86 48.03 XLON 10 111 48.03 XLON 10 195 47.99 XLON 10 174 47.97 XLON 10 201 47.98 XLON 10 195 47.96 XLON 10 28 47.93 XLON 10 282 47.91 XLON 10 56 47.84 XLON 10 186 47.84 XLON 10 210 47.83 XLON 10 213 47.80 XLON 10 189 47.81 XLON 10 189 47.81 XLON 10 189 47.78 XLON 11 197 47.78 XLON 11 195 47.76 XLON 11 194 47.75 XLON 11 197 47.77 XLON 11 191 47.79 XLON 11 189 47.79 XLON 11 86 47.77 XLON 11 111 47.77 XLON 11 254 47.83 XLON 11 248 47.85 XLON 11 100 47.83 XLON 11 152 47.83 XLON 11 201 47.85 XLON 11 25 47.86 XLON 11 296 47.86 XLON 11 225 47.90 XLON 11 32 47.91 XLON 11 162 47.91 XLON 11 212 47.96 XLON 11 21 47.93 XLON 11 187 47.93 XLON 11 180 47.93 XLON 11 18 47.93 XLON 11 195 47.96 XLON 12 138 47.96 XLON 12 47 47.96 XLON 12 5 47.96 XLON 12 194 47.94 XLON 12 116 47.91 XLON 12 224 47.86 XLON 12 195 47.86 XLON 12 74 47.84 XLON 12 262 47.95 XLON 12 218 47.93 XLON 12 88 47.93 XLON 12 126 47.93 XLON 12 21 47.93 XLON 12 173 47.93 XLON 12 189 47.95 XLON 12 208 47.93 XLON 12 189 47.92 XLON 12 133 47.92 XLON 12 199 47.91 XLON 12 236 47.92 XLON 12 203 47.93 XLON 12 213 47.95 XLON 13


 
29 47.93 XLON 13 166 47.93 XLON 13 190 47.95 XLON 13 200 47.92 XLON 13 194 47.93 XLON 13 150 47.91 XLON 13 222 47.91 XLON 13 25 47.92 XLON 13 175 47.92 XLON 13 195 47.95 XLON 13 100 47.93 XLON 13 95 47.93 XLON 13 104 47.94 XLON 13 69 47.94 XLON 13 20 47.94 XLON 13 191 47.93 XLON 13 193 47.91 XLON 13 97 47.92 XLON 13 101 47.92 XLON 13 24 47.97 XLON 13 172 47.97 XLON 13 14 47.95 XLON 13 40 47.92 XLON 13 100 47.92 XLON 13 58 47.92 XLON 13 257 47.95 XLON 13 226 47.95 XLON 13 228 47.95 XLON 13 216 47.98 XLON 13 112 47.99 XLON 13 99 47.99 XLON 13 195 48.00 XLON 13 189 47.99 XLON 14 176 48.00 XLON 14 14 48.00 XLON 14 27 48.00 XLON 14 16 48.00 XLON 14 247 48.00 XLON 14 200 47.98 XLON 14 22 47.98 XLON 14 308 48.00 XLON 14 131 47.98 XLON 14 58 47.98 XLON 14 247 47.98 XLON 14 254 47.98 XLON 14 4 47.99 XLON 14 202 47.99 XLON 14 193 47.99 XLON 14 36 48.00 XLON 14 201 48.00 XLON 14 215 47.99 XLON 14 218 47.95 XLON 14 150 47.94 XLON 14 58 47.94 XLON 14 32 47.93 XLON 14 183 47.93 XLON 14 222 47.91 XLON 14 211 47.93 XLON 14 150 47.93 XLON 14 172 47.95 XLON 14 81 47.95 XLON 14 264 47.93 XLON 14 224 47.91 XLON 14 210 47.92 XLON 14 193 47.90 XLON 14 224 47.86 XLON 14 209 47.85 XLON 14 205 47.85 XLON 14 201 47.88 XLON 14 205 47.86 XLON 14 145 47.84 XLON 14 235 47.89 XLON 14 149 47.88 XLON 14 56 47.88 XLON 14 211 47.92 XLON 14 195 47.90 XLON 14 20 47.90 XLON 14 194 47.90 XLON 14 171 47.92 XLON 14 33 47.92 XLON 14 199 47.86 XLON 14 194 47.83 XLON 14 191 47.83 XLON 14 189 47.84 XLON 14 131 47.81 XLON 14 58 47.81 XLON 14 128 47.82 XLON 14 63 47.82 XLON 14 194 47.83 XLON 14 180 47.83 XLON 14 16 47.83 XLON 14 24 47.81 XLON 14 100 47.81 XLON 14 67 47.81 XLON 14 180 47.82 XLON 14 200 47.81 XLON 14 22 47.81 XLON 14 218 47.85 XLON 14 197 47.85 XLON 14 23 47.85 XLON 14 191 47.85 XLON 14 223 47.86 XLON 14 190 47.86 XLON 14 62 47.84 XLON 15 100 47.84 XLON 15 112 47.84 XLON 15 127 47.84 XLON 15 222 47.86 XLON 15 229 47.89 XLON 15 15 47.88 XLON 15 195 47.88 XLON 15 188 47.88 XLON 15 18 47.88 XLON 15 277 47.89 XLON 15 263 47.89 XLON 15 244 47.89 XLON 15 213 47.88 XLON 15 202 47.85 XLON 15 201 47.81 XLON 15 205 47.77 XLON 15 100 47.79 XLON 15 94 47.79 XLON 15 200 47.77 XLON 15 96 47.76 XLON 15 238 47.72 XLON 15 220 47.74 XLON 15 207 47.72 XLON 15 53 47.71 XLON 15 207 47.75 XLON 15 203 47.76 XLON 15 269 47.76 XLON 15 245 47.77 XLON 15 19 47.77 XLON 15 202 47.77 XLON 15 10 47.82 XLON 15 194 47.82 XLON 15 202 47.82 XLON 15 272 47.82 XLON 15 206 47.78 XLON 15 200 47.85 XLON 15 270 47.85 XLON 15 197 47.82 XLON 15 7 47.83 XLON 15 233 47.85 XLON 15 253 47.85 XLON 15 192 47.83 XLON 15 269 47.81 XLON 15 190 47.81 XLON 15 264 47.82 XLON 15 180 47.82 XLON 15 13 47.82 XLON 15 190 47.84 XLON 15 168 47.85 XLON 15 329 47.89 XLON 15 242 47.93 XLON 15 222 47.95 XLON 15 260 47.97 XLON 15 100 47.97 XLON 15 100 47.97 XLON 15 2 47.97 XLON 15


 
354 47.97 XLON 15 38 47.95 XLON 15 137 47.95 XLON 15 228 47.97 XLON 15 4 47.97 XLON 15 228 47.98 XLON 15 295 47.98 XLON 16 152 47.98 XLON 16 246 47.95 XLON 16 256 47.95 XLON 16 19 47.95 XLON 16 214 47.99 XLON 16 14 47.99 XLON 16 176 47.99 XLON 16 197 47.97 XLON 16 236 47.95 XLON 16 220 47.95 XLON 16 214 47.95 XLON 16 68 47.97 XLON 16 264 47.97 XLON 16 24 47.95 XLON 16 135 47.95 XLON 16 64 47.95 XLON 16 310 47.95 XLON 16 457 47.97 XLON 16 324 47.97 XLON 16 276 47.97 XLON 16 222 47.95 XLON 16 443 47.96 XLON 16 228 47.95 XLON 16 284 47.95 XLON 16 201 47.93 XLON 16 326 47.93 XLON 16 318 47.92 XLON 16 55 47.91 XLON 16 176 47.91 XLON 16 184 47.91 XLON 16 136 47.91 XLON 16 342 47.88 XLON 16 275 47.87 XLON 16 245 47.85 XLON 16 283 47.84 XLON 16 153 47.83 XLON 16 Media Enquires: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.


 
EX-99.7 8 a997-directorandpdmrshar.htm EX-99.7 a997-directorandpdmrshar
RNS Director/PDMR Shareholding DIRECTOR/PDMR SHAREHOLDING UNILEVER PLC Released 14:38:25 07 May 2025 RNS Number : 7345H Unilever PLC 07 May 2025 Unilever PLC (the "Company") Notification of transactions by persons discharging managerial responsibilities ("PDMR") associated with them Transfer and Acquisition of Shares On 7 May 2025, Fernando Fernandez, Chief Executive Officer and PDMR, transferred 100,000 ord of the Company to his wife, Silvia Musso, at nil consideration per share. Following this transacti aggregate beneficial holding is unchanged and he continues to retain a material personal sharehold above his minimum shareholding requirement. The Notification of Dealing Forms can be found belo 1 Details of the person discharging managerial responsibilities / person closely associated a) Name Fernando Fernandez 2 Reason for the notification a) Position/status Chief Executive Officer (Director) b) Initial notification / amendment Initial notification 3 Details of the issuer, emission allowance market participant, auction platform, auctioneer auction monitor a) Name Unilever PLC b) LEI 549300MKFYEKVRWML317 4 Details of the transaction(s): section to be repeated for (i) each type of instrument; (ii) eac of transaction; (iii) each date; and (iv) each place where transactions have been conducted a) Description of the financial instrument, type of instrument Identification code Unilever PLC ordinary 3 1/9 pence shares GB00B10RZP78 b) Nature of the transaction Transfer of shares to Silvia Musso (spouse) for nil consideration c) Currency GBP - British Pound d) Price(s) and volume(s) Price(s) Volume(s) Nil 100,000 e) Aggregated information - Volume - Total - n/a as a single transaction f) Date of the transaction 2025/05/07 g) Place of the transaction Outside a trading venue 1 Details of the person discharging managerial responsibilities / person closely associated a) Name Silvia Musso 2 Reason for the notification a) Position/status Person closely associated with PDMR (Fernando Fern Chief Executive Officer (Director)) b) Initial notification / amendment Initial notification 3 Details of the issuer, emission allowance market participant, auction platform, auctioneer auction monitor a) Name Unilever PLC b) LEI 549300MKFYEKVRWML317 4 Details of the transaction(s): section to be repeated for (i) each type of instrument; (ii) eac of transaction; (iii) each date; and (iv) each place where transactions have been conducted a) Description of the financial instrument, type of instrument Identification code Unilever PLC ordinary 3 1/9 pence shares GB00B10RZP78 b) Nature of the transaction Acquisition of shares following transfer from Fernand Fernandez (spouse) for nil consideration c) Currency GBP - British Pound d) Price(s) and volume(s) Price(s) Volume(s) Nil 100,000 e) Aggregated information - Volume - Total - n/a as a single transaction f) Date of the transaction 2025/05/07 g) Place of the transaction Outside a trading venue This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.


 
EX-99.8 9 a998-transactioninownsha.htm EX-99.8 a998-transactioninownsha
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:07 08 May 2025 RNS Number : 7799H Unilever PLC 08 May 2025 TRANSACTIONS IN OWN SECURITIES 08 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following nu ordinary shares on the London Stock Exchange from Goldman Sachs International ("th The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 07 May 2025 Number of ordinary shares purchased: 50,000 Highest price paid per share: GBP 47.9700 Lowest price paid per share: GBP 47.6900 Volume weighted average price paid per share: GBP 47.8318 Such purchases form part of the Company's existing share buy-back programme and we pursuant to the instructions issued to the Broker by the Company on 13 February 2025, on that date. Following the purchase of these shares, Unilever holds 67,596,885 of its ordinary share and has 2,500,950,934 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volume LSE 47.8318 50,000 BATS 0.0000 0 Chi-X 0.0000 0 Turquoise 0.0000 0 Aquis 0.0000 0 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the U Market Abuse Regulation), a full breakdown of the individual trades made by the Broke the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Tim 618 47.73 XLON 09 115 47.71 XLON 09 130 47.73 XLON 09 237 47.73 XLON 09 463 47.71 XLON 09 202 47.71 XLON 09 340 47.71 XLON 09 90 47.71 XLON 09 180 47.71 XLON 09 43 47.71 XLON 09 327 47.71 XLON 09 37 47.71 XLON 09 203 47.71 XLON 09 199 47.71 XLON 09 259 47.69 XLON 09 44 47.74 XLON 09 185 47.71 XLON 09 184 47.73 XLON 09 191 47.74 XLON 09 71 47.74 XLON 09 209 47.77 XLON 10 186 47.79 XLON 10 202 47.77 XLON 10 200 47.75 XLON 10 194 47.74 XLON 10 191 47.75 XLON 10 69 47.76 XLON 10 188 47.81 XLON 10 82 47.81 XLON 10 161 47.81 XLON 10 219 47.82 XLON 10 214 47.80 XLON 10 184 47.80 XLON 10 183 47.81 XLON 10 187 47.77 XLON 10 188 47.77 XLON 10 188 47.84 XLON 10 187 47.82 XLON 10 96 47.82 XLON 10 90 47.82 XLON 10 188 47.82 XLON 10 21 47.87 XLON 10 264 47.85 XLON 10 275 47.83 XLON 10 187 47.78 XLON 11 187 47.82 XLON 11 185 47.79 XLON 11 187 47.84 XLON 11 184 47.84 XLON 11 187 47.84 XLON 11 187 47.83 XLON 11 84 47.80 XLON 11 239 47.82 XLON 11 184 47.81 XLON 11 211 47.83 XLON 11 202 47.80 XLON 11 186 47.79 XLON 11 195 47.82 XLON 11 196 47.80 XLON 11 191 47.82 XLON 11 184 47.80 XLON 11 183 47.82 XLON 11 116 47.86 XLON 12 70 47.86 XLON 12 30 47.89 XLON 12 259 47.90 XLON 12 195 47.90 XLON 12 195 47.92 XLON 12 152 47.92 XLON 12 226 47.90 XLON 12 222 47.89 XLON 12 228 47.86 XLON 12 190 47.88 XLON 12 186 47.91 XLON 12 60 47.90 XLON 12 255 47.84 XLON 12 184 47.84 XLON 12 224 47.87 XLON 12 201 47.87 XLON 12 184 47.86 XLON 12 197 47.83 XLON 12 184 47.79 XLON 12 197 47.80 XLON 12 184 47.81 XLON 13 191 47.81 XLON 13 184 47.85 XLON 13 186 47.85 XLON 13 96 47.85 XLON 13 88 47.85 XLON 13 191 47.83 XLON 13 190 47.84 XLON 13 190 47.84 XLON 13 189 47.86 XLON 13 184 47.87 XLON 13 191 47.84 XLON 13 194 47.82 XLON 13


 
189 47.81 XLON 13 196 47.81 XLON 13 195 47.79 XLON 13 247 47.83 XLON 13 268 47.81 XLON 13 185 47.79 XLON 13 163 47.77 XLON 13 52 47.77 XLON 13 265 47.80 XLON 13 255 47.78 XLON 13 221 47.80 XLON 13 200 47.83 XLON 14 197 47.84 XLON 14 183 47.84 XLON 14 187 47.85 XLON 14 195 47.85 XLON 14 184 47.85 XLON 14 193 47.83 XLON 14 87 47.81 XLON 14 308 47.83 XLON 14 199 47.81 XLON 14 70 47.81 XLON 14 117 47.81 XLON 14 166 47.81 XLON 14 194 47.79 XLON 14 254 47.80 XLON 14 247 47.82 XLON 14 219 47.82 XLON 14 255 47.80 XLON 14 180 47.81 XLON 14 54 47.81 XLON 14 201 47.80 XLON 14 39 47.81 XLON 14 175 47.81 XLON 14 104 47.80 XLON 14 94 47.80 XLON 14 145 47.81 XLON 14 71 47.83 XLON 14 186 47.83 XLON 14 223 47.83 XLON 14 164 47.81 XLON 14 107 47.81 XLON 14 223 47.79 XLON 14 3 47.80 XLON 14 187 47.80 XLON 14 192 47.79 XLON 14 186 47.77 XLON 14 189 47.75 XLON 14 193 47.76 XLON 14 190 47.74 XLON 14 200 47.76 XLON 14 198 47.73 XLON 14 201 47.71 XLON 14 202 47.69 XLON 14 198 47.69 XLON 14 183 47.70 XLON 14 199 47.71 XLON 14 189 47.71 XLON 14 201 47.71 XLON 14 194 47.74 XLON 14 83 47.71 XLON 14 91 47.72 XLON 14 144 47.72 XLON 14 100 47.74 XLON 14 118 47.74 XLON 14 117 47.77 XLON 14 89 47.77 XLON 14 183 47.77 XLON 14 188 47.79 XLON 14 186 47.82 XLON 14 64 47.84 XLON 14 123 47.84 XLON 14 245 47.88 XLON 14 265 47.88 XLON 14 183 47.86 XLON 14 223 47.87 XLON 14 187 47.87 XLON 15 184 47.89 XLON 15 332 47.94 XLON 15 322 47.95 XLON 15 218 47.94 XLON 15 170 47.92 XLON 15 200 47.92 XLON 15 199 47.92 XLON 15 183 47.90 XLON 15 208 47.87 XLON 15 199 47.85 XLON 15 197 47.84 XLON 15 22 47.82 XLON 15 48 47.82 XLON 15 265 47.81 XLON 15 199 47.80 XLON 15 6 47.78 XLON 15 133 47.78 XLON 15 312 47.80 XLON 15 270 47.80 XLON 15 241 47.81 XLON 15 266 47.82 XLON 15 236 47.82 XLON 15 180 47.82 XLON 15 235 47.82 XLON 15 117 47.84 XLON 15 148 47.84 XLON 15 58 47.84 XLON 15 133 47.84 XLON 15 37 47.84 XLON 15 147 47.84 XLON 15 259 47.84 XLON 15 89 47.84 XLON 15 99 47.84 XLON 15 160 47.84 XLON 15 29 47.84 XLON 15 6 47.83 XLON 15 200 47.83 XLON 15 208 47.86 XLON 15 212 47.87 XLON 15 272 47.86 XLON 15 214 47.85 XLON 15 197 47.85 XLON 15 32 47.85 XLON 15 63 47.85 XLON 15 165 47.85 XLON 15 281 47.86 XLON 15 81 47.87 XLON 15 115 47.87 XLON 15 105 47.87 XLON 15 7 47.87 XLON 15 107 47.87 XLON 15 180 47.88 XLON 15 59 47.88 XLON 15 259 47.87 XLON 15 20 47.87 XLON 15 234 47.87 XLON 15 70 47.86 XLON 15 100 47.86 XLON 15 121 47.86 XLON 15 81 47.86 XLON 15 199 47.86 XLON 15 319 47.85 XLON 15 284 47.85 XLON 15 130 47.85 XLON 15 235 47.87 XLON 15 191 47.88 XLON 16 199 47.88 XLON 16 272 47.88 XLON 16 22 47.88 XLON 16 243 47.88 XLON 16 252 47.88 XLON 16 231 47.89 XLON 16 131 47.90 XLON 16 107 47.90 XLON 16 310 47.87 XLON 16 72 47.89 XLON 16 200 47.89 XLON 16 25 47.89 XLON 16 56 47.89 XLON 16 100 47.89 XLON 16 190 47.89 XLON 16 6 47.89 XLON 16 200 47.89 XLON 16


 
1 47.89 XLON 16 41 47.89 XLON 16 153 47.89 XLON 16 37 47.88 XLON 16 160 47.88 XLON 16 61 47.93 XLON 16 200 47.93 XLON 16 37 47.93 XLON 16 10 47.91 XLON 16 296 47.91 XLON 16 3 47.89 XLON 16 200 47.89 XLON 16 1 47.89 XLON 16 32 47.91 XLON 16 28 47.91 XLON 16 133 47.91 XLON 16 79 47.91 XLON 16 110 47.91 XLON 16 18 47.91 XLON 16 200 47.91 XLON 16 198 47.92 XLON 16 132 47.93 XLON 16 191 47.95 XLON 16 277 47.97 XLON 16 260 47.97 XLON 16 112 47.95 XLON 16 105 47.95 XLON 16 376 47.96 XLON 16 630 47.96 XLON 16 108 47.96 XLON 16 125 47.96 XLON 16 194 47.96 XLON 16 13 47.96 XLON 16 183 47.96 XLON 16 20 47.96 XLON 16 207 47.96 XLON 16 226 47.95 XLON 16 372 47.94 XLON 16 Media Enquires: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.


 
EX-99.9 10 a999-transactioninownsha.htm EX-99.9 a999-transactioninownsha
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:05 09 May 2025 RNS Number : 9741H Unilever PLC 09 May 2025 TRANSACTIONS IN OWN SECURITIES 09 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following nu ordinary shares on the London Stock Exchange from Goldman Sachs International ("th The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 08 May 2025 Number of ordinary shares purchased: 50,000 Highest price paid per share: GBP 47.7500 Lowest price paid per share: GBP 47.0600 Volume weighted average price paid per share: GBP 47.3816 Such purchases form part of the Company's existing share buy-back programme and we pursuant to the instructions issued to the Broker by the Company on 13 February 2025, on that date. Following the purchase of these shares, Unilever holds 67,646,885 of its ordinary share and has 2,500,900,934 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volume LSE 47.3816 50,000 BATS 0.0000 0 Chi-X 0.0000 0 Turquoise 0.0000 0 Aquis 0.0000 0 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the U Market Abuse Regulation), a full breakdown of the individual trades made by the Broke the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Tim 32 47.69 XLON 09 155 47.69 XLON 09 44 47.69 XLON 09 313 47.69 XLON 09 421 47.68 XLON 09 638 47.66 XLON 09 214 47.67 XLON 09 213 47.67 XLON 09 27 47.67 XLON 09 165 47.67 XLON 09 190 47.71 XLON 09 189 47.71 XLON 09 153 47.71 XLON 09 80 47.73 XLON 09 145 47.73 XLON 09 64 47.71 XLON 09 200 47.72 XLON 09 82 47.72 XLON 09 225 47.72 XLON 09 206 47.65 XLON 09 189 47.66 XLON 09 190 47.65 XLON 09 202 47.69 XLON 09 197 47.70 XLON 09 191 47.68 XLON 09 85 47.59 XLON 09 85 47.59 XLON 09 100 47.59 XLON 09 59 47.59 XLON 09 224 47.62 XLON 09 210 47.61 XLON 09 192 47.61 XLON 10 202 47.62 XLON 10 190 47.60 XLON 10 200 47.64 XLON 10 193 47.65 XLON 10 96 47.64 XLON 10 100 47.64 XLON 10 193 47.64 XLON 10 56 47.64 XLON 10 232 47.67 XLON 10 238 47.68 XLON 10 109 47.75 XLON 10 168 47.75 XLON 10 102 47.73 XLON 10 181 47.73 XLON 10 232 47.73 XLON 10 100 47.71 XLON 10 244 47.66 XLON 10 233 47.61 XLON 10 180 47.64 XLON 10 9 47.64 XLON 10 206 47.63 XLON 10 88 47.64 XLON 10 101 47.64 XLON 10 205 47.64 XLON 11 201 47.69 XLON 11 196 47.72 XLON 11 189 47.69 XLON 11 201 47.63 XLON 11 194 47.61 XLON 11 195 47.63 XLON 11 192 47.61 XLON 11 42 47.58 XLON 11 241 47.64 XLON 11 201 47.62 XLON 11 249 47.61 XLON 11 218 47.63 XLON 11 204 47.60 XLON 11 195 47.66 XLON 11 195 47.66 XLON 11 125 47.63 XLON 11 225 47.67 XLON 11 211 47.70 XLON 11 196 47.72 XLON 12 192 47.60 XLON 12 190 47.56 XLON 12 193 47.60 XLON 12 194 47.57 XLON 12 197 47.56 XLON 12 1 47.54 XLON 12 196 47.54 XLON 12 190 47.54 XLON 12 104 47.56 XLON 12 237 47.56 XLON 12 213 47.52 XLON 12 206 47.51 XLON 12 206 47.49 XLON 12 197 47.50 XLON 12 194 47.47 XLON 12 189 47.45 XLON 12 195 47.45 XLON 12 191 47.46 XLON 12 198 47.52 XLON 13 195 47.52 XLON 13 195 47.48 XLON 13


 
196 47.44 XLON 13 189 47.44 XLON 13 189 47.43 XLON 13 193 47.40 XLON 13 171 47.44 XLON 13 27 47.44 XLON 13 190 47.46 XLON 13 194 47.44 XLON 13 190 47.42 XLON 13 189 47.45 XLON 13 200 47.45 XLON 13 197 47.50 XLON 13 190 47.46 XLON 13 197 47.41 XLON 13 193 47.45 XLON 13 197 47.40 XLON 13 39 47.35 XLON 13 151 47.35 XLON 13 191 47.35 XLON 13 189 47.35 XLON 13 195 47.32 XLON 13 192 47.29 XLON 14 147 47.30 XLON 14 50 47.30 XLON 14 199 47.28 XLON 14 193 47.27 XLON 14 197 47.31 XLON 14 195 47.31 XLON 14 193 47.29 XLON 14 190 47.29 XLON 14 64 47.27 XLON 14 198 47.24 XLON 14 33 47.21 XLON 14 236 47.21 XLON 14 231 47.23 XLON 14 203 47.25 XLON 14 202 47.27 XLON 14 126 47.27 XLON 14 76 47.27 XLON 14 152 47.28 XLON 14 59 47.28 XLON 14 217 47.33 XLON 14 219 47.30 XLON 14 184 47.31 XLON 14 24 47.31 XLON 14 202 47.31 XLON 14 210 47.28 XLON 14 14 47.28 XLON 14 231 47.28 XLON 14 207 47.26 XLON 14 214 47.26 XLON 14 158 47.26 XLON 14 43 47.26 XLON 14 62 47.23 XLON 14 145 47.23 XLON 14 200 47.24 XLON 14 191 47.23 XLON 14 199 47.22 XLON 14 100 47.23 XLON 14 112 47.23 XLON 14 192 47.21 XLON 14 22 47.21 XLON 14 202 47.21 XLON 14 23 47.21 XLON 14 132 47.21 XLON 14 81 47.21 XLON 14 218 47.19 XLON 14 190 47.20 XLON 14 194 47.26 XLON 14 192 47.26 XLON 14 196 47.25 XLON 14 151 47.27 XLON 14 54 47.27 XLON 14 208 47.25 XLON 14 225 47.28 XLON 14 213 47.29 XLON 14 208 47.30 XLON 14 199 47.32 XLON 14 206 47.29 XLON 14 33 47.27 XLON 14 168 47.27 XLON 14 218 47.29 XLON 14 190 47.29 XLON 14 213 47.32 XLON 14 29 47.30 XLON 14 171 47.30 XLON 14 100 47.28 XLON 14 245 47.30 XLON 15 10 47.30 XLON 15 30 47.28 XLON 15 100 47.28 XLON 15 191 47.29 XLON 15 190 47.30 XLON 15 194 47.28 XLON 15 215 47.28 XLON 15 197 47.26 XLON 15 214 47.25 XLON 15 217 47.27 XLON 15 204 47.27 XLON 15 212 47.25 XLON 15 202 47.25 XLON 15 158 47.23 XLON 15 45 47.23 XLON 15 190 47.25 XLON 15 156 47.25 XLON 15 36 47.31 XLON 15 174 47.31 XLON 15 151 47.35 XLON 15 174 47.35 XLON 15 270 47.35 XLON 15 342 47.37 XLON 15 299 47.35 XLON 15 211 47.33 XLON 15 206 47.35 XLON 15 150 47.36 XLON 15 55 47.36 XLON 15 201 47.36 XLON 15 5 47.36 XLON 15 206 47.40 XLON 15 252 47.40 XLON 15 349 47.40 XLON 15 207 47.38 XLON 15 203 47.36 XLON 15 310 47.34 XLON 15 366 47.33 XLON 15 312 47.28 XLON 15 332 47.27 XLON 15 332 47.28 XLON 15 229 47.28 XLON 15 5 47.28 XLON 15 30 47.28 XLON 15 159 47.28 XLON 15 111 47.26 XLON 15 124 47.26 XLON 15 226 47.26 XLON 15 243 47.26 XLON 15 38 47.26 XLON 15 210 47.25 XLON 15 51 47.25 XLON 15 198 47.24 XLON 15 204 47.22 XLON 15 282 47.22 XLON 15 197 47.20 XLON 15 283 47.20 XLON 15 91 47.20 XLON 15 154 47.20 XLON 15 249 47.20 XLON 16 50 47.20 XLON 16 320 47.18 XLON 16 39 47.12 XLON 16 286 47.12 XLON 16 199 47.11 XLON 16 100 47.11 XLON 16 191 47.10 XLON 16 118 47.10 XLON 16 7 47.13 XLON 16 242 47.13 XLON 16 83 47.13 XLON 16 58 47.13 XLON 16 269 47.13 XLON 16


 
342 47.09 XLON 16 350 47.10 XLON 16 338 47.10 XLON 16 329 47.10 XLON 16 344 47.09 XLON 16 335 47.09 XLON 16 348 47.08 XLON 16 257 47.08 XLON 16 6 47.08 XLON 16 282 47.07 XLON 16 10 47.07 XLON 16 14 47.07 XLON 16 1 47.07 XLON 16 1 47.07 XLON 16 298 47.07 XLON 16 315 47.06 XLON 16 171 47.07 XLON 16 140 47.07 XLON 16 334 47.06 XLON 16 223 47.10 XLON 16 269 47.09 XLON 16 276 47.09 XLON 16 205 47.06 XLON 16 240 47.06 XLON 16 39 47.06 XLON 16 24 47.06 XLON 16 79 47.08 XLON 16 227 47.08 XLON 16 Media Enquires: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.


 
EX-99.10 11 a9910-transactioninownsh.htm EX-99.10 a9910-transactioninownsh
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:06 12 May 2025 RNS Number : 1584I Unilever PLC 12 May 2025 TRANSACTIONS IN OWN SECURITIES 12 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following ordinary shares on the London Stock Exchange from Goldman Sachs International ( The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 09 May 2025 Number of ordinary shares purchased: 50,000 Highest price paid per share: GBP 47.4000 Lowest price paid per share: GBP 46.9300 Volume weighted average price paid per share: GBP 47.1414 Such purchases form part of the Company's existing share buy-back programme and pursuant to the instructions issued to the Broker by the Company on 13 February 2025 on that date. Following the purchase of these shares, Unilever holds 67,696,885 of its ordinary sha and has 2,500,850,934 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volume LSE 47.1414 50,000 BATS 0.0000 0 Chi-X 0.0000 0 Turquoise 0.0000 0 Aquis 0.0000 0 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies i Market Abuse Regulation), a full breakdown of the individual trades made by the Brok the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Tim 548 47.17 XLON 09 500 47.15 XLON 09 147 47.15 XLON 09 200 47.15 XLON 09 222 47.18 XLON 09 266 47.21 XLON 09 246 47.23 XLON 09 255 47.23 XLON 09 217 47.26 XLON 09 202 47.27 XLON 09 205 47.25 XLON 09 194 47.25 XLON 09 185 47.27 XLON 09 184 47.27 XLON 09 186 47.29 XLON 09 186 47.27 XLON 09 196 47.29 XLON 09 196 47.27 XLON 09 170 47.29 XLON 09 20 47.29 XLON 09 192 47.31 XLON 09 194 47.29 XLON 09 189 47.29 XLON 09 53 47.30 XLON 09 134 47.30 XLON 09 188 47.32 XLON 09 254 47.34 XLON 10 340 47.34 XLON 10 85 47.36 XLON 10 16 47.36 XLON 10 360 47.36 XLON 10 227 47.37 XLON 10 143 47.37 XLON 10 226 47.36 XLON 10 203 47.36 XLON 10 427 47.34 XLON 10 184 47.37 XLON 10 192 47.35 XLON 10 188 47.34 XLON 10 185 47.36 XLON 10 189 47.36 XLON 10 188 47.36 XLON 10 187 47.34 XLON 10 240 47.37 XLON 10 226 47.39 XLON 11 259 47.37 XLON 11 32 47.37 XLON 11 231 47.39 XLON 11 168 47.37 XLON 11 242 47.40 XLON 11 267 47.38 XLON 11 192 47.39 XLON 11 268 47.39 XLON 11 222 47.39 XLON 11 190 47.37 XLON 11 221 47.34 XLON 11 215 47.34 XLON 11 185 47.36 XLON 11 188 47.34 XLON 11 155 47.35 XLON 11 29 47.35 XLON 11 188 47.34 XLON 11 198 47.31 XLON 11 199 47.29 XLON 11 186 47.28 XLON 11 192 47.25 XLON 12 183 47.25 XLON 12 6 47.25 XLON 12 187 47.28 XLON 12 192 47.28 XLON 12 189 47.27 XLON 12 190 47.28 XLON 12 184 47.30 XLON 12 188 47.29 XLON 12 193 47.30 XLON 12 189 47.32 XLON 12 185 47.32 XLON 12 189 47.37 XLON 12 186 47.35 XLON 12 103 47.35 XLON 12 87 47.35 XLON 12 189 47.35 XLON 12 187 47.32 XLON 12 189 47.28 XLON 13 191 47.26 XLON 13 191 47.23 XLON 13 189 47.23 XLON 13 178 47.21 XLON 13 195 47.21 XLON 13 194 47.20 XLON 13 186 47.19 XLON 13 184 47.17 XLON 13 184 47.12 XLON 13 190 47.12 XLON 13 190 47.10 XLON 13 195 47.10 XLON 13


 
151 47.08 XLON 13 212 47.07 XLON 13 137 47.07 XLON 13 229 47.12 XLON 13 204 47.14 XLON 13 202 47.12 XLON 13 114 47.11 XLON 13 78 47.11 XLON 13 157 47.09 XLON 13 202 47.09 XLON 13 20 47.07 XLON 13 172 47.07 XLON 13 198 47.11 XLON 14 197 47.09 XLON 14 187 47.07 XLON 14 194 47.07 XLON 14 189 47.06 XLON 14 192 47.04 XLON 14 187 47.04 XLON 14 188 47.04 XLON 14 184 47.06 XLON 14 190 47.06 XLON 14 3 47.06 XLON 14 198 47.06 XLON 14 140 47.06 XLON 14 38 47.07 XLON 14 188 47.07 XLON 14 145 47.02 XLON 14 63 47.02 XLON 14 177 47.07 XLON 14 197 47.09 XLON 14 205 47.02 XLON 14 146 47.00 XLON 14 48 47.00 XLON 14 208 47.02 XLON 14 222 47.06 XLON 14 217 47.04 XLON 14 203 47.03 XLON 14 204 47.06 XLON 14 1 47.06 XLON 14 188 47.08 XLON 14 197 47.10 XLON 14 197 47.08 XLON 14 193 47.06 XLON 14 206 47.05 XLON 14 193 47.11 XLON 14 120 47.09 XLON 14 67 47.09 XLON 14 189 47.09 XLON 14 122 47.09 XLON 14 65 47.09 XLON 14 190 47.07 XLON 14 158 47.08 XLON 14 26 47.08 XLON 14 185 47.07 XLON 14 184 47.05 XLON 14 195 47.03 XLON 14 192 47.04 XLON 14 184 46.98 XLON 14 192 47.02 XLON 14 255 47.05 XLON 14 187 47.03 XLON 14 51 47.04 XLON 14 303 47.06 XLON 14 206 47.06 XLON 14 187 47.04 XLON 14 195 47.02 XLON 14 220 47.04 XLON 14 81 47.03 XLON 14 194 47.05 XLON 14 119 47.07 XLON 14 171 47.07 XLON 14 184 47.05 XLON 14 193 47.05 XLON 14 137 47.05 XLON 14 163 47.05 XLON 14 31 47.05 XLON 14 204 47.07 XLON 15 198 47.05 XLON 15 186 47.03 XLON 15 200 47.02 XLON 15 195 46.97 XLON 15 141 46.93 XLON 15 58 46.93 XLON 15 191 46.95 XLON 15 192 46.95 XLON 15 108 46.96 XLON 15 91 46.96 XLON 15 191 46.95 XLON 15 184 46.93 XLON 15 204 46.96 XLON 15 63 46.96 XLON 15 143 46.96 XLON 15 96 46.97 XLON 15 248 46.97 XLON 15 254 47.00 XLON 15 16 47.00 XLON 15 186 47.00 XLON 15 114 47.01 XLON 15 166 47.01 XLON 15 261 46.99 XLON 15 95 46.99 XLON 15 265 46.99 XLON 15 237 46.98 XLON 15 224 46.96 XLON 15 199 46.98 XLON 15 202 46.98 XLON 15 199 47.00 XLON 15 252 47.00 XLON 15 194 47.02 XLON 15 361 47.02 XLON 15 319 47.01 XLON 15 311 47.01 XLON 15 314 47.01 XLON 15 242 47.07 XLON 15 197 47.07 XLON 15 59 47.07 XLON 15 131 47.07 XLON 15 184 47.05 XLON 15 192 47.06 XLON 15 117 47.06 XLON 15 205 47.09 XLON 15 311 47.07 XLON 15 224 47.05 XLON 15 220 47.03 XLON 15 221 47.02 XLON 15 240 47.01 XLON 15 296 47.00 XLON 15 339 47.02 XLON 15 320 47.02 XLON 15 8 47.02 XLON 15 8 47.01 XLON 15 349 47.01 XLON 15 353 47.00 XLON 16 305 47.02 XLON 16 295 47.02 XLON 16 304 47.11 XLON 16 193 47.11 XLON 16 28 47.11 XLON 16 319 47.09 XLON 16 44 47.11 XLON 16 153 47.11 XLON 16 155 47.09 XLON 16 29 47.09 XLON 16 208 47.12 XLON 16 185 47.12 XLON 16 48 47.12 XLON 16 273 47.12 XLON 16 159 47.10 XLON 16 27 47.10 XLON 16 22 47.10 XLON 16 281 47.10 XLON 16 55 47.10 XLON 16 14 47.10 XLON 16 43 47.10 XLON 16 11 47.10 XLON 16 147 47.10 XLON 16 262 47.12 XLON 16 368 47.12 XLON 16 653 47.11 XLON 16


 
189 47.10 XLON 16 184 47.10 XLON 16 355 47.11 XLON 16 306 47.11 XLON 16 202 47.10 XLON 16 40 47.10 XLON 16 217 47.10 XLON 16 225 47.10 XLON 16 20 47.10 XLON 16 142 47.08 XLON 16 68 47.08 XLON 16 193 47.09 XLON 16 328 47.09 XLON 16 320 47.09 XLON 16 Media Enquires: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.


 
EX-99.11 12 a9911-transactioninownsh.htm EX-99.11 a9911-transactioninownsh
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:07 13 May 2025 RNS Number : 3458I Unilever PLC 13 May 2025 TRANSACTIONS IN OWN SECURITIES 13 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following nu ordinary shares on the London Stock Exchange from Goldman Sachs International ("th The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 12 May 2025 Number of ordinary shares purchased: 50,000 Highest price paid per share: GBP 46.6200 Lowest price paid per share: GBP 46.2400 Volume weighted average price paid per share: GBP 46.4400 Such purchases form part of the Company's existing share buy-back programme and we pursuant to the instructions issued to the Broker by the Company on 13 February 2025, on that date. Following the purchase of these shares, Unilever holds 67,746,885 of its ordinary share and has 2,500,800,934 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volume LSE 46.4400 50,000 BATS 0.0000 0 Chi-X 0.0000 0 Turquoise 0.0000 0 Aquis 0.0000 0 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the U Market Abuse Regulation), a full breakdown of the individual trades made by the Broke the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Tim 400 46.51 XLON 09 218 46.51 XLON 09 438 46.52 XLON 09 269 46.53 XLON 09 237 46.51 XLON 09 63 46.60 XLON 09 189 46.60 XLON 09 266 46.58 XLON 09 229 46.57 XLON 09 212 46.56 XLON 09 198 46.54 XLON 09 191 46.54 XLON 09 198 46.52 XLON 09 185 46.49 XLON 09 56 46.46 XLON 09 129 46.46 XLON 09 185 46.52 XLON 09 193 46.52 XLON 09 193 46.50 XLON 09 1 46.49 XLON 10 191 46.49 XLON 10 186 46.46 XLON 10 190 46.45 XLON 10 197 46.45 XLON 10 196 46.45 XLON 10 191 46.41 XLON 10 189 46.41 XLON 10 192 46.43 XLON 10 190 46.39 XLON 10 185 46.43 XLON 10 48 46.48 XLON 10 137 46.48 XLON 10 78 46.48 XLON 10 113 46.48 XLON 10 185 46.48 XLON 10 192 46.47 XLON 10 191 46.42 XLON 10 195 46.35 XLON 10 194 46.31 XLON 10 64 46.31 XLON 10 111 46.31 XLON 10 193 46.35 XLON 10 196 46.37 XLON 10 18 46.31 XLON 11 239 46.35 XLON 11 20 46.35 XLON 11 237 46.35 XLON 11 223 46.39 XLON 11 80 46.38 XLON 11 122 46.38 XLON 11 193 46.34 XLON 11 192 46.38 XLON 11 189 46.40 XLON 11 185 46.38 XLON 11 132 46.36 XLON 11 54 46.36 XLON 11 194 46.36 XLON 11 187 46.39 XLON 11 190 46.39 XLON 11 192 46.38 XLON 11 187 46.37 XLON 11 3 46.37 XLON 11 143 46.35 XLON 11 50 46.35 XLON 11 109 46.35 XLON 11 211 46.44 XLON 11 185 46.42 XLON 11 228 46.40 XLON 12 195 46.43 XLON 12 195 46.43 XLON 12 193 46.41 XLON 12 134 46.39 XLON 12 53 46.39 XLON 12 141 46.38 XLON 12 2 46.39 XLON 12 206 46.39 XLON 12 198 46.40 XLON 12 203 46.38 XLON 12 188 46.38 XLON 12 288 46.43 XLON 12 130 46.43 XLON 12 258 46.41 XLON 12 234 46.39 XLON 12 228 46.37 XLON 12 189 46.43 XLON 12 147 46.41 XLON 12 39 46.41 XLON 12 189 46.45 XLON 13 191 46.45 XLON 13 186 46.43 XLON 13 148 46.47 XLON 13 37 46.47 XLON 13 186 46.45 XLON 13 185 46.49 XLON 13 186 46.49 XLON 13 188 46.51 XLON 13


 
189 46.53 XLON 13 187 46.51 XLON 13 186 46.49 XLON 13 1 46.48 XLON 13 184 46.48 XLON 13 194 46.46 XLON 13 7 46.53 XLON 13 257 46.53 XLON 13 269 46.51 XLON 13 212 46.51 XLON 13 190 46.51 XLON 13 1 46.51 XLON 13 206 46.52 XLON 13 144 46.45 XLON 13 51 46.45 XLON 13 134 46.43 XLON 13 54 46.43 XLON 13 271 46.44 XLON 13 246 46.43 XLON 13 225 46.43 XLON 14 100 46.41 XLON 14 70 46.41 XLON 14 22 46.41 XLON 14 100 46.39 XLON 14 112 46.39 XLON 14 196 46.40 XLON 14 193 46.45 XLON 14 153 46.47 XLON 14 37 46.47 XLON 14 185 46.50 XLON 14 196 46.47 XLON 14 193 46.45 XLON 14 196 46.45 XLON 14 199 46.40 XLON 14 195 46.38 XLON 14 190 46.41 XLON 14 192 46.41 XLON 14 186 46.41 XLON 14 185 46.39 XLON 14 185 46.37 XLON 14 95 46.34 XLON 14 247 46.33 XLON 14 216 46.37 XLON 14 177 46.33 XLON 14 226 46.31 XLON 14 198 46.31 XLON 14 227 46.31 XLON 14 220 46.29 XLON 14 185 46.30 XLON 14 188 46.28 XLON 14 96 46.28 XLON 14 114 46.28 XLON 14 198 46.30 XLON 14 186 46.24 XLON 14 192 46.28 XLON 14 4 46.28 XLON 14 198 46.28 XLON 14 185 46.31 XLON 14 197 46.30 XLON 14 191 46.33 XLON 14 196 46.32 XLON 14 190 46.35 XLON 14 188 46.37 XLON 14 200 46.42 XLON 14 207 46.40 XLON 14 189 46.39 XLON 14 205 46.37 XLON 14 108 46.36 XLON 14 91 46.36 XLON 14 197 46.34 XLON 14 192 46.37 XLON 14 186 46.39 XLON 14 190 46.37 XLON 14 191 46.39 XLON 14 190 46.39 XLON 14 188 46.46 XLON 14 136 46.49 XLON 14 193 46.46 XLON 14 214 46.49 XLON 14 194 46.49 XLON 14 193 46.46 XLON 14 19 46.48 XLON 14 10 46.48 XLON 14 173 46.48 XLON 14 191 46.48 XLON 14 155 46.40 XLON 14 1 46.40 XLON 14 133 46.41 XLON 15 97 46.41 XLON 15 42 46.41 XLON 15 173 46.41 XLON 15 199 46.39 XLON 15 208 46.36 XLON 15 120 46.34 XLON 15 1 46.34 XLON 15 1 46.37 XLON 15 232 46.39 XLON 15 209 46.38 XLON 15 210 46.39 XLON 15 168 46.40 XLON 15 35 46.40 XLON 15 197 46.42 XLON 15 202 46.39 XLON 15 196 46.41 XLON 15 194 46.44 XLON 15 195 46.44 XLON 15 190 46.46 XLON 15 200 46.48 XLON 15 80 46.50 XLON 15 246 46.48 XLON 15 228 46.52 XLON 15 107 46.54 XLON 15 100 46.54 XLON 15 202 46.60 XLON 15 195 46.62 XLON 15 191 46.59 XLON 15 187 46.50 XLON 15 185 46.52 XLON 15 188 46.54 XLON 15 188 46.56 XLON 15 186 46.52 XLON 15 188 46.51 XLON 15 185 46.52 XLON 15 185 46.52 XLON 15 256 46.51 XLON 15 262 46.47 XLON 15 196 46.44 XLON 15 198 46.44 XLON 15 241 46.50 XLON 15 60 46.50 XLON 15 129 46.50 XLON 15 191 46.50 XLON 15 190 46.50 XLON 15 303 46.49 XLON 15 252 46.49 XLON 15 54 46.49 XLON 15 159 46.48 XLON 15 223 46.48 XLON 15 242 46.48 XLON 15 332 46.48 XLON 15 327 46.49 XLON 15 314 46.53 XLON 15 322 46.53 XLON 15 113 46.53 XLON 15 251 46.49 XLON 15 243 46.47 XLON 15 188 46.45 XLON 15 218 46.44 XLON 15 214 46.48 XLON 16 240 46.50 XLON 16 76 46.50 XLON 16 227 46.49 XLON 16 332 46.53 XLON 16 279 46.53 XLON 16 214 46.51 XLON 16 217 46.51 XLON 16 254 46.53 XLON 16 243 46.53 XLON 16 233 46.53 XLON 16 275 46.55 XLON 16


 
120 46.53 XLON 16 153 46.53 XLON 16 258 46.53 XLON 16 260 46.53 XLON 16 216 46.51 XLON 16 299 46.51 XLON 16 204 46.50 XLON 16 108 46.50 XLON 16 340 46.48 XLON 16 207 46.45 XLON 16 307 46.43 XLON 16 224 46.41 XLON 16 267 46.41 XLON 16 214 46.40 XLON 16 316 46.37 XLON 16 356 46.35 XLON 16 228 46.36 XLON 16 69 46.36 XLON 16 225 46.36 XLON 16 297 46.36 XLON 16 289 46.33 XLON 16 304 46.32 XLON 16 47 46.29 XLON 16 27 46.34 XLON 16 Media Enquires: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.


 
EX-99.12 13 a9912-transactioninownsh.htm EX-99.12 a9912-transactioninownsh
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:05 14 May 2025 RNS Number : 5354I Unilever PLC 14 May 2025 TRANSACTIONS IN OWN SECURITIES   14 May 2025   Unilever PLC (the "Company") announces today that it has purchased the following nu ordinary shares on the London Stock Exchange from Goldman Sachs International ("th The repurchased shares will be held in treasury.   Ordinary Shares   Date of purchase: 13 May 2025     Number of ordinary shares purchased: 50,000     Highest price paid per share: GBP 46.1600     Lowest price paid per share: GBP 45.6800     Volume weighted average price paid per share: GBP 45.9498   Such purchases form part of the Company's existing share buy-back programme and we pursuant to the instructions issued to the Broker by the Company on 13 February 2025, on that date.   Following the purchase of these shares, Unilever holds 67,796,885 of its ordinary share and has 2,500,750,934 ordinary shares in issue (excluding treasury shares).   Aggregated information   Trading venue Volume weighted average price (GBP) Aggregated volume LSE 45.9498 50,000 BATS 0.0000 0 Chi-X 0.0000 0 Turquoise 0.0000 0 Aquis 0.0000 0   Transaction details   In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the U Market Abuse Regulation), a full breakdown of the individual trades made by the Broke the Company as part of the buy-back programme is detailed below:   Quantity bought Price (GBP) Trading Venue Tim 594 46.16 XLON 08 428 46.15 XLON 08 650 46.13 XLON 08 4 46.13 XLON 08 200 46.11 XLON 08 26 46.11 XLON 08 211 46.08 XLON 08 200 46.07 XLON 09 195 46.00 XLON 09 35 46.04 XLON 09 260 46.04 XLON 09 228 46.08 XLON 09 196 46.09 XLON 09 209 46.09 XLON 09 195 46.09 XLON 09 197 46.10 XLON 09 195 46.11 XLON 09 190 46.10 XLON 09 173 46.12 XLON 09 193 46.10 XLON 09 187 46.11 XLON 09 196 46.11 XLON 09 56 46.11 XLON 09 130 46.11 XLON 09 190 46.11 XLON 09 185 46.11 XLON 09 184 46.11 XLON 09 9 46.11 XLON 09 175 46.11 XLON 09 189 46.09 XLON 09 188 46.02 XLON 09 191 46.02 XLON 10 185 46.00 XLON 10 191 46.01 XLON 10 190 45.98 XLON 10 184 45.98 XLON 10 194 45.93 XLON 10 188 45.91 XLON 10 189 45.93 XLON 10 185 45.92 XLON 10 193 45.93 XLON 10 190 45.91 XLON 10 184 45.94 XLON 10 190 45.91 XLON 10 67 45.95 XLON 10 239 45.97 XLON 10 164 45.97 XLON 10 59 45.97 XLON 10 208 46.00 XLON 10 183 46.01 XLON 10 14 46.01 XLON 10 195 46.05 XLON 11 194 46.03 XLON 11 184 46.03 XLON 11 184 46.04 XLON 11 191 46.05 XLON 11 84 46.03 XLON 11 107 46.03 XLON 11 184 46.04 XLON 11 118 46.04 XLON 11 69 46.04 XLON 11 184 46.05 XLON 11 195 45.98 XLON 11 192 45.97 XLON 11 58 45.97 XLON 11 133 45.97 XLON 11 194 46.00 XLON 11 194 46.00 XLON 11 186 45.99 XLON 11 186 45.97 XLON 11 191 45.97 XLON 11 134 45.97 XLON 11 11 45.97 XLON 11 42 45.97 XLON 11 27 45.97 XLON 11 164 45.97 XLON 11 186 45.99 XLON 12 16 46.01 XLON 12 189 46.01 XLON 12 73 46.01 XLON 12 111 46.01 XLON 12 184 45.99 XLON 12 150 45.97 XLON 12 34 45.97 XLON 12 187 45.95 XLON 12 191 45.95 XLON 12 160 45.95 XLON 12 185 45.99 XLON 12 144 45.97 XLON 12 43 45.97 XLON 12 198 45.95 XLON 12 90 45.96 XLON 12 238 45.95 XLON 12 23 45.96 XLON 12 72 45.96 XLON 12 126 45.96 XLON 12


 
208 45.99 XLON 12 195 45.98 XLON 12 193 45.98 XLON 12 192 45.98 XLON 13 287 46.02 XLON 13 224 46.02 XLON 13 195 46.02 XLON 13 241 46.00 XLON 13 191 46.02 XLON 13 185 46.00 XLON 13 265 46.02 XLON 13 232 46.03 XLON 13 213 46.04 XLON 13 205 46.02 XLON 13 186 46.00 XLON 13 212 45.95 XLON 13 188 45.94 XLON 13 202 45.92 XLON 13 198 45.91 XLON 13 195 45.93 XLON 13 188 45.93 XLON 13 184 45.91 XLON 13 180 45.88 XLON 13 7 45.88 XLON 13 184 45.89 XLON 13 20 45.91 XLON 14 165 45.91 XLON 14 66 45.91 XLON 14 245 45.95 XLON 14 216 45.91 XLON 14 208 45.93 XLON 14 202 45.93 XLON 14 185 45.90 XLON 14 194 45.95 XLON 14 189 45.93 XLON 14 70 45.94 XLON 14 114 45.94 XLON 14 195 45.88 XLON 14 108 45.93 XLON 14 87 45.93 XLON 14 196 45.93 XLON 14 188 45.96 XLON 14 58 46.03 XLON 14 184 45.99 XLON 14 194 46.00 XLON 14 184 46.06 XLON 14 128 46.02 XLON 14 65 46.02 XLON 14 197 46.00 XLON 14 195 45.98 XLON 14 200 45.98 XLON 14 24 45.94 XLON 14 185 45.94 XLON 14 217 45.88 XLON 14 203 45.90 XLON 14 197 45.91 XLON 14 10 45.92 XLON 14 202 45.92 XLON 14 198 45.93 XLON 14 96 45.93 XLON 14 99 45.93 XLON 14 190 45.96 XLON 14 184 46.02 XLON 14 189 46.00 XLON 14 190 45.98 XLON 14 4 45.95 XLON 14 183 45.95 XLON 14 1 45.95 XLON 14 200 45.96 XLON 14 196 45.96 XLON 14 184 45.93 XLON 14 195 45.93 XLON 14 194 45.92 XLON 14 190 45.97 XLON 14 194 45.95 XLON 14 193 45.98 XLON 14 187 45.95 XLON 14 184 46.01 XLON 14 186 45.98 XLON 14 186 45.98 XLON 14 201 45.99 XLON 14 195 46.00 XLON 14 208 46.00 XLON 14 190 46.00 XLON 14 204 46.01 XLON 14 4 46.01 XLON 14 180 46.01 XLON 14 71 46.00 XLON 14 125 46.00 XLON 14 185 46.00 XLON 14 211 46.00 XLON 14 213 45.99 XLON 14 18 46.01 XLON 15 16 46.01 XLON 15 168 46.01 XLON 15 198 46.04 XLON 15 5 46.02 XLON 15 89 46.02 XLON 15 250 46.04 XLON 15 207 46.05 XLON 15 210 46.04 XLON 15 234 46.04 XLON 15 235 46.02 XLON 15 201 46.03 XLON 15 77 46.03 XLON 15 124 46.03 XLON 15 199 46.03 XLON 15 196 46.08 XLON 15 193 46.07 XLON 15 187 46.06 XLON 15 187 46.06 XLON 15 195 46.10 XLON 15 206 46.08 XLON 15 205 46.05 XLON 15 196 46.04 XLON 15 195 45.98 XLON 15 186 45.95 XLON 15 196 45.93 XLON 15 4 45.98 XLON 15 191 45.98 XLON 15 196 45.99 XLON 15 112 46.00 XLON 15 84 46.00 XLON 15 198 45.99 XLON 15 250 45.97 XLON 15 190 45.99 XLON 15 186 45.99 XLON 15 204 45.97 XLON 15 311 45.97 XLON 15 319 45.93 XLON 15 47 45.95 XLON 15 258 45.95 XLON 15 340 45.91 XLON 15 322 45.91 XLON 15 297 45.92 XLON 15 319 45.91 XLON 15 319 45.92 XLON 15 310 45.89 XLON 15 19 45.83 XLON 15 285 45.83 XLON 15 308 45.81 XLON 15 2 45.81 XLON 15 74 45.80 XLON 15 242 45.80 XLON 15 309 45.82 XLON 15 316 45.81 XLON 15 300 45.80 XLON 15 192 45.80 XLON 16 103 45.80 XLON 16 239 45.74 XLON 16 198 45.79 XLON 16 197 45.77 XLON 16 3 45.77 XLON 16 41 45.74 XLON 16 200 45.74 XLON 16 70 45.74 XLON 16 330 45.73 XLON 16 309 45.70 XLON 16 14 45.70 XLON 16 326 45.70 XLON 16


 
295 45.71 XLON 16 304 45.68 XLON 16 4 45.68 XLON 16 288 45.72 XLON 16 5 45.72 XLON 16 308 45.72 XLON 16 193 45.72 XLON 16 10 45.71 XLON 16 303 45.71 XLON 16 1 45.75 XLON 16 194 45.75 XLON 16 208 45.75 XLON 16 142 45.75 XLON 16 51 45.75 XLON 16 203 45.73 XLON 16 297 45.74 XLON 16 261 45.74 XLON 16 233 45.72 XLON 16 184 45.72 XLON 16 270 45.73 XLON 16 259 45.75 XLON 16 7 45.77 XLON 16 5 45.77 XLON 16 6 45.77 XLON 16 166 45.77 XLON 16 221 45.78 XLON 16 429 45.79 XLON 16 91 45.79 XLON 16 182 45.79 XLON 16 371 45.80 XLON 16 94 45.80 XLON 16     Media Enquires: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com     This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.


 
EX-99.13 14 a9913-transactioninownsh.htm EX-99.13 a9913-transactioninownsh
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:07 15 May 2025 RNS Number : 7308I Unilever PLC 15 May 2025 TRANSACTIONS IN OWN SECURITIES   15 May 2025   Unilever PLC (the "Company") announces today that it has purchased the following nu ordinary shares on the London Stock Exchange from Goldman Sachs International ("th The repurchased shares will be held in treasury.   Ordinary Shares   Date of purchase: 14 May 2025     Number of ordinary shares purchased: 50,000     Highest price paid per share: GBP 45.8600     Lowest price paid per share: GBP 45.4700     Volume weighted average price paid per share: GBP 45.6399   Such purchases form part of the Company's existing share buy-back programme and we pursuant to the instructions issued to the Broker by the Company on 13 February 2025, on that date.   Following the purchase of these shares, Unilever holds 67,846,885 of its ordinary share and has 2,500,700,934 ordinary shares in issue (excluding treasury shares).   Aggregated information   Trading venue Volume weighted average price (GBP) Aggregated volume LSE 45.6399 50,000 BATS 0.0000 0 Chi-X 0.0000 0 Turquoise 0.0000 0 Aquis 0.0000 0   Transaction details   In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the U Market Abuse Regulation), a full breakdown of the individual trades made by the Broke the Company as part of the buy-back programme is detailed below:   Quantity bought Price (GBP) Trading Venue Tim 593 45.75 XLON 09 407 45.75 XLON 09 278 45.76 XLON 09 190 45.75 XLON 09 11 45.73 XLON 09 20 45.73 XLON 09 155 45.73 XLON 09 211 45.73 XLON 09 185 45.71 XLON 09 187 45.73 XLON 09 188 45.72 XLON 09 184 45.72 XLON 09 185 45.69 XLON 09 160 45.70 XLON 09 24 45.70 XLON 09 184 45.66 XLON 09 187 45.67 XLON 09 189 45.65 XLON 09 186 45.65 XLON 10 191 45.61 XLON 10 193 45.56 XLON 10 190 45.54 XLON 10 194 45.61 XLON 10 191 45.58 XLON 10 190 45.60 XLON 10 185 45.60 XLON 10 193 45.60 XLON 10 188 45.59 XLON 10 187 45.60 XLON 10 189 45.58 XLON 10 190 45.59 XLON 10 254 45.65 XLON 10 247 45.65 XLON 10 227 45.66 XLON 10 203 45.65 XLON 10 195 45.69 XLON 10 185 45.72 XLON 11 189 45.72 XLON 11 195 45.70 XLON 11 192 45.73 XLON 11 186 45.73 XLON 11 342 45.81 XLON 11 252 45.79 XLON 11 265 45.80 XLON 11 228 45.81 XLON 11 48 45.82 XLON 11 157 45.82 XLON 11 206 45.78 XLON 11 193 45.79 XLON 11 184 45.79 XLON 11 188 45.85 XLON 11 188 45.86 XLON 11 186 45.83 XLON 11 261 45.83 XLON 12 189 45.81 XLON 12 228 45.80 XLON 12 187 45.78 XLON 12 175 45.78 XLON 12 48 45.78 XLON 12 195 45.75 XLON 12 66 45.73 XLON 12 274 45.72 XLON 12 139 45.70 XLON 12 129 45.70 XLON 12 185 45.70 XLON 12 200 45.71 XLON 12 268 45.74 XLON 12 185 45.77 XLON 12 202 45.75 XLON 12 262 45.72 XLON 12 186 45.72 XLON 12 186 45.72 XLON 12 309 45.78 XLON 13 434 45.80 XLON 13 287 45.78 XLON 13 249 45.76 XLON 13 189 45.76 XLON 13 138 45.78 XLON 13 87 45.78 XLON 13 202 45.79 XLON 13 8 45.77 XLON 13 188 45.77 XLON 13 200 45.76 XLON 13 193 45.78 XLON 13 195 45.73 XLON 13 67 45.76 XLON 13 263 45.73 XLON 13 185 45.75 XLON 13 195 45.75 XLON 13 282 45.81 XLON 13 273 45.79 XLON 13 102 45.77 XLON 13 160 45.77 XLON 13 189 45.74 XLON 13 57 45.72 XLON 13 127 45.72 XLON 13


 
248 45.69 XLON 13 251 45.67 XLON 14 195 45.67 XLON 14 211 45.73 XLON 14 206 45.70 XLON 14 206 45.69 XLON 14 207 45.67 XLON 14 179 45.68 XLON 14 198 45.69 XLON 14 107 45.70 XLON 14 236 45.70 XLON 14 211 45.70 XLON 14 191 45.68 XLON 14 187 45.68 XLON 14 194 45.68 XLON 14 199 45.66 XLON 14 196 45.64 XLON 14 195 45.66 XLON 14 210 45.65 XLON 14 209 45.64 XLON 14 238 45.61 XLON 14 223 45.59 XLON 14 207 45.59 XLON 14 220 45.60 XLON 14 204 45.62 XLON 14 210 45.60 XLON 14 209 45.61 XLON 14 201 45.61 XLON 14 199 45.59 XLON 14 211 45.59 XLON 14 200 45.63 XLON 14 204 45.63 XLON 14 200 45.59 XLON 14 197 45.55 XLON 14 197 45.56 XLON 14 190 45.60 XLON 14 186 45.58 XLON 14 196 45.55 XLON 14 195 45.54 XLON 14 34 45.58 XLON 14 163 45.58 XLON 14 156 45.55 XLON 14 40 45.55 XLON 14 200 45.57 XLON 14 1 45.57 XLON 14 207 45.55 XLON 14 198 45.56 XLON 14 100 45.54 XLON 14 238 45.54 XLON 14 220 45.54 XLON 14 14 45.54 XLON 14 184 45.54 XLON 14 227 45.52 XLON 14 98 45.54 XLON 14 96 45.54 XLON 14 13 45.57 XLON 14 176 45.57 XLON 14 195 45.57 XLON 14 139 45.60 XLON 14 52 45.60 XLON 14 190 45.62 XLON 14 312 45.62 XLON 14 266 45.64 XLON 14 208 45.66 XLON 15 272 45.63 XLON 15 237 45.60 XLON 15 62 45.61 XLON 15 197 45.60 XLON 15 52 45.60 XLON 15 229 45.61 XLON 15 209 45.59 XLON 15 77 45.56 XLON 15 117 45.55 XLON 15 76 45.55 XLON 15 271 45.55 XLON 15 100 45.55 XLON 15 129 45.55 XLON 15 262 45.57 XLON 15 100 45.59 XLON 15 100 45.59 XLON 15 211 45.61 XLON 15 70 45.61 XLON 15 39 45.59 XLON 15 184 45.59 XLON 15 372 45.59 XLON 15 160 45.59 XLON 15 35 45.59 XLON 15 100 45.61 XLON 15 186 45.61 XLON 15 254 45.61 XLON 15 100 45.59 XLON 15 87 45.59 XLON 15 261 45.57 XLON 15 193 45.59 XLON 15 206 45.59 XLON 15 199 45.59 XLON 15 186 45.61 XLON 15 191 45.61 XLON 15 190 45.58 XLON 15 189 45.58 XLON 15 100 45.62 XLON 15 89 45.62 XLON 15 190 45.60 XLON 15 266 45.60 XLON 15 191 45.60 XLON 15 238 45.60 XLON 15 216 45.60 XLON 15 224 45.60 XLON 15 326 45.59 XLON 15 316 45.58 XLON 15 18 45.55 XLON 15 285 45.55 XLON 15 320 45.56 XLON 15 345 45.56 XLON 15 205 45.54 XLON 15 90 45.58 XLON 15 107 45.58 XLON 15 8 45.58 XLON 15 241 45.58 XLON 15 276 45.56 XLON 15 100 45.54 XLON 15 100 45.54 XLON 15 85 45.54 XLON 15 231 45.52 XLON 15 37 45.52 XLON 15 187 45.53 XLON 15 207 45.53 XLON 15 187 45.53 XLON 15 187 45.53 XLON 16 7 45.53 XLON 16 185 45.53 XLON 16 20 45.53 XLON 16 29 45.53 XLON 16 186 45.51 XLON 16 21 45.49 XLON 16 174 45.49 XLON 16 209 45.48 XLON 16 321 45.47 XLON 16 321 45.49 XLON 16 200 45.50 XLON 16 224 45.48 XLON 16 231 45.48 XLON 16 355 45.50 XLON 16 324 45.50 XLON 16 397 45.52 XLON 16 204 45.55 XLON 16 503 45.54 XLON 16 367 45.57 XLON 16 98 45.57 XLON 16 350 45.57 XLON 16 213 45.57 XLON 16 217 45.57 XLON 16 49 45.58 XLON 16 530 45.58 XLON 16 234 45.59 XLON 16 224 45.61 XLON 16 195 45.61 XLON 16 59 45.61 XLON 16 198 45.61 XLON 16 261 45.62 XLON 16


 
238 45.62 XLON 16 273 45.61 XLON 16 208 45.62 XLON 16 259 45.61 XLON 16 532 45.62 XLON 16     Media Enquires: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com     This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.


 
EX-99.14 15 a9914-transactioninownsh.htm EX-99.14 a9914-transactioninownsh
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:05 16 May 2025 RNS Number : 9191I Unilever PLC 16 May 2025 TRANSACTIONS IN OWN SECURITIES 16 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following nu ordinary shares on the London Stock Exchange from Goldman Sachs International ("th The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 15 May 2025 Number of ordinary shares purchased: 1,032,140 Highest price paid per share: GBP 46.0500 Lowest price paid per share: GBP 45.3800 Volume weighted average price paid per share: GBP 45.7996 Such purchases form part of the Company's existing share buy-back programme and we pursuant to the instructions issued to the Broker by the Company on 13 February 2025, on that date. Following the purchase of these shares, Unilever holds 68,879,025 of its ordinary share and has 2,499,668,794 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volume LSE 45.8028 661,482 BATS 45.7752 91,489 Chi-X 45.8049 165,000 Turquoise 45.7930 56,000 Aquis 45.7935 58,169 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the U Market Abuse Regulation), a full breakdown of the individual trades made by the Broke the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Tim 576 45.46 XLON 08 593 45.47 TRQX 08 95 45.46 XLON 08 361 45.46 XLON 08 640 45.46 CHIX 08 552 45.45 TRQX 08 681 45.45 AQXE 08 189 45.45 BATE 08 393 45.43 CHIX 08 450 45.43 TRQX 08 683 45.43 XLON 08 491 45.42 XLON 08 199 45.43 CHIX 08 574 45.43 AQXE 08 189 45.43 BATE 08 141 45.44 CHIX 08 96 45.44 CHIX 08 746 45.43 XLON 08 275 45.44 CHIX 08 160 45.44 BATE 08 41 45.43 XLON 08 664 45.43 XLON 08 343 45.43 CHIX 08 360 45.43 BATE 08 207 45.42 AQXE 08 248 45.41 BATE 08 739 45.41 XLON 08 188 45.42 XLON 08 543 45.42 XLON 08 701 45.42 XLON 08 734 45.42 XLON 08 476 45.42 XLON 08 270 45.42 XLON 08 209 45.42 AQXE 08 614 45.41 CHIX 08 255 45.41 BATE 08 440 45.42 CHIX 08 219 45.42 AQXE 08 66 45.42 XLON 08 50 45.42 XLON 08 246 45.42 XLON 08 39 45.42 XLON 08 33 45.42 XLON 08 538 45.42 CHIX 08 323 45.41 XLON 08 392 45.41 XLON 08 245 45.41 BATE 08 133 45.41 BATE 08 146 45.43 XLON 08 152 45.43 XLON 08 70 45.43 XLON 08 89 45.43 XLON 08 162 45.43 XLON 08 50 45.43 XLON 08 710 45.42 XLON 08 311 45.41 CHIX 08 82 45.41 BATE 08 40 45.40 TRQX 08 247 45.40 TRQX 08 100 45.40 XLON 08 71 45.40 XLON 08 9 45.40 XLON 08 246 45.40 XLON 08 491 45.40 XLON 08 246 45.40 XLON 08 61 45.40 XLON 08 236 45.42 TRQX 08 134 45.43 XLON 08 199 45.43 XLON 08 210 45.42 XLON 08 186 45.42 XLON 08 159 45.42 XLON 08 271 45.42 XLON 08 230 45.42 XLON 08 117 45.42 XLON 08 41 45.42 XLON 08 50 45.42 XLON 08 186 45.42 XLON 08 187 45.42 XLON 08 246 45.42 XLON 08 203 45.42 XLON 08 458 45.41 XLON 08 125 45.45 AQXE 08 120 45.45 AQXE 08 427 45.45 BATE 08 251 45.44 XLON 08 108 45.44 XLON 08 160 45.44 BATE 08 15 45.45 XLON 08 60 45.45 XLON 08 50 45.45 XLON 08 86 45.45 XLON 08 37 45.45 XLON 08 31 45.45 XLON 08 128 45.44 XLON 08 61 45.44 XLON 08


 
312 45.43 XLON 08 82 45.44 XLON 08 107 45.44 XLON 08 249 45.44 XLON 08 89 45.44 XLON 08 43 45.44 XLON 08 52 45.44 XLON 08 11 45.44 XLON 08 83 45.44 XLON 08 46 45.44 XLON 08 408 45.43 XLON 08 10 45.43 XLON 08 523 45.43 CHIX 08 309 45.43 BATE 08 200 45.43 TRQX 08 295 45.41 XLON 08 14 45.43 XLON 08 200 45.43 XLON 08 120 45.43 XLON 08 188 45.43 XLON 08 192 45.43 XLON 08 97 45.43 XLON 08 192 45.43 XLON 08 518 45.43 CHIX 08 198 45.41 TRQX 08 730 45.42 XLON 08 199 45.42 AQXE 08 437 45.41 CHIX 08 19 45.41 BATE 08 328 45.41 BATE 08 249 45.41 XLON 08 107 45.41 XLON 08 294 45.39 BATE 08 19 45.40 XLON 08 1 45.40 XLON 08 203 45.40 XLON 08 145 45.40 XLON 08 123 45.40 XLON 08 281 45.40 XLON 08 274 45.39 CHIX 08 280 45.39 XLON 08 281 45.38 TRQX 08 189 45.38 BATE 08 21 45.38 XLON 08 152 45.38 XLON 08 573 45.38 XLON 08 356 45.38 CHIX 08 189 45.38 XLON 08 20 45.38 XLON 08 115 45.39 XLON 08 280 45.39 XLON 08 28 45.39 XLON 08 117 45.39 XLON 08 308 45.39 XLON 08 490 45.39 XLON 08 119 45.40 XLON 08 265 45.40 XLON 08 114 45.40 XLON 08 265 45.40 XLON 08 112 45.40 XLON 08 348 45.40 TRQX 08 731 45.40 XLON 08 593 45.40 CHIX 08 235 45.40 BATE 08 1 45.40 XLON 08 49 45.40 XLON 08 97 45.40 XLON 08 6 45.40 XLON 08 16 45.40 XLON 08 68 45.40 XLON 08 75 45.40 XLON 08 105 45.40 XLON 08 107 45.40 XLON 08 308 45.40 XLON 08 109 45.40 XLON 08 189 45.40 XLON 08 48 45.40 XLON 08 308 45.40 XLON 08 170 45.40 XLON 08 52 45.40 XLON 08 155 45.40 XLON 08 308 45.40 XLON 08 299 45.40 XLON 08 386 45.44 XLON 08 111 45.44 XLON 08 386 45.44 XLON 08 332 45.44 XLON 08 45 45.44 XLON 08 4 45.44 XLON 08 332 45.44 XLON 08 49 45.44 XLON 08 240 45.43 XLON 08 500 45.43 XLON 08 278 45.43 AQXE 08 230 45.43 XLON 08 122 45.43 XLON 08 329 45.44 XLON 08 40 45.44 XLON 08 117 45.44 XLON 08 368 45.47 XLON 08 64 45.47 XLON 08 176 45.48 XLON 08 175 45.48 XLON 08 386 45.48 XLON 08 270 45.48 XLON 08 156 45.48 XLON 08 185 45.48 XLON 08 106 45.48 XLON 08 166 45.48 XLON 08 386 45.48 XLON 08 183 45.48 XLON 08 136 45.48 XLON 08 136 45.48 XLON 08 186 45.48 XLON 08 3 45.48 XLON 08 308 45.48 XLON 08 167 45.48 XLON 08 92 45.48 XLON 08 225 45.49 TRQX 08 194 45.49 AQXE 08 174 45.48 BATE 08 723 45.48 XLON 08 641 45.48 CHIX 08 38 45.48 BATE 08 305 45.54 XLON 08 181 45.54 XLON 08 169 45.54 XLON 08 266 45.54 XLON 08 84 45.54 BATE 08 19 45.54 BATE 08 18 45.54 BATE 08 84 45.54 BATE 08 732 45.53 XLON 08 84 45.54 BATE 08 20 45.53 BATE 08 17 45.53 BATE 08 1 45.53 BATE 08 84 45.53 BATE 08 25 45.52 AQXE 08 19 45.53 BATE 08 18 45.53 BATE 08 84 45.53 BATE 08 225 45.52 TRQX 08 93 45.53 TRQX 08 738 45.52 CHIX 08 202 45.52 AQXE 08 342 45.52 BATE 08 266 45.53 TRQX 08 723 45.53 XLON 08 726 45.57 XLON 09 38 45.55 TRQX 09 725 45.55 XLON 09 721 45.56 CHIX 09 322 45.56 BATE 09 326 45.55 TRQX 09 84 45.55 BATE 09 84 45.55 BATE 09 27 45.55 BATE 09 84 45.55 BATE 09 311 45.54 BATE 09


 
37 45.54 CHIX 09 51 45.54 CHIX 09 615 45.54 CHIX 09 68 45.53 XLON 09 41 45.53 XLON 09 330 45.54 CHIX 09 229 45.54 BATE 09 211 45.53 TRQX 09 616 45.53 XLON 09 208 45.53 AQXE 09 732 45.56 XLON 09 18 45.56 CHIX 09 319 45.56 CHIX 09 18 45.58 BATE 09 386 45.58 XLON 09 438 45.58 XLON 09 200 45.58 XLON 09 409 45.58 CHIX 09 260 45.58 BATE 09 244 45.57 TRQX 09 717 45.57 XLON 09 99 45.56 CHIX 09 61 45.56 CHIX 09 8 45.56 CHIX 09 235 45.56 BATE 09 93 45.58 XLON 09 220 45.58 XLON 09 438 45.58 XLON 09 699 45.58 XLON 09 219 45.59 TRQX 09 353 45.58 CHIX 09 344 45.58 BATE 09 212 45.60 CHIX 09 381 45.60 BATE 09 391 45.60 BATE 09 37 45.60 BATE 09 669 45.60 XLON 09 192 45.60 AQXE 09 485 45.58 XLON 09 94 45.62 TRQX 09 104 45.62 CHIX 09 261 45.63 XLON 09 17 45.63 XLON 09 15 45.65 XLON 09 386 45.65 XLON 09 17 45.65 XLON 09 265 45.65 XLON 09 25 45.65 XLON 09 181 45.65 TRQX 09 507 45.66 CHIX 09 191 45.65 XLON 09 512 45.65 XLON 09 454 45.64 CHIX 09 263 45.64 BATE 09 90 45.64 BATE 09 720 45.63 XLON 09 171 45.63 AQXE 09 33 45.63 AQXE 09 713 45.63 XLON 09 243 45.63 AQXE 09 182 45.62 CHIX 09 269 45.62 BATE 09 362 45.62 XLON 09 377 45.62 XLON 09 136 45.61 AQXE 09 20 45.62 BATE 09 2 45.62 BATE 09 22 45.68 XLON 09 692 45.68 XLON 09 197 45.68 BATE 09 501 45.68 BATE 09 105 45.68 BATE 09 105 45.68 BATE 09 105 45.68 BATE 09 398 45.68 BATE 09 105 45.69 BATE 09 160 45.69 BATE 09 162 45.69 XLON 09 587 45.69 XLON 09 105 45.71 BATE 09 100 45.70 BATE 09 257 45.70 TRQX 09 391 45.70 XLON 09 338 45.70 XLON 09 328 45.70 CHIX 09 368 45.70 BATE 09 56 45.70 BATE 09 350 45.70 AQXE 09 323 45.70 XLON 09 431 45.70 XLON 09 454 45.70 BATE 09 500 45.70 XLON 09 75 45.70 TRQX 09 4 45.74 XLON 09 711 45.74 XLON 09 450 45.74 CHIX 09 198 45.73 AQXE 09 291 45.73 AQXE 09 194 45.72 TRQX 09 701 45.72 XLON 09 176 45.72 BATE 09 291 45.72 BATE 09 388 45.71 CHIX 09 406 45.71 AQXE 09 229 45.70 XLON 09 463 45.70 BATE 09 269 45.69 CHIX 09 261 45.70 XLON 09 191 45.69 TRQX 09 643 45.68 XLON 09 71 45.69 CHIX 09 105 45.69 BATE 09 19 45.69 BATE 09 17 45.69 BATE 09 178 45.69 BATE 09 59 45.69 BATE 09 56 45.68 BATE 09 362 45.69 AQXE 09 107 45.67 XLON 09 640 45.67 XLON 09 234 45.67 XLON 09 185 45.67 XLON 09 220 45.67 XLON 09 167 45.67 XLON 09 367 45.66 CHIX 09 271 45.66 BATE 09 132 45.66 BATE 09 295 45.66 AQXE 09 386 45.66 XLON 09 292 45.66 XLON 09 197 45.64 TRQX 09 733 45.65 XLON 09 376 45.64 BATE 09 267 45.64 AQXE 09 375 45.65 CHIX 09 17 45.66 XLON 09 172 45.66 XLON 09 500 45.66 XLON 09 356 45.66 XLON 09 235 45.67 CHIX 09 453 45.67 BATE 09 125 45.67 BATE 09 25 45.68 XLON 09 381 45.68 XLON 09 5 45.70 XLON 09 500 45.71 XLON 09 198 45.70 TRQX 09 371 45.70 XLON 09 345 45.70 XLON 09 170 45.72 XLON 09 99 45.72 XLON 09 248 45.72 XLON 09 323 45.71 XLON 09 416 45.71 XLON 09 462 45.71 CHIX 09 132 45.72 BATE 09 20 45.72 BATE 09 21 45.72 BATE 09 17 45.72 BATE 09 20 45.72 BATE 09


 
100 45.72 AQXE 09 282 45.72 AQXE 09 156 45.73 BATE 09 192 45.73 TRQX 09 95 45.73 XLON 09 183 45.73 XLON 09 386 45.73 XLON 09 430 45.73 CHIX 09 375 45.73 BATE 09 331 45.73 BATE 09 348 45.73 AQXE 09 84 45.76 XLON 09 42 45.76 XLON 09 750 45.76 XLON 09 94 45.76 XLON 09 2 45.76 XLON 09 191 45.76 XLON 09 98 45.76 XLON 09 220 45.76 XLON 09 177 45.76 XLON 09 281 45.76 CHIX 09 72 45.76 CHIX 09 108 45.76 XLON 09 112 45.76 XLON 09 114 45.76 XLON 09 119 45.76 XLON 09 121 45.76 XLON 09 386 45.76 XLON 09 386 45.76 XLON 09 185 45.76 XLON 09 181 45.76 XLON 09 131 45.76 XLON 09 156 45.76 XLON 09 197 45.75 TRQX 09 323 45.74 XLON 09 137 45.74 XLON 09 270 45.74 XLON 09 270 45.74 XLON 09 77 45.74 XLON 09 260 45.74 CHIX 09 511 45.75 BATE 09 106 45.73 BATE 09 551 45.73 BATE 09 139 45.75 AQXE 09 176 45.75 AQXE 09 178 45.72 XLON 09 272 45.73 AQXE 09 337 45.73 CHIX 09 198 45.72 TRQX 09 554 45.72 XLON 09 333 45.71 CHIX 09 678 45.71 BATE 09 355 45.71 AQXE 09 178 45.69 XLON 09 545 45.69 XLON 09 119 45.69 CHIX 09 98 45.69 CHIX 09 9 45.67 XLON 09 155 45.67 XLON 09 579 45.67 XLON 09 277 45.68 BATE 09 213 45.66 BATE 09 170 45.68 AQXE 09 59 45.68 AQXE 09 221 45.68 XLON 09 236 45.68 BATE 09 210 45.68 AQXE 09 193 45.68 TRQX 09 234 45.68 CHIX 09 102 45.67 CHIX 09 44 45.66 XLON 09 285 45.66 XLON 09 161 45.66 BATE 09 197 45.66 BATE 09 263 45.66 AQXE 09 244 45.65 CHIX 09 696 45.64 XLON 09 195 45.63 BATE 09 231 45.64 AQXE 09 366 45.61 XLON 09 45 45.61 BATE 09 145 45.61 BATE 09 263 45.61 AQXE 09 125 45.60 XLON 09 334 45.60 XLON 09 386 45.60 XLON 09 133 45.60 XLON 09 61 45.60 XLON 09 752 45.59 XLON 09 225 45.59 BATE 09 270 45.59 AQXE 09 195 45.58 TRQX 09 244 45.58 CHIX 09 705 45.57 XLON 09 211 45.58 CHIX 09 198 45.58 BATE 09 355 45.58 AQXE 09 190 45.58 TRQX 09 749 45.60 XLON 09 239 45.60 BATE 09 732 45.59 XLON 09 24 45.57 XLON 09 213 45.59 CHIX 09 341 45.60 BATE 09 235 45.58 BATE 09 288 45.60 AQXE 09 299 45.58 AQXE 09 210 45.61 CHIX 09 6 45.61 CHIX 09 210 45.61 BATE 09 17 45.61 BATE 09 200 45.61 AQXE 09 730 45.60 XLON 09 223 45.59 CHIX 09 549 45.58 XLON 09 227 45.59 BATE 09 194 45.59 AQXE 09 582 45.56 XLON 09 221 45.57 CHIX 09 294 45.58 BATE 09 190 45.58 TRQX 09 748 45.57 XLON 09 329 45.60 AQXE 09 726 45.59 XLON 09 207 45.59 CHIX 09 363 45.60 BATE 09 3 45.60 AQXE 09 221 45.60 AQXE 09 197 45.61 TRQX 09 722 45.61 XLON 09 268 45.61 CHIX 09 389 45.60 BATE 09 208 45.59 CHIX 09 6 45.60 AQXE 09 714 45.59 XLON 09 8 45.59 XLON 09 138 45.61 XLON 09 230 45.61 XLON 09 138 45.61 XLON 09 145 45.61 XLON 09 230 45.61 XLON 09 100 45.61 XLON 09 386 45.61 XLON 09 136 45.61 XLON 09 139 45.60 XLON 09 98 45.61 XLON 09 386 45.61 XLON 09 141 45.61 XLON 09 48 45.61 XLON 09 304 45.61 XLON 09 600 45.60 XLON 09 316 45.60 BATE 09 189 45.60 AQXE 09 33 45.61 XLON 09 386 45.61 XLON 09 79 45.61 XLON 09 26 45.59 XLON 09 219 45.59 XLON 09 94 45.59 TRQX 09 58 45.59 CHIX 09


 
65 45.59 CHIX 09 96 45.59 TRQX 09 474 45.59 XLON 09 98 45.59 XLON 09 386 45.59 XLON 09 98 45.59 XLON 09 189 45.59 XLON 09 124 45.59 CHIX 09 386 45.59 XLON 09 52 45.59 XLON 09 332 45.64 AQXE 09 252 45.63 TRQX 09 708 45.63 XLON 09 750 45.63 CHIX 09 230 45.62 BATE 09 313 45.62 AQXE 09 264 45.61 TRQX 09 728 45.61 XLON 09 200 45.61 XLON 09 173 45.61 XLON 09 100 45.61 XLON 09 722 45.61 CHIX 09 28 45.60 AQXE 09 106 45.60 BATE 10 221 45.60 BATE 10 296 45.60 AQXE 10 185 45.62 XLON 10 167 45.62 XLON 10 386 45.62 XLON 10 278 45.62 XLON 10 193 45.62 XLON 10 183 45.62 XLON 10 142 45.62 XLON 10 386 45.62 XLON 10 312 45.62 XLON 10 46 45.62 XLON 10 195 45.62 XLON 10 189 45.62 XLON 10 167 45.62 XLON 10 386 45.62 XLON 10 312 45.62 XLON 10 184 45.62 XLON 10 161 45.62 XLON 10 137 45.62 XLON 10 143 45.62 XLON 10 168 45.62 XLON 10 312 45.62 XLON 10 191 45.62 XLON 10 190 45.62 XLON 10 386 45.62 XLON 10 312 45.62 XLON 10 179 45.62 XLON 10 184 45.62 XLON 10 312 45.62 XLON 10 132 45.62 XLON 10 67 45.61 TRQX 10 131 45.61 TRQX 10 701 45.61 XLON 10 739 45.61 CHIX 10 167 45.63 XLON 10 162 45.63 XLON 10 18 45.63 XLON 10 196 45.62 TRQX 10 753 45.62 XLON 10 236 45.62 CHIX 10 304 45.62 BATE 10 351 45.62 AQXE 10 284 45.61 XLON 10 215 45.61 XLON 10 234 45.61 XLON 10 337 45.61 CHIX 10 315 45.61 AQXE 10 77 45.61 XLON 10 138 45.61 XLON 10 173 45.61 XLON 10 105 45.61 XLON 10 175 45.61 XLON 10 188 45.61 TRQX 10 2 45.61 TRQX 10 236 45.61 XLON 10 517 45.61 XLON 10 118 45.61 CHIX 10 99 45.62 XLON 10 81 45.62 XLON 10 82 45.62 XLON 10 83 45.62 XLON 10 83 45.62 XLON 10 84 45.62 XLON 10 383 45.62 XLON 10 85 45.62 XLON 10 386 45.62 XLON 10 110 45.62 XLON 10 175 45.62 XLON 10 181 45.62 XLON 10 82 45.62 XLON 10 303 45.62 XLON 10 405 45.62 BATE 10 173 45.62 XLON 10 160 45.62 XLON 10 386 45.62 XLON 10 160 45.62 XLON 10 194 45.62 XLON 10 21 45.62 XLON 10 67 45.61 CHIX 10 380 45.62 BATE 10 82 45.62 XLON 10 107 45.62 XLON 10 240 45.61 CHIX 10 141 45.62 XLON 10 146 45.62 XLON 10 160 45.62 XLON 10 294 45.62 XLON 10 39 45.62 XLON 10 56 45.63 XLON 10 341 45.63 XLON 10 15 45.63 XLON 10 227 45.63 XLON 10 253 45.63 XLON 10 164 45.63 XLON 10 224 45.62 BATE 10 257 45.62 XLON 10 286 45.62 XLON 10 60 45.61 TRQX 10 153 45.61 TRQX 10 274 45.61 XLON 10 436 45.61 XLON 10 7 45.61 CHIX 10 186 45.61 AQXE 10 289 45.61 XLON 10 220 45.61 XLON 10 141 45.61 XLON 10 22 45.61 AQXE 10 337 45.63 TRQX 10 721 45.63 XLON 10 260 45.63 XLON 10 98 45.63 XLON 10 144 45.63 XLON 10 200 45.63 XLON 10 150 45.63 XLON 10 265 45.63 XLON 10 732 45.63 CHIX 10 209 45.63 AQXE 10 220 45.63 XLON 10 150 45.63 XLON 10 202 45.64 XLON 10 114 45.64 XLON 10 48 45.64 XLON 10 40 45.64 XLON 10 197 45.64 XLON 10 168 45.64 XLON 10 48 45.64 XLON 10 40 45.64 XLON 10 172 45.64 XLON 10 175 45.64 XLON 10 40 45.64 XLON 10 48 45.64 XLON 10 101 45.64 XLON 10 87 45.64 XLON 10 167 45.64 XLON 10 205 45.64 XLON 10


 
161 45.64 XLON 10 138 45.64 XLON 10 56 45.64 XLON 10 156 45.64 XLON 10 24 45.64 XLON 10 175 45.64 XLON 10 289 45.64 XLON 10 150 45.64 XLON 10 67 45.64 XLON 10 709 45.63 CHIX 10 216 45.63 TRQX 10 752 45.63 XLON 10 206 45.63 AQXE 10 255 45.64 XLON 10 127 45.64 XLON 10 45 45.64 XLON 10 54 45.64 XLON 10 89 45.64 XLON 10 289 45.64 XLON 10 208 45.64 XLON 10 205 45.63 TRQX 10 301 45.63 XLON 10 398 45.63 XLON 10 148 45.62 BATE 10 247 45.66 XLON 10 28 45.66 XLON 10 242 45.66 XLON 10 162 45.66 XLON 10 27 45.66 XLON 10 248 45.65 CHIX 10 717 45.65 XLON 10 492 45.65 CHIX 10 248 45.66 TRQX 10 41 45.66 TRQX 10 173 45.65 XLON 10 118 45.65 XLON 10 42 45.65 XLON 10 50 45.65 XLON 10 189 45.65 XLON 10 178 45.65 XLON 10 21 45.65 XLON 10 231 45.64 TRQX 10 445 45.64 BATE 10 259 45.64 AQXE 10 178 45.64 XLON 10 2 45.64 XLON 10 189 45.64 XLON 10 160 45.64 XLON 10 233 45.64 XLON 10 150 45.64 XLON 10 178 45.64 XLON 10 183 45.64 XLON 10 8 45.64 CHIX 10 331 45.64 BATE 10 131 45.64 XLON 10 56 45.64 XLON 10 46 45.64 XLON 10 191 45.64 XLON 10 209 45.64 XLON 10 289 45.64 XLON 10 270 45.64 XLON 10 138 45.64 XLON 10 59 45.64 XLON 10 24 45.64 XLON 10 215 45.64 CHIX 10 321 45.64 BATE 10 8 45.64 CHIX 10 130 45.64 XLON 10 59 45.64 XLON 10 57 45.64 CHIX 10 50 45.64 CHIX 10 188 45.64 XLON 10 362 45.64 XLON 10 507 45.64 XLON 10 28 45.64 XLON 10 226 45.63 TRQX 10 700 45.63 XLON 10 234 45.63 CHIX 10 508 45.63 CHIX 10 231 45.63 AQXE 10 95 45.62 BATE 10 14 45.73 XLON 10 752 45.75 XLON 10 132 45.75 XLON 10 250 45.75 XLON 10 1,222 45.75 XLON 10 193 45.75 CHIX 10 507 45.74 CHIX 10 224 45.74 TRQX 10 690 45.73 XLON 10 223 45.74 CHIX 10 622 45.74 BATE 10 345 45.74 AQXE 10 50 45.71 TRQX 10 588 45.71 XLON 10 150 45.71 XLON 10 728 45.72 CHIX 10 148 45.71 TRQX 10 552 45.71 BATE 10 259 45.71 AQXE 10 718 45.70 CHIX 10 187 45.70 XLON 10 224 45.70 XLON 10 754 45.72 XLON 10 362 45.72 XLON 10 145 45.72 XLON 10 172 45.72 XLON 10 17 45.73 XLON 10 171 45.73 XLON 10 149 45.73 XLON 10 64 45.73 XLON 10 129 45.73 XLON 10 745 45.72 XLON 10 73 45.71 TRQX 10 624 45.71 CHIX 10 265 45.71 BATE 10 132 45.71 TRQX 10 224 45.71 AQXE 10 33 45.70 XLON 10 250 45.71 XLON 10 69 45.71 XLON 10 200 45.71 XLON 10 112 45.71 XLON 10 48 45.71 XLON 10 40 45.71 XLON 10 9 45.71 XLON 10 112 45.71 XLON 10 40 45.71 XLON 10 48 45.71 XLON 10 84 45.71 XLON 10 48 45.71 XLON 10 40 45.71 XLON 10 261 45.71 BATE 10 91 45.71 XLON 10 240 45.71 XLON 10 105 45.71 XLON 10 173 45.72 XLON 10 195 45.72 XLON 10 68 45.72 XLON 10 169 45.72 XLON 10 146 45.72 XLON 10 165 45.72 XLON 10 362 45.72 XLON 10 141 45.72 XLON 10 170 45.72 XLON 10 200 45.71 TRQX 10 82 45.72 XLON 10 362 45.72 XLON 10 199 45.72 XLON 10 141 45.72 XLON 10 199 45.72 XLON 10 181 45.72 XLON 10 129 45.72 XLON 10 248 45.72 XLON 10 711 45.72 CHIX 10 231 45.72 AQXE 10 101 45.71 BATE 10 189 45.71 TRQX 10 89 45.71 BATE 10 137 45.71 XLON 10


 
276 45.71 XLON 10 362 45.71 XLON 10 40 45.71 XLON 10 147 45.71 XLON 10 178 45.71 XLON 10 362 45.71 XLON 10 150 45.71 XLON 10 709 45.70 XLON 10 631 45.70 CHIX 10 215 45.70 AQXE 10 362 45.70 XLON 10 145 45.70 XLON 10 718 45.70 CHIX 10 142 45.70 XLON 10 101 45.70 XLON 10 183 45.70 XLON 10 78 45.70 XLON 10 702 45.70 XLON 10 197 45.70 XLON 10 533 45.70 XLON 10 195 45.70 CHIX 10 193 45.70 XLON 11 372 45.70 CHIX 11 177 45.70 XLON 11 569 45.70 XLON 11 213 45.69 TRQX 11 32 45.69 TRQX 11 369 45.69 BATE 11 61 45.69 BATE 11 123 45.69 AQXE 11 96 45.69 AQXE 11 102 45.69 XLON 11 182 45.69 XLON 11 717 45.68 XLON 11 753 45.68 CHIX 11 270 45.68 TRQX 11 27 45.68 BATE 11 164 45.68 BATE 11 325 45.68 XLON 11 192 45.68 AQXE 11 362 45.68 XLON 11 133 45.68 XLON 11 362 45.68 XLON 11 500 45.68 XLON 11 54 45.68 XLON 11 113 45.68 TRQX 11 142 45.68 TRQX 11 362 45.68 XLON 11 526 45.68 XLON 11 362 45.69 XLON 11 200 45.69 XLON 11 34 45.67 CHIX 11 218 45.68 TRQX 11 362 45.68 XLON 11 137 45.68 XLON 11 25 45.68 XLON 11 362 45.68 XLON 11 362 45.68 XLON 11 357 45.68 XLON 11 169 45.68 XLON 11 72 45.68 XLON 11 60 45.68 XLON 11 16 45.68 XLON 11 733 45.67 XLON 11 178 45.67 CHIX 11 196 45.67 BATE 11 169 45.67 XLON 11 31 45.67 XLON 11 362 45.67 XLON 11 362 45.67 XLON 11 30 45.67 XLON 11 15 45.66 TRQX 11 176 45.66 TRQX 11 720 45.65 XLON 11 325 45.65 XLON 11 749 45.65 CHIX 11 230 45.64 BATE 11 752 45.64 XLON 11 75 45.63 CHIX 11 88 45.64 XLON 11 194 45.64 XLON 11 99 45.67 AQXE 11 105 45.67 XLON 11 100 45.67 AQXE 11 199 45.67 TRQX 11 716 45.67 CHIX 11 247 45.67 BATE 11 15 45.67 AQXE 11 111 45.67 XLON 11 362 45.67 XLON 11 200 45.67 XLON 11 113 45.67 XLON 11 180 45.67 AQXE 11 124 45.67 XLON 11 136 45.67 XLON 11 53 45.67 XLON 11 200 45.67 XLON 11 147 45.67 XLON 11 713 45.67 CHIX 11 224 45.67 BATE 11 200 45.67 XLON 11 740 45.66 XLON 11 1,398 45.66 XLON 11 216 45.65 TRQX 11 731 45.65 CHIX 11 247 45.65 BATE 11 722 45.64 XLON 11 59 45.63 TRQX 11 145 45.63 CHIX 11 166 45.63 CHIX 11 242 45.63 BATE 11 259 45.63 AQXE 11 71 45.62 XLON 11 323 45.62 XLON 11 317 45.62 XLON 11 225 45.62 TRQX 11 66 45.62 TRQX 11 271 45.62 CHIX 11 147 45.62 XLON 11 147 45.62 XLON 11 148 45.62 XLON 11 137 45.62 XLON 11 147 45.62 XLON 11 362 45.62 XLON 11 183 45.62 XLON 11 6 45.62 XLON 11 320 45.62 XLON 11 722 45.64 XLON 11 269 45.64 XLON 11 77 45.64 XLON 11 111 45.64 XLON 11 121 45.64 XLON 11 74 45.64 XLON 11 22 45.64 XLON 11 109 45.64 XLON 11 160 45.64 XLON 11 362 45.64 XLON 11 192 45.64 XLON 11 170 45.64 XLON 11 50 45.64 XLON 11 142 45.64 XLON 11 224 45.63 AQXE 11 56 45.63 XLON 11 190 45.63 XLON 11 1 45.63 XLON 11 163 45.63 XLON 11 207 45.63 XLON 11 115 45.62 CHIX 11 95 45.62 TRQX 11 103 45.62 TRQX 11 713 45.62 XLON 11 310 45.62 CHIX 11 296 45.62 BATE 11 151 45.61 AQXE 11 92 45.61 AQXE 11 709 45.61 XLON 11 264 45.61 XLON 11 30 45.61 XLON 11 293 45.61 XLON 11 189 45.61 XLON 11


 
2 45.61 XLON 11 362 45.61 XLON 11 167 45.61 XLON 11 78 45.61 XLON 11 255 45.60 TRQX 11 377 45.60 XLON 11 145 45.60 XLON 11 638 45.60 CHIX 11 192 45.60 BATE 11 236 45.60 AQXE 11 196 45.60 TRQX 11 676 45.60 CHIX 11 113 45.59 BATE 11 362 45.60 XLON 11 110 45.60 XLON 11 138 45.60 XLON 11 146 45.60 XLON 11 362 45.60 XLON 11 229 45.60 XLON 11 121 45.60 XLON 11 408 45.59 XLON 11 337 45.59 XLON 11 452 45.59 XLON 11 50 45.59 XLON 11 30 45.59 XLON 11 148 45.59 XLON 11 190 45.59 XLON 11 1 45.59 XLON 11 234 45.59 BATE 11 145 45.59 XLON 11 121 45.60 XLON 11 452 45.60 XLON 11 123 45.60 XLON 11 99 45.60 XLON 11 100 45.60 XLON 11 137 45.60 XLON 11 580 45.59 CHIX 11 202 45.60 XLON 11 452 45.60 XLON 11 182 45.60 XLON 11 265 45.62 TRQX 11 61 45.62 XLON 11 452 45.62 XLON 11 146 45.62 XLON 11 452 45.62 XLON 11 119 45.62 XLON 11 142 45.62 XLON 11 452 45.62 XLON 11 139 45.62 XLON 11 452 45.62 XLON 11 140 45.62 XLON 11 189 45.62 XLON 11 191 45.62 XLON 11 452 45.62 XLON 11 129 45.61 AQXE 11 48 45.61 AQXE 11 730 45.61 XLON 11 713 45.61 CHIX 11 286 45.61 BATE 11 62 45.61 AQXE 11 55 45.60 TRQX 11 400 45.62 XLON 11 311 45.62 XLON 11 721 45.61 CHIX 11 341 45.61 BATE 11 157 45.60 AQXE 11 51 45.60 TRQX 11 84 45.60 TRQX 11 113 45.60 AQXE 11 139 45.60 XLON 11 50 45.60 XLON 11 166 45.60 XLON 11 23 45.60 XLON 11 452 45.60 XLON 11 85 45.60 XLON 11 727 45.59 XLON 11 134 45.59 CHIX 11 215 45.59 BATE 11 195 45.58 TRQX 11 702 45.57 XLON 11 310 45.57 CHIX 11 230 45.57 AQXE 11 64 45.56 BATE 11 18 45.57 XLON 11 248 45.57 XLON 11 95 45.57 XLON 11 370 45.57 XLON 11 95 45.57 XLON 11 133 45.57 XLON 11 384 45.57 XLON 11 208 45.56 TRQX 11 45 45.56 BATE 11 141 45.56 BATE 11 452 45.58 XLON 11 118 45.58 XLON 11 452 45.58 XLON 11 132 45.58 XLON 11 184 45.58 XLON 11 52 45.58 XLON 11 148 45.58 XLON 11 189 45.58 XLON 11 146 45.58 XLON 11 166 45.58 XLON 11 113 45.58 XLON 11 227 45.60 TRQX 11 715 45.60 XLON 11 743 45.60 CHIX 11 190 45.60 AQXE 11 416 45.60 BATE 11 41 45.60 TRQX 11 754 45.60 CHIX 11 335 45.60 BATE 11 262 45.61 AQXE 11 301 45.63 CHIX 11 434 45.63 CHIX 11 384 45.63 BATE 11 211 45.63 AQXE 11 452 45.64 XLON 11 452 45.66 XLON 12 452 45.66 XLON 12 452 45.66 XLON 12 146 45.66 XLON 12 452 45.66 XLON 12 452 45.66 XLON 12 370 45.66 TRQX 12 722 45.66 XLON 12 220 45.66 XLON 12 452 45.66 XLON 12 262 45.66 TRQX 12 756 45.66 XLON 12 452 45.66 XLON 12 102 45.66 XLON 12 94 45.66 XLON 12 452 45.66 XLON 12 452 45.66 XLON 12 94 45.66 XLON 12 452 45.66 XLON 12 100 45.66 XLON 12 190 45.66 XLON 12 145 45.66 XLON 12 452 45.66 XLON 12 200 45.66 XLON 12 100 45.66 XLON 12 85 45.66 XLON 12 182 45.66 XLON 12 178 45.66 XLON 12 100 45.66 XLON 12 452 45.66 XLON 12 141 45.66 XLON 12 463 45.65 BATE 12 97 45.66 XLON 12 95 45.66 XLON 12 174 45.66 XLON 12 167 45.66 XLON 12 175 45.66 XLON 12 330 45.66 XLON 12 91 45.65 CHIX 12 141 45.66 XLON 12 54 45.66 XLON 12 401 45.66 XLON 12


 
100 45.67 XLON 12 452 45.67 XLON 12 707 45.67 XLON 12 137 45.67 XLON 12 157 45.67 XLON 12 96 45.67 XLON 12 202 45.68 XLON 12 120 45.66 TRQX 12 109 45.66 TRQX 12 323 45.66 XLON 12 390 45.66 XLON 12 597 45.65 CHIX 12 518 45.65 BATE 12 228 45.65 AQXE 12 130 45.65 XLON 12 738 45.65 XLON 12 76 45.65 XLON 12 735 45.64 XLON 12 323 45.65 XLON 12 412 45.65 XLON 12 170 45.65 XLON 12 83 45.65 XLON 12 29 45.65 XLON 12 27 45.65 XLON 12 203 45.65 XLON 12 179 45.65 XLON 12 70 45.65 XLON 12 124 45.65 XLON 12 222 45.65 XLON 12 188 45.65 XLON 12 48 45.65 XLON 12 306 45.64 TRQX 12 590 45.63 CHIX 12 473 45.63 BATE 12 219 45.63 AQXE 12 184 45.63 XLON 12 5 45.63 XLON 12 190 45.63 XLON 12 215 45.63 XLON 12 188 45.62 TRQX 12 45 45.63 XLON 12 192 45.63 XLON 12 95 45.63 XLON 12 95 45.63 XLON 12 24 45.62 TRQX 12 725 45.62 XLON 12 42 45.61 AQXE 12 456 45.61 CHIX 12 287 45.61 BATE 12 173 45.61 AQXE 12 191 45.61 XLON 12 141 45.61 XLON 12 30 45.61 XLON 12 148 45.62 XLON 12 445 45.63 XLON 12 129 45.63 XLON 12 106 45.63 XLON 12 304 45.63 XLON 12 176 45.63 XLON 12 518 45.62 BATE 12 116 45.62 BATE 12 326 45.62 AQXE 12 411 45.62 XLON 12 500 45.61 XLON 12 251 45.61 XLON 12 754 45.61 CHIX 12 191 45.60 TRQX 12 633 45.60 BATE 12 50 45.60 AQXE 12 278 45.61 TRQX 12 193 45.61 CHIX 12 311 45.61 BATE 12 215 45.61 CHIX 12 90 45.61 CHIX 12 234 45.61 TRQX 12 452 45.62 XLON 12 413 45.61 XLON 12 320 45.61 XLON 12 722 45.61 CHIX 12 322 45.62 BATE 12 301 45.62 AQXE 12 137 45.64 XLON 12 452 45.64 XLON 12 137 45.64 XLON 12 44 45.64 XLON 12 452 45.64 XLON 12 125 45.64 XLON 12 125 45.64 XLON 12 452 45.64 XLON 12 112 45.65 XLON 12 107 45.65 XLON 12 452 45.65 XLON 12 351 45.65 BATE 12 104 45.65 XLON 12 226 45.65 AQXE 12 143 45.65 XLON 12 56 45.65 XLON 12 452 45.65 XLON 12 448 45.65 CHIX 12 215 45.66 TRQX 12 709 45.66 XLON 12 452 45.66 XLON 12 160 45.66 XLON 12 93 45.66 XLON 12 193 45.66 XLON 12 193 45.66 AQXE 12 161 45.66 XLON 12 452 45.66 XLON 12 77 45.65 CHIX 12 212 45.65 CHIX 12 348 45.65 BATE 12 162 45.65 XLON 12 155 45.65 XLON 12 232 45.65 XLON 12 225 45.64 TRQX 12 738 45.64 XLON 12 75 45.63 BATE 12 246 45.63 BATE 12 270 45.63 AQXE 12 118 45.63 XLON 12 119 45.63 XLON 12 141 45.63 XLON 12 170 45.63 XLON 12 60 45.63 XLON 12 175 45.64 XLON 12 406 45.64 XLON 12 96 45.64 XLON 12 188 45.64 XLON 12 100 45.64 XLON 12 83 45.64 XLON 12 170 45.63 XLON 12 1 45.65 TRQX 12 131 45.66 XLON 12 250 45.66 XLON 12 318 45.66 XLON 12 400 45.66 XLON 12 193 45.66 CHIX 12 189 45.66 XLON 12 100 45.66 XLON 12 137 45.66 XLON 12 116 45.66 XLON 12 193 45.65 TRQX 12 245 45.64 CHIX 12 175 45.65 XLON 12 99 45.65 XLON 12 170 45.65 XLON 12 50 45.65 XLON 12 77 45.65 XLON 12 202 45.65 XLON 12 145 45.65 XLON 12 57 45.65 XLON 12 200 45.65 XLON 12 104 45.65 XLON 12 178 45.65 XLON 12 147 45.65 XLON 12 189 45.65 XLON 12 194 45.65 XLON 12 138 45.65 XLON 12 147 45.65 XLON 12 144 45.65 XLON 12


 
173 45.65 XLON 12 144 45.65 XLON 12 73 45.65 XLON 12 77 45.65 XLON 12 147 45.65 XLON 12 65 45.65 CHIX 12 103 45.65 XLON 12 220 45.65 XLON 12 88 45.65 CHIX 12 120 45.65 XLON 12 215 45.65 CHIX 12 196 45.65 XLON 12 166 45.65 XLON 12 66 45.65 CHIX 12 171 45.65 CHIX 12 52 45.65 CHIX 12 48 45.65 CHIX 12 171 45.65 CHIX 12 193 45.65 CHIX 12 200 45.65 XLON 12 276 45.65 XLON 12 123 45.65 XLON 12 123 45.65 XLON 12 171 45.65 XLON 12 176 45.65 XLON 12 714 45.64 XLON 12 182 45.64 CHIX 12 319 45.64 CHIX 12 192 45.64 BATE 12 191 45.64 TRQX 12 231 45.66 BATE 12 294 45.69 XLON 12 452 45.69 XLON 12 104 45.69 XLON 12 202 45.69 XLON 12 180 45.69 XLON 12 378 45.69 XLON 12 177 45.69 XLON 12 452 45.69 XLON 12 18 45.69 XLON 12 254 45.68 TRQX 12 719 45.67 XLON 12 711 45.67 CHIX 12 423 45.68 BATE 12 267 45.68 AQXE 12 224 45.67 XLON 12 384 45.67 XLON 12 262 45.66 TRQX 12 130 45.66 BATE 12 251 45.66 AQXE 12 225 45.66 XLON 12 204 45.66 XLON 12 189 45.66 XLON 12 40 45.66 XLON 12 339 45.66 XLON 12 215 45.66 CHIX 12 339 45.66 XLON 12 142 45.66 XLON 12 189 45.66 XLON 12 2 45.66 XLON 12 339 45.66 XLON 12 35 45.66 XLON 12 43 45.66 XLON 12 193 45.66 CHIX 12 339 45.66 XLON 12 42 45.66 XLON 12 40 45.66 XLON 12 181 45.66 XLON 12 168 45.66 XLON 12 167 45.66 XLON 12 189 45.66 XLON 12 22 45.66 CHIX 12 369 45.66 CHIX 12 189 45.66 XLON 12 198 45.66 XLON 12 192 45.66 XLON 12 87 45.66 XLON 12 187 45.66 XLON 12 178 45.66 XLON 12 108 45.66 XLON 12 197 45.64 TRQX 12 706 45.65 XLON 12 733 45.65 CHIX 12 390 45.64 BATE 12 202 45.64 AQXE 12 172 45.64 XLON 12 200 45.64 XLON 12 344 45.64 XLON 12 148 45.66 XLON 12 41 45.66 XLON 12 136 45.66 XLON 12 138 45.66 XLON 12 51 45.66 XLON 12 177 45.67 XLON 12 176 45.67 XLON 12 424 45.67 XLON 12 169 45.67 XLON 13 205 45.67 XLON 13 424 45.67 XLON 13 191 45.67 XLON 13 240 45.66 XLON 13 261 45.67 TRQX 13 424 45.67 XLON 13 15 45.67 XLON 13 193 45.67 CHIX 13 207 45.67 BATE 13 276 45.67 AQXE 13 193 45.67 CHIX 13 278 45.67 TRQX 13 424 45.67 XLON 13 290 45.67 XLON 13 108 45.67 XLON 13 195 45.67 XLON 13 167 45.67 XLON 13 46 45.67 BATE 13 201 45.67 BATE 13 257 45.67 AQXE 13 193 45.67 CHIX 13 96 45.67 XLON 13 5 45.67 XLON 13 160 45.67 XLON 13 203 45.67 XLON 13 69 45.67 XLON 13 223 45.67 CHIX 13 54 45.67 CHIX 13 316 45.67 CHIX 13 91 45.67 XLON 13 124 45.67 XLON 13 20 45.67 XLON 13 169 45.67 XLON 13 169 45.67 XLON 13 171 45.67 XLON 13 167 45.67 XLON 13 268 45.67 XLON 13 178 45.67 XLON 13 189 45.67 XLON 13 7 45.67 XLON 13 199 45.67 XLON 13 100 45.67 XLON 13 164 45.67 XLON 13 168 45.67 XLON 13 26 45.67 XLON 13 500 45.66 XLON 13 59 45.67 CHIX 13 233 45.67 CHIX 13 709 45.67 XLON 13 122 45.67 CHIX 13 229 45.67 CHIX 13 71 45.67 CHIX 13 730 45.67 XLON 13 9 45.67 XLON 13 424 45.67 XLON 13 125 45.67 XLON 13 157 45.67 XLON 13 207 45.67 XLON 13 215 45.67 CHIX 13 2 45.67 CHIX 13 14 45.67 CHIX 13 162 45.67 XLON 13 240 45.67 AQXE 13


 
612 45.68 XLON 13 75 45.68 XLON 13 223 45.68 XLON 13 184 45.68 XLON 13 157 45.68 XLON 13 176 45.68 XLON 13 403 45.68 XLON 13 209 45.68 XLON 13 203 45.68 XLON 13 167 45.68 XLON 13 359 45.68 XLON 13 75 45.68 XLON 13 33 45.68 XLON 13 186 45.67 XLON 13 418 45.68 XLON 13 355 45.68 XLON 13 32 45.68 XLON 13 180 45.68 XLON 13 230 45.68 XLON 13 165 45.67 TRQX 13 158 45.67 TRQX 13 558 45.67 XLON 13 122 45.67 CHIX 13 200 45.67 CHIX 13 84 45.67 CHIX 13 200 45.67 CHIX 13 193 45.67 CHIX 13 225 45.67 BATE 13 194 45.67 AQXE 13 40 45.68 XLON 13 424 45.68 XLON 13 167 45.68 XLON 13 192 45.68 XLON 13 198 45.68 XLON 13 177 45.68 XLON 13 755 45.68 XLON 13 424 45.68 XLON 13 280 45.68 XLON 13 107 45.68 XLON 13 113 45.68 XLON 13 156 45.68 XLON 13 3 45.68 XLON 13 171 45.68 XLON 13 731 45.68 CHIX 13 215 45.68 CHIX 13 131 45.68 CHIX 13 94 45.67 TRQX 13 189 45.68 XLON 13 743 45.68 XLON 13 381 45.68 XLON 13 754 45.68 CHIX 13 245 45.68 XLON 13 429 45.68 CHIX 13 723 45.68 XLON 13 324 45.68 CHIX 13 90 45.69 TRQX 13 446 45.69 TRQX 13 80 45.69 XLON 13 424 45.69 XLON 13 113 45.69 XLON 13 76 45.69 XLON 13 115 45.69 XLON 13 74 45.69 XLON 13 714 45.68 XLON 13 740 45.68 CHIX 13 94 45.72 XLON 13 322 45.72 XLON 13 322 45.72 XLON 13 112 45.72 XLON 13 424 45.72 XLON 13 4 45.73 TRQX 13 242 45.75 AQXE 13 746 45.74 CHIX 13 91 45.75 XLON 13 80 45.77 XLON 13 86 45.77 XLON 13 92 45.77 XLON 13 97 45.77 XLON 13 103 45.77 XLON 13 108 45.77 XLON 13 706 45.79 CHIX 13 239 45.79 AQXE 13 735 45.80 XLON 13 424 45.80 XLON 13 98 45.80 XLON 13 701 45.79 CHIX 13 190 45.79 AQXE 13 68 45.78 BATE 13 89 45.79 XLON 13 125 45.79 XLON 13 114 45.79 XLON 13 77 45.79 XLON 13 171 45.81 XLON 13 260 45.81 XLON 13 8 45.81 XLON 13 246 45.80 AQXE 13 682 45.80 TRQX 13 355 45.80 XLON 13 385 45.80 XLON 13 528 45.80 CHIX 13 187 45.80 CHIX 13 606 45.80 BATE 13 710 45.78 XLON 13 615 45.78 TRQX 13 424 45.78 XLON 13 250 45.78 XLON 13 146 45.78 XLON 13 160 45.78 XLON 13 2 45.78 XLON 13 195 45.78 XLON 13 500 45.78 BATE 13 444 45.83 TRQX 13 729 45.83 XLON 13 702 45.83 CHIX 13 272 45.83 TRQX 13 708 45.83 CHIX 13 118 45.83 XLON 13 5 45.83 XLON 13 300 45.83 XLON 13 424 45.83 XLON 13 25 45.83 XLON 13 262 45.82 AQXE 13 291 45.82 BATE 13 92 45.81 TRQX 13 324 45.81 TRQX 13 743 45.81 XLON 13 36 45.81 XLON 13 500 45.81 XLON 13 862 45.81 XLON 13 372 45.81 XLON 13 1,026 45.81 XLON 13 402 45.81 CHIX 13 330 45.81 CHIX 13 750 45.81 XLON 13 261 45.82 BATE 13 240 45.82 XLON 13 131 45.82 XLON 13 424 45.82 XLON 13 127 45.82 XLON 13 62 45.82 XLON 13 301 45.81 CHIX 13 454 45.81 CHIX 13 236 45.81 AQXE 13 114 45.80 BATE 13 146 45.80 BATE 13 101 45.82 XLON 13 88 45.82 XLON 13 186 45.82 XLON 13 3 45.82 XLON 13 23 45.81 CHIX 13 189 45.81 TRQX 13 722 45.81 XLON 13 687 45.81 CHIX 13 2 45.80 BATE 13 104 45.80 BATE 13 89 45.79 CHIX 13 180 45.79 CHIX 13 302 45.79 TRQX 13 250 45.79 XLON 13 469 45.79 XLON 13


 
486 45.79 CHIX 13 200 45.78 BATE 13 150 45.78 BATE 13 207 45.77 TRQX 13 240 45.78 XLON 13 474 45.78 XLON 13 272 45.78 CHIX 13 331 45.78 CHIX 13 327 45.78 BATE 13 218 45.80 BATE 13 107 45.80 XLON 13 82 45.80 XLON 13 239 45.80 BATE 13 192 45.79 CHIX 13 193 45.79 TRQX 13 724 45.79 XLON 13 293 45.79 CHIX 13 95 45.79 CHIX 13 194 45.80 CHIX 13 367 45.80 CHIX 13 199 45.81 AQXE 13 424 45.81 XLON 13 89 45.81 XLON 13 96 45.81 XLON 13 161 45.81 XLON 13 100 45.81 XLON 13 185 45.81 XLON 13 135 45.80 CHIX 13 194 45.79 TRQX 14 746 45.79 XLON 14 654 45.80 CHIX 14 216 45.78 AQXE 14 741 45.78 CHIX 14 204 45.78 BATE 14 192 45.77 TRQX 14 424 45.77 XLON 14 137 45.77 XLON 14 16 45.76 XLON 14 690 45.76 XLON 14 747 45.79 XLON 14 381 45.79 XLON 14 87 45.79 XLON 14 108 45.79 XLON 14 123 45.79 XLON 14 66 45.79 XLON 14 130 45.79 XLON 14 59 45.79 XLON 14 256 45.79 AQXE 14 83 45.79 TRQX 14 110 45.79 TRQX 14 74 45.78 CHIX 14 424 45.78 XLON 14 173 45.78 XLON 14 132 45.78 CHIX 14 229 45.78 BATE 14 202 45.77 TRQX 14 749 45.77 XLON 14 76 45.76 CHIX 14 633 45.76 CHIX 14 209 45.76 BATE 14 479 45.75 XLON 14 229 45.75 XLON 14 164 45.80 XLON 14 705 45.82 XLON 14 203 45.83 CHIX 14 266 45.83 AQXE 14 189 45.83 TRQX 14 219 45.83 CHIX 14 186 45.83 CHIX 14 570 45.83 BATE 14 612 45.82 XLON 14 140 45.82 XLON 14 309 45.80 AQXE 14 196 45.81 TRQX 14 581 45.80 XLON 14 475 45.81 CHIX 14 454 45.81 BATE 14 201 45.81 CHIX 14 195 45.81 CHIX 14 214 45.81 AQXE 14 196 45.81 TRQX 14 189 45.81 CHIX 14 90 45.81 AQXE 14 193 45.81 BATE 14 198 45.82 AQXE 14 258 45.82 TRQX 14 701 45.82 XLON 14 141 45.81 BATE 14 191 45.81 CHIX 14 513 45.81 CHIX 14 258 45.81 TRQX 14 167 45.81 XLON 14 500 45.81 XLON 14 731 45.81 XLON 14 719 45.80 XLON 14 500 45.80 XLON 14 99 45.80 XLON 14 424 45.80 XLON 14 77 45.80 XLON 14 298 45.80 XLON 14 206 45.79 AQXE 14 189 45.79 TRQX 14 424 45.79 XLON 14 123 45.79 XLON 14 180 45.79 XLON 14 203 45.79 XLON 14 96 45.79 XLON 14 80 45.79 XLON 14 385 45.79 CHIX 14 464 45.79 BATE 14 190 45.79 XLON 14 753 45.78 XLON 14 215 45.80 TRQX 14 655 45.81 XLON 14 100 45.81 XLON 14 727 45.82 XLON 14 89 45.82 XLON 14 124 45.82 XLON 14 220 45.82 XLON 14 318 45.82 XLON 14 210 45.82 TRQX 14 318 45.82 XLON 14 91 45.82 XLON 14 167 45.82 XLON 14 170 45.82 XLON 14 711 45.82 CHIX 14 207 45.81 BATE 14 265 45.81 AQXE 14 80 45.81 XLON 14 318 45.81 XLON 14 159 45.81 XLON 14 157 45.81 BATE 14 318 45.81 XLON 14 80 45.81 XLON 14 159 45.81 XLON 14 100 45.81 XLON 14 318 45.81 XLON 14 162 45.81 XLON 14 318 45.81 XLON 14 83 45.81 XLON 14 38 45.81 XLON 14 318 45.81 XLON 14 87 45.81 XLON 14 318 45.81 XLON 14 91 45.81 XLON 14 98 45.81 XLON 14 318 45.80 XLON 14 275 45.80 XLON 14 20 45.80 CHIX 14 680 45.80 CHIX 14 618 45.79 XLON 14 101 45.79 XLON 14 109 45.80 XLON 14 60 45.80 XLON 14 20 45.80 XLON 14 238 45.79 AQXE 14 318 45.79 XLON 14 105 45.79 XLON 14 80 45.79 XLON 14 356 45.79 BATE 14


 
225 45.81 AQXE 14 731 45.81 XLON 14 348 45.81 BATE 14 318 45.80 XLON 14 128 45.80 XLON 14 603 45.80 CHIX 14 199 45.80 AQXE 14 62 45.80 AQXE 14 318 45.80 XLON 14 93 45.80 XLON 14 47 45.80 XLON 14 713 45.79 XLON 14 199 45.79 BATE 14 100 45.79 TRQX 14 154 45.79 BATE 14 286 45.78 XLON 14 751 45.78 CHIX 14 174 45.79 XLON 14 205 45.79 XLON 14 43 45.79 XLON 14 239 45.79 TRQX 14 24 45.79 XLON 14 700 45.79 XLON 14 24 45.79 CHIX 14 554 45.79 CHIX 14 199 45.78 BATE 14 4 45.78 XLON 14 117 45.78 XLON 14 159 45.78 XLON 14 159 45.78 XLON 14 207 45.77 TRQX 14 649 45.77 XLON 14 105 45.77 XLON 14 369 45.77 CHIX 14 241 45.77 CHIX 14 274 45.78 AQXE 14 390 45.78 CHIX 14 181 45.78 CHIX 14 239 45.79 AQXE 14 93 45.79 XLON 14 16 45.79 XLON 14 196 45.79 XLON 14 318 45.79 XLON 14 171 45.79 XLON 14 181 45.79 XLON 14 206 45.79 BATE 14 165 45.80 XLON 14 17 45.80 XLON 14 195 45.80 TRQX 14 715 45.80 XLON 14 286 45.80 XLON 14 41 45.80 XLON 14 148 45.80 XLON 14 318 45.79 XLON 14 97 45.79 XLON 14 193 45.79 XLON 14 190 45.79 XLON 14 184 45.79 XLON 14 208 45.79 XLON 14 211 45.78 TRQX 14 710 45.78 XLON 14 189 45.78 CHIX 14 216 45.77 BATE 14 754 45.76 XLON 14 217 45.75 BATE 14 232 45.75 TRQX 14 754 45.74 XLON 14 34 45.75 CHIX 14 102 45.75 CHIX 14 533 45.75 CHIX 14 96 45.73 TRQX 14 16 45.73 TRQX 14 214 45.72 CHIX 14 191 45.73 BATE 14 256 45.71 TRQX 14 240 45.72 XLON 14 705 45.71 XLON 14 24 45.69 XLON 14 90 45.69 XLON 14 116 45.70 CHIX 14 76 45.70 CHIX 14 403 45.70 CHIX 14 201 45.72 BATE 14 244 45.70 BATE 14 590 45.69 XLON 14 213 45.68 AQXE 14 26 45.68 TRQX 14 65 45.68 TRQX 14 154 45.68 TRQX 14 9 45.68 TRQX 14 43 45.67 XLON 14 182 45.68 CHIX 14 240 45.68 CHIX 14 28 45.68 CHIX 14 708 45.67 XLON 14 318 45.67 XLON 14 370 45.67 XLON 14 108 45.67 XLON 14 100 45.67 XLON 14 195 45.67 XLON 14 189 45.67 XLON 14 212 45.67 BATE 14 41 45.67 XLON 14 203 45.67 XLON 14 101 45.67 XLON 14 627 45.67 XLON 14 190 45.67 XLON 14 184 45.67 XLON 14 188 45.67 XLON 14 188 45.67 XLON 14 198 45.67 XLON 14 207 45.67 XLON 14 181 45.67 XLON 14 714 45.68 XLON 14 739 45.68 CHIX 14 253 45.68 BATE 14 79 45.69 XLON 14 110 45.69 XLON 14 82 45.69 XLON 14 204 45.70 XLON 14 368 45.70 XLON 14 290 45.71 TRQX 14 473 45.70 XLON 14 54 45.70 XLON 14 193 45.70 XLON 14 209 45.71 XLON 14 318 45.71 XLON 14 92 45.71 XLON 14 100 45.71 XLON 14 192 45.71 XLON 14 214 45.70 AQXE 14 67 45.70 AQXE 14 658 45.70 CHIX 14 226 45.71 BATE 14 82 45.70 CHIX 14 43 45.73 TRQX 14 215 45.73 TRQX 14 753 45.73 XLON 14 318 45.73 XLON 14 320 45.73 XLON 14 203 45.73 XLON 14 159 45.73 XLON 14 3 45.73 XLON 14 190 45.73 XLON 14 87 45.73 AQXE 14 102 45.73 AQXE 14 733 45.73 CHIX 14 212 45.71 TRQX 14 135 45.69 TRQX 14 707 45.71 XLON 14 18 45.68 XLON 14 112 45.70 XLON 14 196 45.70 XLON 14 727 45.70 XLON 14 218 45.70 AQXE 14 196 45.69 AQXE 14 58 45.71 CHIX 14 100 45.71 CHIX 14 540 45.71 CHIX 14 9 45.71 CHIX 14


 
356 45.70 CHIX 14 242 45.71 BATE 14 241 45.69 BATE 14 485 45.69 BATE 14 737 45.70 XLON 14 85 45.70 BATE 14 57 45.70 BATE 14 100 45.70 BATE 14 200 45.70 BATE 14 368 45.70 XLON 14 368 45.70 XLON 14 318 45.70 XLON 14 209 45.70 XLON 14 181 45.70 XLON 14 318 45.70 XLON 14 78 45.70 XLON 14 182 45.70 XLON 14 192 45.70 XLON 14 207 45.70 XLON 14 97 45.70 XLON 14 737 45.72 XLON 14 318 45.72 XLON 14 120 45.72 XLON 14 204 45.72 XLON 14 88 45.72 XLON 14 145 45.72 TRQX 14 80 45.72 TRQX 14 125 45.72 CHIX 14 160 45.72 CHIX 14 354 45.70 XLON 14 275 45.70 XLON 14 40 45.70 XLON 14 361 45.71 AQXE 14 386 45.72 CHIX 14 193 45.70 CHIX 14 318 45.73 XLON 14 250 45.73 XLON 14 318 45.73 XLON 14 50 45.73 XLON 14 159 45.73 XLON 14 100 45.73 XLON 14 190 45.73 XLON 14 25 45.73 AQXE 14 432 45.73 AQXE 14 37 45.72 CHIX 14 160 45.72 CHIX 14 76 45.74 XLON 14 76 45.74 XLON 14 76 45.74 XLON 14 76 45.74 XLON 14 76 45.74 XLON 14 320 45.74 XLON 14 44 45.73 AQXE 14 44 45.73 AQXE 14 104 45.73 AQXE 14 311 45.73 AQXE 14 318 45.73 XLON 14 197 45.73 XLON 14 100 45.73 XLON 14 202 45.73 XLON 14 318 45.73 XLON 14 199 45.73 XLON 14 111 45.73 XLON 14 177 45.73 XLON 14 184 45.73 XLON 14 318 45.73 XLON 14 122 45.73 XLON 14 195 45.73 XLON 14 176 45.73 XLON 14 111 45.73 XLON 14 83 45.73 XLON 14 207 45.73 XLON 14 318 45.73 XLON 14 95 45.73 XLON 14 190 45.73 XLON 14 14 45.72 CHIX 14 76 45.72 CHIX 14 23 45.72 CHIX 14 206 45.73 XLON 14 318 45.73 XLON 14 178 45.73 XLON 14 100 45.73 XLON 14 178 45.73 XLON 14 144 45.73 XLON 14 318 45.73 XLON 14 184 45.73 XLON 14 194 45.73 XLON 14 184 45.73 XLON 14 208 45.72 TRQX 14 10 45.70 TRQX 14 225 45.70 TRQX 14 713 45.72 XLON 14 34 45.70 XLON 14 9 45.70 XLON 14 457 45.71 AQXE 14 202 45.69 AQXE 14 116 45.72 CHIX 14 204 45.70 CHIX 14 316 45.72 BATE 14 139 45.72 BATE 14 173 45.72 BATE 14 200 45.70 BATE 14 542 45.71 XLON 14 160 45.71 XLON 14 318 45.71 XLON 14 95 45.71 XLON 14 103 45.71 XLON 14 100 45.71 XLON 14 40 45.70 CHIX 14 36 45.70 CHIX 14 82 45.70 CHIX 14 58 45.69 XLON 14 14 45.69 XLON 14 318 45.69 XLON 14 318 45.70 XLON 14 192 45.70 XLON 14 240 45.70 XLON 14 192 45.70 XLON 14 66 45.70 XLON 14 70 45.68 AQXE 14 144 45.70 CHIX 14 728 45.70 BATE 14 385 45.72 XLON 14 328 45.72 XLON 14 12 45.72 AQXE 14 63 45.72 AQXE 14 358 45.72 AQXE 14 177 45.72 AQXE 14 76 45.72 CHIX 14 317 45.72 CHIX 14 13 45.72 TRQX 14 191 45.72 TRQX 14 57 45.72 XLON 14 364 45.72 XLON 14 15 45.72 XLON 14 10 45.72 XLON 14 11 45.72 XLON 14 58 45.72 XLON 14 15 45.72 XLON 14 10 45.72 XLON 14 62 45.72 XLON 14 10 45.72 XLON 14 40 45.72 XLON 14 11 45.72 XLON 14 18 45.72 XLON 14 35 45.72 XLON 14 381 45.72 BATE 14 342 45.72 XLON 14 18 45.72 XLON 14 280 45.72 XLON 14 12 45.72 XLON 14 30 45.72 XLON 14 20 45.72 XLON 14 27 45.72 XLON 14 470 45.72 AQXE 14 20 45.72 CHIX 14 10 45.72 CHIX 14 74 45.74 BATE 14 318 45.74 XLON 14 200 45.74 XLON 14


 
83 45.74 XLON 14 110 45.73 BATE 14 76 45.73 BATE 14 76 45.73 BATE 14 100 45.73 BATE 14 224 45.73 BATE 14 163 45.73 BATE 14 120 45.74 BATE 14 35 45.74 BATE 14 40 45.74 BATE 14 40 45.74 BATE 14 18 45.74 XLON 14 17 45.74 XLON 14 262 45.74 XLON 14 43 45.74 XLON 14 54 45.74 XLON 14 16 45.74 XLON 14 31 45.74 XLON 14 26 45.74 XLON 14 11 45.74 XLON 14 95 45.74 XLON 14 13 45.74 XLON 14 13 45.74 XLON 14 15 45.74 XLON 14 13 45.74 XLON 14 19 45.73 AQXE 14 21 45.74 XLON 14 11 45.74 XLON 14 318 45.74 XLON 14 70 45.74 XLON 14 250 45.74 XLON 14 190 45.74 XLON 14 108 45.74 XLON 14 87 45.74 XLON 14 88 45.74 XLON 14 12 45.74 XLON 14 318 45.74 XLON 14 25 45.74 XLON 14 76 45.74 XLON 14 93 45.74 XLON 14 100 45.74 XLON 14 194 45.74 XLON 14 202 45.74 XLON 14 378 45.74 XLON 14 538 45.74 XLON 14 100 45.74 XLON 14 318 45.74 XLON 14 10 45.74 XLON 14 36 45.74 XLON 14 10 45.74 XLON 14 18 45.74 XLON 14 62 45.74 XLON 14 202 45.74 XLON 14 193 45.74 XLON 14 100 45.74 XLON 14 318 45.74 XLON 14 13 45.74 XLON 14 174 45.74 XLON 14 35 45.74 XLON 14 465 45.74 XLON 14 318 45.74 XLON 14 16 45.74 XLON 14 15 45.74 XLON 14 10 45.74 XLON 14 10 45.74 XLON 14 318 45.74 XLON 14 318 45.74 XLON 14 100 45.74 XLON 14 189 45.74 XLON 14 318 45.74 XLON 14 171 45.74 XLON 14 63 45.73 XLON 14 309 45.73 XLON 14 17 45.73 XLON 14 55 45.73 XLON 14 20 45.73 XLON 14 17 45.73 XLON 14 10 45.73 XLON 14 60 45.73 XLON 14 55 45.73 XLON 14 20 45.73 XLON 14 20 45.73 XLON 14 96 45.73 XLON 14 76 45.78 XLON 14 70 45.78 AQXE 14 340 45.78 AQXE 14 481 45.78 CHIX 14 190 45.78 CHIX 14 643 45.78 XLON 14 28 45.78 TRQX 14 20 45.78 TRQX 14 60 45.78 TRQX 14 20 45.78 TRQX 14 20 45.78 TRQX 14 398 45.78 XLON 14 100 45.78 XLON 14 195 45.78 XLON 14 2 45.78 XLON 14 200 45.78 XLON 14 398 45.78 XLON 14 398 45.78 XLON 14 145 45.78 XLON 14 295 45.78 CHIX 14 378 45.79 BATE 14 398 45.79 XLON 14 195 45.79 XLON 14 20 45.79 XLON 14 189 45.79 XLON 14 172 45.79 XLON 14 398 45.78 XLON 14 45 45.78 XLON 14 30 45.78 XLON 14 398 45.78 XLON 14 10 45.78 AQXE 14 292 45.78 AQXE 14 19 45.78 AQXE 14 19 45.78 XLON 14 234 45.78 TRQX 14 755 45.78 XLON 14 398 45.78 XLON 14 300 45.78 XLON 14 115 45.78 XLON 14 451 45.78 CHIX 14 194 45.77 XLON 14 22 45.77 BATE 14 430 45.77 BATE 14 252 45.77 BATE 14 717 45.76 XLON 14 28 45.76 AQXE 14 28 45.76 AQXE 14 14 45.76 AQXE 14 77 45.76 AQXE 14 23 45.76 AQXE 14 66 45.76 AQXE 14 22 45.76 AQXE 14 47 45.76 AQXE 14 584 45.76 CHIX 14 500 45.77 XLON 14 221 45.77 XLON 14 573 45.79 XLON 14 173 45.79 XLON 14 10 45.79 AQXE 14 12 45.79 AQXE 14 12 45.79 AQXE 14 11 45.79 AQXE 14 20 45.79 AQXE 14 10 45.79 AQXE 14 44 45.79 AQXE 14 17 45.79 AQXE 14 100 45.79 AQXE 14 14 45.79 AQXE 14 67 45.79 AQXE 14 5 45.79 AQXE 14 86 45.79 CHIX 14 12 45.79 CHIX 14 11 45.79 CHIX 14 10 45.79 CHIX 14 73 45.79 CHIX 14 12 45.79 CHIX 14 99 45.79 CHIX 14


 
14 45.79 CHIX 14 28 45.79 CHIX 14 32 45.79 CHIX 14 42 45.79 CHIX 14 148 45.79 XLON 14 50 45.79 XLON 14 185 45.80 XLON 14 130 45.80 XLON 14 241 45.81 XLON 14 5 45.81 CHIX 14 59 45.81 XLON 14 443 45.81 XLON 14 1,398 45.81 XLON 14 411 45.81 CHIX 14 76 45.81 CHIX 14 76 45.81 CHIX 14 76 45.81 CHIX 14 76 45.81 CHIX 14 21 45.81 CHIX 14 28 45.81 BATE 14 10 45.80 TRQX 14 18 45.80 TRQX 14 29 45.80 TRQX 14 13 45.80 TRQX 14 19 45.80 TRQX 14 120 45.80 TRQX 14 398 45.80 XLON 14 80 45.80 XLON 14 250 45.80 XLON 14 15 45.80 XLON 14 35 45.80 XLON 14 52 45.80 XLON 14 18 45.80 XLON 14 398 45.80 XLON 14 87 45.80 XLON 14 65 45.80 XLON 14 243 45.80 AQXE 14 8 45.79 CHIX 14 165 45.79 CHIX 14 691 45.80 BATE 14 53 45.80 BATE 14 240 45.79 XLON 14 27 45.79 XLON 14 107 45.79 XLON 14 14 45.79 XLON 14 15 45.79 XLON 14 30 45.79 XLON 14 14 45.79 XLON 14 18 45.79 XLON 14 15 45.79 XLON 14 30 45.79 XLON 14 12 45.79 XLON 14 8 45.79 XLON 14 137 45.79 CHIX 14 367 45.83 XLON 14 111 45.83 XLON 14 179 45.83 XLON 14 172 45.83 XLON 14 199 45.83 XLON 14 172 45.83 XLON 14 398 45.83 XLON 14 208 45.83 XLON 14 100 45.83 XLON 14 398 45.83 XLON 14 191 45.83 XLON 14 189 45.83 XLON 14 398 45.83 XLON 14 100 45.83 XLON 14 25 45.85 TRQX 14 76 45.85 TRQX 14 76 45.85 TRQX 14 36 45.85 TRQX 14 137 45.84 CHIX 14 137 45.84 CHIX 14 76 45.84 CHIX 14 73 45.84 CHIX 14 44 45.85 XLON 14 138 45.85 XLON 14 705 45.86 XLON 14 145 45.85 AQXE 14 85 45.85 CHIX 14 74 45.86 BATE 14 100 45.86 BATE 14 76 45.86 BATE 14 76 45.86 BATE 14 48 45.86 BATE 14 39 45.86 BATE 14 25 45.85 TRQX 14 167 45.85 TRQX 14 112 45.85 XLON 14 198 45.85 AQXE 14 50 45.85 CHIX 14 251 45.85 CHIX 14 311 45.86 BATE 14 736 45.84 XLON 14 537 45.84 BATE 14 28 45.84 BATE 14 171 45.84 BATE 14 215 45.83 TRQX 14 65 45.83 AQXE 14 81 45.83 AQXE 14 100 45.83 AQXE 14 195 45.84 TRQX 14 473 45.84 CHIX 14 398 45.84 XLON 14 192 45.84 XLON 14 239 45.84 XLON 14 207 45.84 XLON 14 79 45.83 AQXE 14 750 45.82 XLON 14 281 45.82 CHIX 14 34 45.82 CHIX 14 739 45.82 BATE 14 310 45.81 AQXE 14 742 45.83 XLON 14 367 45.83 XLON 14 101 45.85 XLON 14 100 45.85 XLON 14 216 45.84 TRQX 14 503 45.85 XLON 14 398 45.84 XLON 14 86 45.84 XLON 14 150 45.84 XLON 14 753 45.83 XLON 14 251 45.84 AQXE 14 467 45.84 CHIX 14 748 45.84 BATE 14 398 45.83 XLON 14 303 45.84 XLON 14 52 45.84 XLON 14 500 45.84 XLON 14 172 45.84 XLON 14 398 45.84 XLON 14 206 45.84 XLON 14 177 45.85 XLON 14 203 45.85 XLON 14 398 45.85 XLON 14 269 45.85 XLON 14 398 45.85 XLON 14 82 45.85 XLON 14 193 45.85 XLON 14 103 45.85 XLON 14 192 45.85 XLON 14 161 45.85 XLON 14 514 45.84 CHIX 14 217 45.83 TRQX 14 151 45.83 XLON 14 605 45.83 XLON 14 690 45.83 BATE 14 263 45.84 TRQX 14 398 45.84 XLON 14 172 45.84 XLON 14 203 45.84 XLON 14 90 45.84 XLON 14 197 45.84 XLON 14 398 45.84 XLON 14 100 45.84 XLON 14 203 45.84 XLON 14 175 45.84 XLON 14 3 45.84 XLON 14


 
44 45.84 XLON 14 57 45.85 XLON 14 41 45.85 XLON 14 314 45.84 XLON 14 207 45.84 XLON 14 520 45.84 BATE 14 398 45.85 XLON 14 315 45.85 XLON 14 150 45.85 XLON 14 398 45.85 XLON 14 243 45.85 XLON 14 207 45.85 XLON 14 101 45.87 XLON 14 648 45.87 XLON 14 176 45.87 XLON 14 398 45.87 XLON 14 80 45.87 XLON 14 194 45.87 XLON 14 193 45.87 XLON 14 724 45.87 XLON 14 215 45.87 CHIX 14 6 45.87 CHIX 14 60 45.87 CHIX 14 46 45.87 CHIX 14 137 45.87 XLON 14 240 45.87 XLON 14 341 45.87 XLON 14 699 45.87 XLON 14 193 45.87 CHIX 14 41 45.90 XLON 14 433 45.92 TRQX 14 8 45.92 CHIX 14 398 45.92 XLON 14 144 45.92 XLON 14 717 45.92 CHIX 14 705 45.92 CHIX 14 318 45.92 TRQX 14 207 45.93 TRQX 14 741 45.93 XLON 14 498 45.93 XLON 14 48 45.93 XLON 14 1,000 45.93 XLON 14 480 45.93 CHIX 14 271 45.93 CHIX 14 9 45.93 AQXE 14 120 45.93 BATE 14 500 45.93 XLON 14 898 45.93 XLON 14 12 45.93 AQXE 14 14 45.93 AQXE 14 78 45.93 AQXE 14 101 45.93 AQXE 14 2 45.93 AQXE 14 158 45.93 AQXE 14 189 45.94 CHIX 14 102 45.97 BATE 14 498 45.97 XLON 14 41 45.97 XLON 14 215 45.97 CHIX 14 300 45.96 CHIX 14 239 45.96 CHIX 14 120 45.97 BATE 14 22 45.97 BATE 14 19 45.97 BATE 14 120 45.97 BATE 14 19 45.97 BATE 14 22 45.97 BATE 14 755 45.96 XLON 14 326 45.96 TRQX 14 202 45.96 CHIX 14 315 45.96 AQXE 14 734 45.96 BATE 14 498 45.95 XLON 14 4 45.95 XLON 14 192 45.95 XLON 14 97 45.95 XLON 14 65 45.95 XLON 14 500 45.95 XLON 14 498 45.95 XLON 14 753 45.94 XLON 14 30 45.94 AQXE 14 59 45.94 BATE 14 74 45.94 CHIX 14 212 45.95 XLON 14 100 45.95 XLON 14 78 45.95 XLON 14 11 45.94 AQXE 14 523 45.95 XLON 14 215 45.95 CHIX 14 193 45.95 CHIX 14 200 45.96 AQXE 14 102 45.96 AQXE 14 193 45.96 CHIX 14 60 45.96 AQXE 14 500 45.95 XLON 14 215 45.96 CHIX 14 50 45.96 CHIX 14 57 45.96 CHIX 14 210 45.96 CHIX 14 103 45.96 CHIX 14 253 45.95 XLON 14 120 45.95 BATE 14 756 45.95 XLON 14 215 45.95 CHIX 14 50 45.95 CHIX 14 59 45.95 CHIX 14 514 45.95 CHIX 14 498 45.96 XLON 14 105 45.96 XLON 14 126 45.96 XLON 14 195 45.96 XLON 14 199 45.96 XLON 14 704 45.95 XLON 14 20 45.95 BATE 14 19 45.95 BATE 14 19 45.95 BATE 14 23 45.95 BATE 14 22 45.95 BATE 14 18 45.95 BATE 14 644 45.94 CHIX 14 22 45.95 BATE 14 19 45.95 BATE 14 100 45.94 XLON 14 231 45.94 XLON 14 342 45.94 TRQX 14 498 45.94 XLON 14 188 45.94 XLON 14 208 45.94 XLON 14 95 45.94 XLON 14 300 45.94 XLON 14 279 45.94 AQXE 14 641 45.94 BATE 14 749 45.93 XLON 14 706 45.95 XLON 14 198 45.95 XLON 14 500 45.95 XLON 14 85 45.94 CHIX 14 100 45.94 CHIX 14 423 45.94 CHIX 14 134 45.94 CHIX 14 329 45.95 XLON 14 465 45.94 TRQX 14 448 45.95 XLON 14 150 45.95 BATE 14 150 45.95 BATE 14 150 45.95 BATE 14 150 45.95 BATE 14 154 45.94 XLON 14 498 45.94 XLON 14 1,198 45.94 XLON 14 705 45.94 CHIX 14 400 45.94 BATE 14 321 45.94 BATE 14 358 45.94 TRQX 14 498 45.94 XLON 14 645 45.94 BATE 14 332 45.96 XLON 14 548 45.96 XLON 14 259 45.96 XLON 14 72 45.96 XLON 14


 
225 45.96 XLON 14 60 45.95 XLON 14 363 45.94 TRQX 14 691 45.95 XLON 14 110 45.95 XLON 14 34 45.95 XLON 14 300 45.95 XLON 14 206 45.95 XLON 14 186 45.95 XLON 14 179 45.95 XLON 14 102 45.95 XLON 14 50 45.95 XLON 14 195 45.95 XLON 14 120 45.95 XLON 14 495 45.94 CHIX 14 208 45.94 CHIX 14 373 45.95 AQXE 14 98 45.94 BATE 14 171 45.94 XLON 14 18 45.94 XLON 14 173 45.94 XLON 14 162 45.94 XLON 14 148 45.95 XLON 14 41 45.95 XLON 14 730 45.95 XLON 14 744 45.93 XLON 14 16 45.94 CHIX 14 57 45.94 CHIX 14 58 45.94 CHIX 14 629 45.94 XLON 14 94 45.94 XLON 14 395 45.94 TRQX 15 725 45.94 BATE 15 747 45.93 XLON 15 56 45.93 CHIX 15 51 45.93 CHIX 15 223 45.93 AQXE 15 190 45.92 TRQX 15 716 45.92 CHIX 15 723 45.92 BATE 15 172 45.91 AQXE 15 323 45.91 XLON 15 413 45.91 XLON 15 139 45.91 AQXE 15 433 45.90 AQXE 15 716 45.90 XLON 15 95 45.90 XLON 15 202 45.90 XLON 15 208 45.90 XLON 15 205 45.90 XLON 15 250 45.90 XLON 15 100 45.90 XLON 15 715 45.89 CHIX 15 677 45.89 BATE 15 76 45.89 BATE 15 70 45.89 TRQX 15 351 45.89 TRQX 15 750 45.88 XLON 15 113 45.88 XLON 15 367 45.92 XLON 15 398 45.92 XLON 15 367 45.92 XLON 15 200 45.92 XLON 15 42 45.92 XLON 15 183 45.92 XLON 15 556 45.92 XLON 15 101 45.92 XLON 15 137 45.92 XLON 15 193 45.92 XLON 15 13 45.92 XLON 15 210 45.92 XLON 15 178 45.92 XLON 15 178 45.92 XLON 15 202 45.92 XLON 15 204 45.92 XLON 15 35 45.92 XLON 15 15 45.92 XLON 15 98 45.92 XLON 15 206 45.92 XLON 15 193 45.92 XLON 15 418 45.92 XLON 15 281 45.92 XLON 15 187 45.92 XLON 15 2 45.92 XLON 15 302 45.91 AQXE 15 189 45.91 AQXE 15 189 45.91 XLON 15 7 45.91 XLON 15 177 45.91 XLON 15 73 45.91 XLON 15 106 45.92 XLON 15 749 45.92 CHIX 15 753 45.92 BATE 15 229 45.92 TRQX 15 642 45.92 XLON 15 191 45.92 XLON 15 188 45.92 XLON 15 700 45.94 XLON 15 448 45.94 XLON 15 110 45.93 BATE 15 227 45.93 TRQX 15 498 45.93 XLON 15 144 45.93 XLON 15 190 45.93 XLON 15 100 45.92 XLON 15 623 45.92 XLON 15 746 45.93 CHIX 15 641 45.93 BATE 15 323 45.93 XLON 15 397 45.93 XLON 15 527 45.92 AQXE 15 718 45.92 BATE 15 399 45.92 XLON 15 353 45.92 XLON 15 723 45.92 CHIX 15 199 45.91 XLON 15 498 45.91 XLON 15 203 45.91 XLON 15 741 45.90 XLON 15 64 45.90 TRQX 15 126 45.90 TRQX 15 139 45.90 BATE 15 225 45.90 XLON 15 498 45.90 XLON 15 205 45.89 XLON 15 540 45.89 XLON 15 713 45.90 CHIX 15 413 45.90 AQXE 15 600 45.90 BATE 15 498 45.90 XLON 15 207 45.90 XLON 15 103 45.90 XLON 15 194 45.90 XLON 15 189 45.90 XLON 15 323 45.89 XLON 15 221 45.89 XLON 15 209 45.89 XLON 15 213 45.87 TRQX 15 473 45.87 XLON 15 188 45.87 XLON 15 52 45.87 XLON 15 501 45.87 CHIX 15 211 45.87 CHIX 15 206 45.88 AQXE 15 752 45.88 BATE 15 3 45.87 BATE 15 398 45.91 XLON 15 195 45.91 XLON 15 198 45.91 XLON 15 261 45.91 XLON 15 346 45.91 XLON 15 323 45.91 TRQX 15 703 45.91 XLON 15 498 45.91 XLON 15 193 45.91 XLON 15 193 45.91 CHIX 15 576 45.91 BATE 15 403 45.92 XLON 15 306 45.92 XLON 15 498 45.92 XLON 15


 
175 45.92 XLON 15 178 45.92 XLON 15 193 45.92 CHIX 15 215 45.92 CHIX 15 57 45.92 CHIX 15 25 45.92 CHIX 15 330 45.92 XLON 15 20 45.92 CHIX 15 193 45.92 CHIX 15 288 45.91 TRQX 15 713 45.91 XLON 15 448 45.91 XLON 15 193 45.91 CHIX 15 358 45.91 AQXE 15 151 45.91 CHIX 15 38 45.91 CHIX 15 202 45.91 XLON 15 198 45.91 XLON 15 623 45.91 XLON 15 97 45.91 CHIX 15 150 45.92 XLON 15 104 45.92 XLON 15 41 45.92 XLON 15 254 45.92 XLON 15 206 45.92 XLON 15 609 45.92 XLON 15 715 45.91 XLON 15 193 45.91 CHIX 15 96 45.91 CHIX 15 310 45.91 AQXE 15 730 45.91 BATE 15 193 45.92 CHIX 15 57 45.92 CHIX 15 193 45.93 CHIX 15 339 45.92 TRQX 15 215 45.93 CHIX 15 27 45.93 CHIX 15 43 45.92 CHIX 15 176 45.92 CHIX 15 500 45.95 XLON 15 172 45.95 XLON 15 646 45.95 XLON 15 122 45.96 XLON 15 623 45.96 XLON 15 536 45.96 XLON 15 117 45.96 XLON 15 60 45.96 CHIX 15 61 45.96 CHIX 15 201 45.96 CHIX 15 215 45.96 CHIX 15 56 45.96 CHIX 15 55 45.96 CHIX 15 201 45.96 CHIX 15 51 45.96 CHIX 15 45 45.96 CHIX 15 57 45.96 CHIX 15 14 45.96 CHIX 15 25 45.95 AQXE 15 215 45.96 CHIX 15 60 45.96 CHIX 15 22 45.96 CHIX 15 721 45.95 XLON 15 420 45.95 AQXE 15 495 45.95 TRQX 15 193 45.95 CHIX 15 41 45.95 XLON 15 193 45.95 CHIX 15 753 45.95 XLON 15 357 45.95 TRQX 15 364 45.95 AQXE 15 1 45.95 CHIX 15 201 45.95 CHIX 15 215 45.95 CHIX 15 215 45.95 CHIX 15 193 45.95 CHIX 15 712 45.94 CHIX 15 560 45.94 XLON 15 718 45.94 BATE 15 369 45.93 TRQX 15 731 45.93 XLON 15 335 45.93 AQXE 15 741 45.92 CHIX 15 236 45.93 XLON 15 497 45.93 XLON 15 210 45.93 TRQX 15 740 45.93 CHIX 15 125 45.93 XLON 15 169 45.93 XLON 15 323 45.93 XLON 15 412 45.93 XLON 15 234 45.93 AQXE 15 299 45.92 TRQX 15 725 45.93 CHIX 15 729 45.92 BATE 15 466 45.92 XLON 15 277 45.92 TRQX 15 623 45.93 XLON 15 193 45.93 XLON 15 201 45.93 XLON 15 164 45.93 XLON 15 105 45.93 XLON 15 112 45.93 XLON 15 732 45.92 CHIX 15 731 45.92 BATE 15 696 45.92 BATE 15 247 45.92 TRQX 15 623 45.92 XLON 15 100 45.92 XLON 15 200 45.92 XLON 15 500 45.92 XLON 15 623 45.92 XLON 15 275 45.92 XLON 15 502 45.92 CHIX 15 53 45.92 BATE 15 186 45.92 XLON 15 623 45.92 XLON 15 80 45.92 XLON 15 212 45.92 XLON 15 185 45.92 XLON 15 193 45.92 XLON 15 623 45.92 XLON 15 103 45.95 XLON 15 623 45.95 XLON 15 366 45.95 XLON 15 366 45.95 XLON 15 159 45.95 XLON 15 623 45.95 XLON 15 41 45.95 XLON 15 623 45.95 XLON 15 111 45.95 XLON 15 366 45.95 XLON 15 41 45.95 XLON 15 623 45.95 XLON 15 14 45.95 XLON 15 85 45.95 XLON 15 623 45.95 XLON 15 183 45.95 XLON 15 200 45.95 XLON 15 193 45.95 XLON 15 623 45.95 XLON 15 190 45.95 XLON 15 192 45.94 TRQX 15 623 45.94 XLON 15 197 45.94 XLON 15 416 45.94 CHIX 15 677 45.94 BATE 15 721 45.93 XLON 15 358 45.93 AQXE 15 109 45.92 XLON 15 41 45.92 XLON 15 148 45.92 XLON 15 606 45.92 CHIX 15 509 45.95 XLON 15 198 45.95 XLON 15 100 45.95 XLON 15 214 45.95 XLON 15 197 45.95 XLON 15 47 45.95 XLON 15 226 45.94 TRQX 15 96 45.94 XLON 15


 
731 45.94 CHIX 15 333 45.94 AQXE 15 618 45.94 BATE 15 217 45.94 XLON 15 192 45.94 XLON 15 623 45.94 XLON 15 206 45.94 XLON 15 160 45.94 XLON 15 741 45.93 XLON 15 340 45.93 XLON 15 725 45.94 CHIX 15 265 45.94 TRQX 15 294 45.93 XLON 15 54 45.93 XLON 15 397 45.93 XLON 15 623 45.93 XLON 15 521 45.94 CHIX 15 264 45.93 AQXE 15 651 45.93 BATE 15 157 45.93 AQXE 15 273 45.93 XLON 15 623 45.93 XLON 15 211 45.93 XLON 15 197 45.93 XLON 15 94 45.93 XLON 15 500 45.93 XLON 15 144 45.93 XLON 15 14 45.93 XLON 15 740 45.93 XLON 15 126 45.93 AQXE 15 203 45.92 TRQX 15 603 45.92 CHIX 15 131 45.92 CHIX 15 215 45.93 TRQX 15 707 45.93 XLON 15 625 45.93 CHIX 15 398 45.93 AQXE 15 469 45.93 BATE 15 736 45.93 XLON 15 25 45.95 XLON 15 366 45.95 XLON 15 54 45.95 XLON 15 369 45.95 XLON 15 210 45.95 XLON 15 205 45.95 XLON 15 362 45.95 XLON 15 111 45.95 XLON 15 623 45.95 XLON 15 218 45.95 XLON 15 84 45.95 XLON 15 366 45.95 XLON 15 300 45.95 XLON 15 347 45.95 XLON 15 4 45.94 BATE 15 271 45.94 TRQX 15 500 45.94 XLON 15 235 45.94 BATE 15 189 45.94 XLON 15 189 45.94 XLON 15 283 45.96 TRQX 15 179 45.97 XLON 15 207 45.97 XLON 15 379 45.97 XLON 15 737 45.97 XLON 15 743 45.97 CHIX 15 329 45.97 AQXE 15 598 45.97 BATE 15 744 45.99 XLON 15 517 45.99 AQXE 15 201 45.99 TRQX 15 247 45.99 TRQX 15 287 45.99 XLON 15 240 45.99 XLON 15 49 45.99 XLON 15 158 45.99 XLON 15 193 45.99 XLON 15 189 45.99 XLON 15 193 45.99 CHIX 15 340 45.99 AQXE 15 623 45.99 XLON 15 480 45.99 XLON 15 153 45.99 XLON 15 142 45.99 XLON 15 110 45.99 XLON 15 10 45.99 XLON 15 10 45.99 XLON 15 213 45.99 XLON 15 214 45.99 XLON 15 143 45.99 XLON 15 623 45.99 XLON 15 75 45.99 XLON 15 200 45.99 XLON 15 183 45.99 XLON 15 203 45.99 XLON 15 623 45.99 XLON 15 755 45.98 XLON 15 14 45.98 XLON 15 211 45.98 XLON 15 178 45.98 XLON 15 240 45.98 XLON 15 92 45.98 XLON 15 207 45.98 XLON 15 181 45.98 XLON 15 739 45.98 CHIX 15 592 45.98 BATE 15 246 45.98 TRQX 15 211 45.98 XLON 15 183 45.98 XLON 15 207 45.98 XLON 15 91 45.97 AQXE 15 74 45.98 XLON 15 182 45.98 XLON 15 321 45.99 XLON 15 198 45.99 XLON 15 219 45.99 XLON 15 100 45.99 XLON 15 560 45.99 XLON 15 332 45.98 XLON 15 623 45.98 XLON 15 443 45.98 XLON 15 671 45.98 CHIX 15 70 45.98 CHIX 15 445 45.97 AQXE 15 197 45.97 BATE 15 755 45.97 XLON 15 197 45.97 BATE 15 205 45.97 XLON 15 200 45.97 XLON 15 64 45.97 XLON 15 203 45.96 TRQX 15 104 45.96 XLON 15 202 45.96 XLON 15 111 45.96 XLON 15 208 45.96 XLON 15 271 45.96 XLON 15 197 45.96 XLON 15 273 45.96 XLON 15 200 45.96 XLON 15 450 45.96 XLON 15 202 45.96 XLON 15 208 45.96 XLON 15 424 45.95 BATE 15 208 45.96 XLON 15 193 45.96 CHIX 15 232 45.96 XLON 15 197 45.96 XLON 15 366 45.96 XLON 15 153 45.97 CHIX 15 258 45.97 XLON 15 195 45.97 XLON 15 1,223 45.98 XLON 15 206 45.98 XLON 15 201 45.98 XLON 15 623 45.98 XLON 15 25 45.98 XLON 15 299 45.98 XLON 15 196 45.98 XLON 15 201 45.98 XLON 15 366 45.98 XLON 15 127 45.98 XLON 15


 
83 45.98 XLON 15 215 45.98 CHIX 15 215 45.98 CHIX 15 193 45.98 CHIX 15 193 45.98 CHIX 15 883 45.99 XLON 15 215 45.98 CHIX 15 58 45.98 CHIX 15 22 45.98 CHIX 15 58 45.99 CHIX 15 215 45.99 CHIX 15 52 45.99 CHIX 15 20 45.99 CHIX 15 623 45.99 XLON 15 775 45.99 XLON 15 702 45.99 XLON 15 701 45.99 XLON 15 714 45.99 XLON 15 357 45.99 XLON 15 807 45.99 XLON 15 215 45.99 CHIX 15 207 45.99 CHIX 15 365 45.99 TRQX 15 607 45.99 XLON 15 192 45.99 XLON 15 660 45.99 XLON 15 182 45.99 XLON 15 220 45.99 XLON 15 191 45.99 XLON 15 145 45.99 XLON 15 753 45.99 CHIX 15 230 45.99 XLON 15 219 45.99 XLON 15 623 45.99 XLON 15 70 45.99 XLON 15 189 45.99 XLON 15 67 45.99 XLON 15 763 45.99 XLON 15 209 45.99 XLON 15 205 45.99 XLON 15 651 45.99 XLON 15 56 45.99 XLON 15 140 45.99 AQXE 15 755 45.99 XLON 15 205 45.99 XLON 15 180 45.99 XLON 15 219 45.99 XLON 15 186 45.99 XLON 15 699 45.99 XLON 15 190 45.99 XLON 15 206 45.99 XLON 15 520 45.99 XLON 15 534 46.00 XLON 15 193 46.00 XLON 15 734 46.00 CHIX 15 318 45.99 TRQX 15 568 45.99 XLON 15 123 45.99 XLON 15 226 45.99 AQXE 15 193 45.98 CHIX 15 446 45.99 XLON 15 294 45.99 XLON 15 245 45.99 TRQX 15 716 45.99 XLON 15 46 45.99 XLON 15 340 45.99 XLON 15 327 45.99 XLON 15 752 45.99 CHIX 15 711 45.99 AQXE 15 623 45.99 XLON 15 194 45.99 XLON 15 261 45.99 XLON 15 184 45.99 XLON 15 136 45.99 XLON 15 184 45.98 XLON 15 198 45.98 XLON 15 261 45.98 XLON 15 207 45.98 XLON 15 145 45.98 XLON 15 623 45.98 XLON 15 329 45.98 XLON 15 730 45.97 CHIX 15 193 45.97 TRQX 15 719 45.97 XLON 15 350 45.97 AQXE 15 374 45.97 BATE 15 754 45.95 XLON 15 623 45.96 XLON 15 239 45.96 XLON 15 190 45.96 XLON 15 207 45.96 XLON 15 139 45.96 XLON 15 710 45.96 XLON 15 560 45.97 XLON 15 196 45.97 XLON 15 182 45.97 XLON 15 91 45.97 XLON 15 526 45.97 XLON 15 244 45.97 XLON 15 208 45.97 XLON 15 187 45.97 XLON 15 231 45.97 XLON 15 193 45.97 CHIX 15 749 45.96 XLON 15 192 45.96 XLON 15 218 45.96 XLON 15 216 45.96 XLON 15 189 45.96 XLON 15 215 45.96 CHIX 15 55 45.96 CHIX 15 24 45.96 CHIX 15 711 45.95 CHIX 15 323 45.95 AQXE 15 292 45.95 BATE 15 323 45.96 XLON 15 414 45.96 XLON 15 115 45.97 TRQX 15 11 45.97 TRQX 15 164 45.97 TRQX 15 731 45.97 XLON 15 461 45.97 AQXE 15 61 45.97 XLON 15 623 45.97 XLON 15 187 45.97 XLON 15 10 45.97 XLON 15 720 45.96 CHIX 15 209 45.96 XLON 15 198 45.96 XLON 15 623 45.96 XLON 15 739 45.96 XLON 15 11 45.96 XLON 15 86 45.96 XLON 15 206 45.96 XLON 15 183 45.96 XLON 15 623 45.96 XLON 15 206 45.96 XLON 15 623 45.97 XLON 15 82 45.97 XLON 15 182 45.97 XLON 15 623 45.97 XLON 15 215 45.97 XLON 15 366 45.97 XLON 15 623 45.97 XLON 15 41 45.97 XLON 15 366 45.97 XLON 15 456 45.97 XLON 15 717 45.96 XLON 15 714 45.96 CHIX 15 500 45.96 XLON 15 237 45.96 XLON 15 716 45.96 CHIX 15 705 45.96 XLON 15 378 45.96 BATE 15 500 45.96 XLON 15 204 45.96 XLON 15 720 45.96 CHIX 15 150 45.96 BATE 15 217 45.96 BATE 15 716 45.96 XLON 15 675 45.96 CHIX 15


 
688 45.96 XLON 15 64 45.96 CHIX 15 125 45.96 CHIX 15 90 45.96 CHIX 15 53 45.96 CHIX 15 46 45.96 CHIX 15 7 45.96 CHIX 15 201 45.96 CHIX 15 54 45.96 CHIX 15 30 45.96 CHIX 15 51 45.96 XLON 15 164 45.96 XLON 15 534 45.96 XLON 15 726 45.97 TRQX 15 747 45.97 BATE 15 232 45.97 XLON 15 277 45.97 XLON 15 464 45.97 AQXE 15 215 45.97 CHIX 15 215 45.97 CHIX 15 206 45.97 XLON 15 780 45.97 XLON 15 152 45.97 XLON 15 215 45.97 CHIX 15 193 45.97 CHIX 15 776 45.97 XLON 15 193 45.97 CHIX 15 360 45.97 XLON 15 100 45.97 XLON 15 529 45.96 XLON 15 193 45.97 CHIX 15 22 45.97 CHIX 15 53 45.97 CHIX 15 64 45.97 CHIX 15 427 45.96 XLON 15 192 45.96 XLON 15 181 45.96 XLON 15 150 45.96 CHIX 15 594 45.96 CHIX 15 492 45.95 AQXE 15 124 45.95 BATE 15 190 45.95 TRQX 15 189 45.95 XLON 15 329 45.95 XLON 15 500 45.97 XLON 15 500 45.97 XLON 15 596 45.97 XLON 15 691 45.97 XLON 15 723 45.97 CHIX 15 755 45.97 BATE 15 208 45.96 AQXE 15 728 45.96 XLON 15 775 45.97 XLON 15 215 45.97 CHIX 15 54 45.97 CHIX 15 31 45.97 CHIX 15 50 45.97 XLON 15 677 45.97 XLON 15 198 45.97 XLON 15 225 45.97 XLON 15 975 45.97 XLON 15 500 45.97 XLON 15 52 45.97 BATE 15 701 45.97 XLON 15 780 45.97 XLON 15 80 45.97 XLON 15 99 45.97 BATE 15 595 45.97 BATE 15 54 45.97 CHIX 15 58 45.97 CHIX 15 689 45.97 XLON 15 719 45.96 XLON 15 360 45.96 AQXE 15 16 45.97 CHIX 15 201 45.97 CHIX 15 55 45.97 CHIX 15 56 45.97 CHIX 15 135 45.97 CHIX 15 609 45.96 TRQX 15 500 45.95 XLON 15 582 45.95 BATE 15 705 45.95 CHIX 15 170 45.95 BATE 15 215 45.95 CHIX 15 58 45.95 CHIX 15 88 45.95 CHIX 15 7 45.95 XLON 15 780 45.95 XLON 15 191 45.95 XLON 15 420 45.95 XLON 15 500 45.95 XLON 15 41 45.95 XLON 15 668 45.96 TRQX 16 721 45.96 XLON 16 193 45.96 CHIX 16 738 45.96 BATE 16 433 45.96 AQXE 16 65 45.96 CHIX 16 161 45.96 CHIX 16 240 45.95 XLON 16 780 45.95 XLON 16 109 45.95 XLON 16 61 45.95 XLON 16 709 45.95 CHIX 16 548 45.95 BATE 16 911 45.95 XLON 16 124 45.95 CHIX 16 403 45.95 CHIX 16 120 45.95 BATE 16 569 45.94 TRQX 16 752 45.94 XLON 16 283 45.94 AQXE 16 427 45.94 TRQX 16 745 45.93 CHIX 16 228 45.93 BATE 16 265 45.92 TRQX 16 755 45.92 XLON 16 606 45.92 AQXE 16 262 45.92 XLON 16 780 45.92 XLON 16 220 45.92 XLON 16 280 45.92 XLON 16 437 45.92 XLON 16 240 45.92 XLON 16 189 45.92 XLON 16 198 45.92 XLON 16 81 45.91 TRQX 16 226 45.93 XLON 16 12 45.93 XLON 16 193 45.93 XLON 16 215 45.93 XLON 16 780 45.93 XLON 16 60 45.93 XLON 16 251 45.93 CHIX 16 62 45.93 CHIX 16 225 45.93 CHIX 16 225 45.94 CHIX 16 118 45.94 XLON 16 211 45.94 XLON 16 366 45.94 XLON 16 209 45.94 XLON 16 211 45.94 XLON 16 190 45.94 XLON 16 221 45.94 XLON 16 517 45.94 XLON 16 210 45.94 XLON 16 220 45.94 XLON 16 780 45.94 XLON 16 188 45.94 XLON 16 251 45.94 CHIX 16 60 45.94 CHIX 16 56 45.94 CHIX 16 110 45.94 XLON 16 79 45.94 XLON 16 173 45.94 XLON 16 10 45.94 XLON 16 507 45.94 XLON 16 251 45.94 CHIX 16 30 45.94 CHIX 16 200 45.94 XLON 16


 
449 45.94 XLON 16 611 45.94 CHIX 16 725 45.94 BATE 16 100 45.94 XLON 16 89 45.94 XLON 16 325 45.93 TRQX 16 386 45.93 AQXE 16 210 45.93 XLON 16 97 45.93 XLON 16 213 45.93 XLON 16 189 45.93 XLON 16 248 45.93 TRQX 16 358 45.93 AQXE 16 259 45.93 TRQX 16 139 45.93 AQXE 16 8 45.93 TRQX 16 37 45.93 AQXE 16 10 45.93 AQXE 16 190 45.93 XLON 16 216 45.93 XLON 16 313 45.93 XLON 16 204 45.93 XLON 16 497 45.93 XLON 16 60 45.93 CHIX 16 65 45.93 CHIX 16 64 45.93 CHIX 16 25 45.93 CHIX 16 65 45.93 CHIX 16 172 45.93 AQXE 16 174 45.92 CHIX 16 100 45.92 XLON 16 615 45.92 XLON 16 569 45.92 CHIX 16 745 45.92 BATE 16 90 45.93 XLON 16 100 45.93 XLON 16 250 45.94 CHIX 16 251 45.95 CHIX 16 780 45.95 XLON 16 108 45.95 XLON 16 207 45.95 XLON 16 303 45.95 XLON 16 1,394 45.95 XLON 16 251 45.95 CHIX 16 251 45.95 CHIX 16 29 45.95 CHIX 16 220 45.94 XLON 16 780 45.94 XLON 16 227 45.94 XLON 16 171 45.94 XLON 16 239 45.94 XLON 16 225 45.94 CHIX 16 258 45.94 XLON 16 210 45.94 XLON 16 153 45.94 XLON 16 777 45.94 XLON 16 450 45.94 XLON 16 625 45.94 CHIX 16 780 45.94 XLON 16 104 45.94 XLON 16 240 45.94 XLON 16 245 45.94 XLON 16 243 45.93 TRQX 16 3 45.93 TRQX 16 34 45.93 BATE 16 331 45.94 XLON 16 110 45.94 XLON 16 484 45.94 XLON 16 373 45.95 TRQX 16 170 45.95 XLON 16 240 45.95 XLON 16 294 45.95 XLON 16 251 45.95 CHIX 16 755 45.95 BATE 16 500 45.95 XLON 16 500 45.95 XLON 16 416 45.96 XLON 16 251 45.96 CHIX 16 225 45.96 CHIX 16 500 45.96 XLON 16 304 45.96 TRQX 16 536 45.96 XLON 16 472 45.96 XLON 16 561 45.97 XLON 16 70 45.97 XLON 16 333 45.97 XLON 16 215 45.97 XLON 16 251 45.98 CHIX 16 251 45.98 CHIX 16 251 45.98 CHIX 16 251 45.98 CHIX 16 251 45.98 CHIX 16 225 45.98 CHIX 16 975 45.98 XLON 16 69 45.98 XLON 16 759 45.98 XLON 16 100 45.97 XLON 16 121 45.97 XLON 16 251 45.98 CHIX 16 59 45.98 CHIX 16 59 45.98 CHIX 16 225 45.98 CHIX 16 239 45.98 XLON 16 1 45.98 XLON 16 300 45.98 XLON 16 228 45.98 XLON 16 203 45.98 XLON 16 320 45.98 XLON 16 225 45.98 CHIX 16 180 45.98 XLON 16 450 45.98 XLON 16 371 45.97 XLON 16 1,173 45.98 XLON 16 1 45.98 CHIX 16 68 45.98 CHIX 16 55 45.98 BATE 16 237 45.98 CHIX 16 225 45.98 CHIX 16 679 45.98 BATE 16 583 45.97 XLON 16 423 45.97 AQXE 16 209 45.97 XLON 16 96 45.97 XLON 16 975 45.97 XLON 16 169 45.97 XLON 16 49 45.97 XLON 16 186 45.97 XLON 16 75 45.97 XLON 16 533 45.97 XLON 16 167 45.97 AQXE 16 101 45.97 CHIX 16 635 45.98 TRQX 16 88 45.98 TRQX 16 88 45.98 TRQX 16 459 45.98 CHIX 16 277 45.98 CHIX 16 351 45.98 BATE 16 390 45.98 BATE 16 224 45.98 CHIX 16 500 45.98 XLON 16 251 45.98 CHIX 16 200 45.98 CHIX 16 132 45.98 CHIX 16 425 45.97 XLON 16 225 45.98 CHIX 16 251 45.98 CHIX 16 60 45.98 CHIX 16 200 45.98 CHIX 16 55 45.98 CHIX 16 204 45.98 AQXE 16 707 45.98 XLON 16 975 45.98 XLON 16 230 45.98 XLON 16 2 45.98 XLON 16 713 45.97 XLON 16 387 45.98 CHIX 16 324 45.98 AQXE 16 88 45.97 TRQX 16 394 45.97 XLON 16 380 45.97 XLON 16


 
130 45.97 XLON 16 200 45.97 XLON 16 100 45.97 XLON 16 352 45.96 CHIX 16 561 45.97 AQXE 16 88 45.97 TRQX 16 23 45.97 TRQX 16 21 45.97 TRQX 16 65 45.97 TRQX 16 88 45.97 TRQX 16 21 45.97 TRQX 16 20 45.97 TRQX 16 60 45.97 TRQX 16 88 45.98 TRQX 16 253 45.98 CHIX 16 66 45.98 CHIX 16 3 45.98 CHIX 16 414 45.98 TRQX 16 1 45.98 TRQX 16 294 45.99 XLON 16 267 45.99 XLON 16 190 45.99 XLON 16 975 45.99 XLON 16 423 45.99 XLON 16 138 45.97 XLON 16 19 45.97 XLON 16 39 45.97 XLON 16 112 45.97 XLON 16 46 45.97 XLON 16 42 45.97 XLON 16 354 45.97 XLON 16 251 45.99 CHIX 16 369 45.98 AQXE 16 381 45.98 TRQX 16 19 45.98 XLON 16 718 45.98 XLON 16 646 45.98 CHIX 16 47 45.99 XLON 16 7 45.99 CHIX 16 323 46.01 XLON 16 423 46.01 XLON 16 717 46.01 CHIX 16 292 46.01 XLON 16 251 46.01 CHIX 16 88 46.01 TRQX 16 157 46.01 XLON 16 1,398 46.01 XLON 16 1,398 46.01 XLON 16 975 46.01 XLON 16 240 46.01 XLON 16 88 46.01 XLON 16 95 46.01 XLON 16 6 46.01 AQXE 16 6 46.01 AQXE 16 315 46.01 AQXE 16 73 46.00 BATE 16 1,398 46.01 XLON 16 500 46.01 XLON 16 209 46.01 XLON 16 689 46.01 XLON 16 300 46.01 XLON 16 1,098 46.01 XLON 16 500 46.01 XLON 16 898 46.01 XLON 16 699 46.01 XLON 16 746 46.01 CHIX 16 251 46.01 CHIX 16 251 46.01 CHIX 16 225 46.01 CHIX 16 162 46.01 CHIX 16 27 46.01 CHIX 16 500 46.01 XLON 16 60 46.01 XLON 16 629 46.01 XLON 16 53 46.01 XLON 16 47 46.01 XLON 16 704 46.01 XLON 16 191 46.01 CHIX 16 2 46.03 TRQX 16 88 46.03 TRQX 16 24 46.03 TRQX 16 22 46.03 TRQX 16 88 46.03 TRQX 16 88 46.03 TRQX 16 22 46.03 TRQX 16 23 46.03 TRQX 16 8 46.02 TRQX 16 442 46.02 TRQX 16 975 46.02 XLON 16 244 46.02 CHIX 16 141 46.02 BATE 16 20 46.03 AQXE 16 252 46.03 AQXE 16 975 46.04 XLON 16 199 46.04 XLON 16 224 46.04 XLON 16 267 46.05 AQXE 16 209 46.05 AQXE 16 14 46.05 TRQX 16 378 46.05 TRQX 16 740 46.05 XLON 16 725 46.05 CHIX 16 314 46.05 CHIX 16 57 46.05 CHIX 16 59 46.05 CHIX 16 102 46.05 CHIX 16 153 46.05 CHIX 16 153 46.05 AQXE 16 36 46.05 AQXE 16 290 46.04 AQXE 16 141 46.05 BATE 16 26 46.04 BATE 16 494 46.04 BATE 16 171 46.04 BATE 16 29 46.04 BATE 16 41 46.04 AQXE 16 66 46.04 CHIX 16 64 46.04 CHIX 16 75 46.05 TRQX 16 22 46.05 TRQX 16 22 46.05 TRQX 16 58 46.05 TRQX 16 750 46.05 XLON 16 101 46.05 XLON 16 260 46.05 XLON 16 220 46.05 XLON 16 67 46.05 XLON 16 141 46.05 XLON 16 200 46.05 XLON 16 1,057 46.05 XLON 16 887 46.05 XLON 16 83 46.05 XLON 16 428 46.05 XLON 16 89 46.05 CHIX 16 66 46.05 CHIX 16 200 46.05 CHIX 16 100 46.05 CHIX 16 67 46.05 CHIX 16 500 46.05 CHIX 16 23 46.05 CHIX 16 72 46.05 XLON 16 975 46.05 XLON 16 240 46.05 XLON 16 111 46.05 XLON 16 96 46.05 XLON 16 217 46.05 XLON 16 365 46.05 XLON 16 720 46.05 XLON 16 255 46.05 XLON 16 240 46.05 XLON 16 500 46.05 XLON 16 218 46.05 XLON 16 185 46.05 XLON 16 975 46.05 XLON 16 230 46.05 XLON 16 193 46.05 XLON 16 27 46.05 XLON 16 975 46.05 XLON 16 226 46.05 XLON 16 170 46.05 XLON 16


 
46 46.05 XLON 16 500 46.05 XLON 16 240 46.05 XLON 16 88 46.05 XLON 16 524 46.05 XLON 16 451 46.05 XLON 16 206 46.05 XLON 16 741 46.05 XLON 16 522 46.05 XLON 16 158 46.05 XLON 16 229 46.05 XLON 16 205 46.05 XLON 16 284 46.05 XLON 16 42 46.05 XLON 16 240 46.05 XLON 16 500 46.05 XLON 16 100 46.05 XLON 16 516 46.05 XLON 16 459 46.05 XLON 16 202 46.05 XLON 16 334 46.05 XLON 16 403 46.05 XLON 16 1,260 46.05 XLON 16 108 46.05 XLON 16 30 46.05 XLON 16 179 46.05 XLON 16 284 46.05 XLON 16 100 46.05 XLON 16 240 46.05 XLON 16 217 46.05 XLON 16 378 46.05 XLON 16 597 46.05 XLON 16 215 46.05 XLON 16 586 46.05 XLON 16 367 46.05 XLON 16 250 46.05 XLON 16 100 46.05 XLON 16 323 46.05 XLON 16 213 46.05 XLON 16 145 46.05 XLON 16 54 46.05 XLON 16 500 46.05 XLON 16 219 46.05 XLON 16 285 46.03 TRQX 16 88 46.04 TRQX 16 24 46.04 TRQX 16 22 46.04 TRQX 16 55 46.04 TRQX 16 282 46.03 CHIX 16 314 46.04 CHIX 16 62 46.04 CHIX 16 59 46.04 CHIX 16 109 46.04 CHIX 16 71 46.04 CHIX 16 160 46.04 AQXE 16 29 46.04 AQXE 16 294 46.03 AQXE 16 188 46.03 XLON 16 566 46.03 XLON 16 211 46.03 XLON 16 226 46.02 CHIX 16 22 46.03 BATE 16 24 46.03 BATE 16 53 46.03 XLON 16 165 46.03 XLON 16 519 46.03 XLON 16 975 46.03 XLON 16 975 46.03 XLON 16 220 46.03 XLON 16 269 46.03 AQXE 16 275 46.03 TRQX 16 713 46.03 XLON 16 96 46.03 XLON 16 37 46.02 CHIX 16 436 46.02 BATE 16 209 46.03 XLON 16 975 46.03 XLON 16 218 46.03 XLON 16 56 46.03 TRQX 16 151 46.03 TRQX 16 730 46.03 XLON 16 110 46.03 XLON 16 144 46.03 AQXE 16 279 46.04 TRQX 16 1,398 46.04 XLON 16 393 46.04 XLON 16 215 46.04 XLON 16 790 46.04 XLON 16 743 46.03 XLON 16 365 46.03 XLON 16 282 46.04 CHIX 16 58 46.03 AQXE 16 750 46.03 XLON 16 334 46.03 CHIX 16 206 46.03 XLON 16 198 46.04 XLON 16 194 46.04 XLON 16 77 46.04 AQXE 16 91 46.04 AQXE 16 21 46.04 AQXE 16 305 46.03 XLON 16 282 46.04 CHIX 16 282 46.04 CHIX 16 152 46.04 AQXE 16 282 46.04 CHIX 16 737 46.03 XLON 16 975 46.03 XLON 16 280 46.03 CHIX 16 55 46.03 AQXE 16 265 46.02 BATE 16 203 46.02 TRQX 16 222 46.02 XLON 16 304 46.02 CHIX 16 198 46.02 TRQX 16 975 46.02 XLON 16 515 46.02 CHIX 16 314 46.02 CHIX 16 91 46.02 CHIX 16 98 46.02 CHIX 16 308 46.03 AQXE 16 155 46.02 AQXE 16 90 46.02 AQXE 16 238 46.02 AQXE 16 29 46.02 AQXE 16 382 46.02 AQXE 16 719 46.02 BATE 16 504 46.02 XLON 16 213 46.02 XLON 16 975 46.02 XLON 16 210 46.02 XLON 16 20 46.02 XLON 16 231 46.02 XLON 16 745 46.02 XLON 16 97 46.02 XLON 16 396 46.02 XLON 16 248 46.02 XLON 16 975 46.02 XLON 16 212 46.02 XLON 16 11 46.02 XLON 16 64 46.02 CHIX 16 397 46.02 CHIX 16 43 46.02 CHIX 16 189 46.02 CHIX 16 212 46.02 XLON 16 235 46.02 XLON 16 126 46.02 XLON 16 457 46.01 XLON 16 289 46.02 CHIX 16 88 46.02 TRQX 16 88 46.02 TRQX 16 88 46.02 TRQX 16 65 46.02 CHIX 16 66 46.02 CHIX 16 58 46.02 CHIX 16 54 46.02 AQXE 16 87 46.02 AQXE 16 77 46.02 AQXE 16 211 46.02 AQXE 16 56 46.02 CHIX 16 239 46.02 CHIX 16


 
111 46.02 TRQX 16 282 46.02 CHIX 16 190 46.01 XLON 16 96 46.01 XLON 16 975 46.01 XLON 16 96 46.01 XLON 16 11 46.01 XLON 16 275 46.01 AQXE 16 111 46.01 TRQX 16 24 46.01 TRQX 16 23 46.01 TRQX 16 240 46.01 XLON 16 399 46.01 XLON 16 283 46.01 CHIX 16 72 46.00 TRQX 16 251 46.00 BATE 16 314 46.01 CHIX 16 22 46.01 CHIX 16 64 46.01 CHIX 16 314 46.01 CHIX 16 314 46.01 CHIX 16 56 46.01 CHIX 16 14 46.01 CHIX 16 221 46.01 AQXE 16 193 46.00 TRQX 16 296 46.00 XLON 16 284 45.99 XLON 16 267 46.00 BATE 16 136 46.00 BATE 16 515 46.00 TRQX 16 975 46.00 XLON 16 212 46.00 XLON 16 932 46.00 XLON 16 410 46.00 CHIX 16 111 46.00 AQXE 16 303 46.01 AQXE 16 82 46.01 AQXE 16 110 46.01 AQXE 16 651 46.00 XLON 16 152 46.00 AQXE 16 120 46.00 AQXE 16 261 46.00 XLON 16 684 45.99 XLON 16 257 46.00 XLON 16 298 46.00 XLON 16 132 46.00 XLON 16 223 46.00 XLON 16 139 46.00 XLON 16 709 45.98 BATE 16 699 45.95 BATE 16 Media Enquires: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.


 
EX-99.15 16 a9915-transactioninownsh.htm EX-99.15 a9915-transactioninownsh
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:04 19 May 2025 RNS Number : 1014J Unilever PLC 19 May 2025 TRANSACTIONS IN OWN SECURITIES 19 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following nu ordinary shares on the London Stock Exchange from Goldman Sachs International ("th The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 16 May 2025 Number of ordinary shares purchased: 487,477 Highest price paid per share: GBP 46.4000 Lowest price paid per share: GBP 46.0800 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 1/46 Volume weighted average price paid per share: GBP 46.2437 Such purchases form part of the Company's existing share buy-back programme and we pursuant to the instructions issued to the Broker by the Company on 13 February 2025, on that date. Following the purchase of these shares, Unilever holds 69,366,502 of its ordinary share and has 2,499,181,317 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volume LSE 46.2453 313,000 BATS 0.0000 0 Chi-X 46.2449 99,477 Turquoise 46.2501 25,000 Aquis 46.2281 50,000 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the U Market Abuse Regulation), a full breakdown of the individual trades made by the Broke the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Tim 183 46.23 CHIX 09 197 46.23 CHIX 09 754 46.27 XLON 09 495 46.27 CHIX 09 290 46.28 CHIX 09 615 46.28 AQXE 09 634 46.28 TRQX 09 586 46.26 TRQX 09 726 46.27 XLON 09 619 46.26 AQXE 09 154 46.25 XLON 09 199 46.25 XLON 09 100 46.25 XLON 09 100 46.25 XLON 09 100 46.25 CHIX 09 100 46.25 CHIX 09 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 2/46 100 46.25 CHIX 09 52 46.25 XLON 09 189 46.25 CHIX 09 711 46.25 XLON 09 137 46.24 TRQX 09 79 46.24 TRQX 09 454 46.24 TRQX 09 680 46.23 XLON 09 603 46.24 AQXE 09 306 46.22 XLON 09 115 46.20 XLON 09 232 46.20 CHIX 09 124 46.20 XLON 09 107 46.20 XLON 09 386 46.20 XLON 09 201 46.19 XLON 09 148 46.18 CHIX 09 83 46.18 CHIX 09 38 46.17 XLON 09 100 46.17 XLON 09 567 46.17 XLON 09 582 46.19 XLON 09 502 46.19 CHIX 09 328 46.18 CHIX 10 205 46.20 CHIX 10 57 46.20 CHIX 10 473 46.19 XLON 10 96 46.19 XLON 10 258 46.18 CHIX 10 136 46.24 XLON 10 222 46.24 XLON 10 125 46.24 XLON 10 250 46.24 XLON 10 454 46.24 XLON 10 286 46.23 CHIX 10 504 46.32 XLON 10 190 46.32 XLON 10 713 46.32 XLON 10 561 46.32 XLON 10 425 46.32 XLON 10 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 3/46 173 46.33 XLON 10 725 46.32 CHIX 10 723 46.32 XLON 10 313 46.32 TRQX 10 606 46.32 XLON 10 120 46.32 XLON 10 657 46.32 CHIX 10 82 46.30 CHIX 10 732 46.32 XLON 10 561 46.32 XLON 10 300 46.32 XLON 10 146 46.32 XLON 10 105 46.32 XLON 10 292 46.33 XLON 10 473 46.30 XLON 10 481 46.32 CHIX 10 239 46.32 CHIX 10 299 46.30 CHIX 10 296 46.31 TRQX 10 561 46.31 XLON 10 300 46.31 XLON 10 197 46.31 XLON 10 142 46.31 XLON 10 140 46.31 XLON 10 101 46.30 XLON 10 88 46.30 CHIX 10 300 46.30 XLON 10 743 46.30 XLON 10 361 46.30 XLON 10 323 46.30 XLON 10 410 46.30 XLON 10 138 46.29 XLON 10 134 46.29 XLON 10 135 46.29 XLON 10 261 46.29 CHIX 10 139 46.29 XLON 10 142 46.29 XLON 10 142 46.29 XLON 10 144 46.29 XLON 10 500 46.29 XLON 10 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 4/46


 
144 46.29 XLON 10 359 46.29 TRQX 10 500 46.29 XLON 10 102 46.29 XLON 10 261 46.29 CHIX 10 76 46.29 CHIX 10 33 46.29 CHIX 10 2 46.29 CHIX 10 231 46.29 CHIX 10 256 46.29 AQXE 10 46 46.29 XLON 10 197 46.29 XLON 10 137 46.29 XLON 10 561 46.29 XLON 10 141 46.29 XLON 10 198 46.29 XLON 10 233 46.29 XLON 10 134 46.29 XLON 10 198 46.29 XLON 10 138 46.29 XLON 10 14 46.29 XLON 10 561 46.29 XLON 10 198 46.29 XLON 10 140 46.29 XLON 10 561 46.29 XLON 10 200 46.29 XLON 10 137 46.29 XLON 10 561 46.29 XLON 10 136 46.29 XLON 10 561 46.29 XLON 10 201 46.29 XLON 10 202 46.29 XLON 10 641 46.28 XLON 10 483 46.28 XLON 10 204 46.28 XLON 10 146 46.28 XLON 10 502 46.28 CHIX 10 96 46.27 AQXE 10 138 46.28 XLON 10 209 46.28 XLON 10 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 5/46 144 46.28 XLON 10 211 46.28 XLON 10 561 46.28 XLON 10 240 46.28 XLON 10 142 46.28 XLON 10 212 46.28 XLON 10 37 46.27 AQXE 10 561 46.28 XLON 10 561 46.28 XLON 10 367 46.28 XLON 10 240 46.28 XLON 10 236 46.28 XLON 10 211 46.28 XLON 10 561 46.28 XLON 10 40 46.28 XLON 10 134 46.28 XLON 10 240 46.28 XLON 10 218 46.28 XLON 10 64 46.27 AQXE 10 500 46.27 XLON 10 413 46.29 CHIX 10 68 46.29 CHIX 10 348 46.29 AQXE 10 759 46.29 XLON 10 104 46.29 CHIX 10 216 46.29 XLON 10 105 46.29 XLON 10 145 46.29 XLON 10 160 46.29 XLON 10 145 46.29 CHIX 10 217 46.29 XLON 10 217 46.29 XLON 10 500 46.29 XLON 10 200 46.29 XLON 10 218 46.29 XLON 10 304 46.29 AQXE 10 218 46.29 XLON 10 222 46.29 XLON 10 4 46.29 XLON 10 141 46.30 XLON 10 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 6/46 192 46.30 XLON 10 222 46.30 XLON 10 141 46.30 XLON 10 561 46.30 XLON 10 240 46.30 XLON 10 500 46.33 XLON 10 500 46.33 XLON 10 500 46.33 XLON 10 141 46.33 XLON 10 500 46.33 XLON 10 3 46.33 XLON 10 748 46.33 XLON 10 561 46.33 XLON 10 227 46.33 XLON 10 140 46.33 XLON 10 1,000 46.33 XLON 10 1,404 46.33 XLON 10 3 46.33 TRQX 10 1,404 46.33 XLON 10 200 46.33 CHIX 10 23 46.33 CHIX 10 500 46.34 XLON 10 900 46.34 CHIX 10 501 46.33 CHIX 10 206 46.34 XLON 10 135 46.34 XLON 10 197 46.35 CHIX 10 261 46.35 CHIX 10 100 46.35 CHIX 10 100 46.35 CHIX 10 100 46.35 CHIX 10 70 46.35 CHIX 10 250 46.35 CHIX 10 250 46.35 CHIX 10 1,404 46.37 XLON 10 47 46.37 XLON 10 1,357 46.37 XLON 10 85 46.37 XLON 10 145 46.37 XLON 10 155 46.37 XLON 10 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 7/46 155 46.37 XLON 10 139 46.37 XLON 10 146 46.37 XLON 10 150 46.37 XLON 10 141 46.37 XLON 10 561 46.37 XLON 10 140 46.37 XLON 10 139 46.37 XLON 10 133 46.37 XLON 10 490 46.37 TRQX 10 723 46.37 XLON 10 330 46.37 XLON 10 561 46.37 XLON 10 110 46.35 XLON 10 500 46.35 XLON 10 101 46.35 XLON 10 179 46.37 CHIX 10 533 46.37 CHIX 10 483 46.35 CHIX 10 434 46.37 AQXE 10 100 46.35 TRQX 10 87 46.35 AQXE 10 239 46.35 XLON 10 248 46.35 CHIX 10 19 46.35 CHIX 10 317 46.35 TRQX 10 317 46.35 AQXE 10 110 46.35 XLON 10 561 46.35 XLON 10 260 46.35 XLON 10 142 46.35 XLON 10 100 46.35 XLON 10 135 46.35 XLON 10 95 46.35 XLON 10 134 46.35 XLON 10 142 46.35 XLON 10 1,404 46.35 XLON 10 146 46.35 XLON 10 561 46.35 XLON 10 134 46.35 XLON 10 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 8/46


 
139 46.36 XLON 10 394 46.36 XLON 10 561 46.36 XLON 10 112 46.36 XLON 10 234 46.36 CHIX 10 278 46.35 TRQX 10 703 46.35 XLON 10 724 46.35 CHIX 10 20 46.33 CHIX 10 212 46.35 AQXE 10 746 46.33 XLON 10 100 46.33 AQXE 10 164 46.33 TRQX 10 157 46.33 TRQX 10 532 46.33 XLON 10 100 46.33 CHIX 10 261 46.33 CHIX 10 53 46.33 CHIX 10 260 46.30 CHIX 10 304 46.33 AQXE 10 240 46.32 CHIX 10 203 46.32 TRQX 10 250 46.32 XLON 10 480 46.32 XLON 10 515 46.32 CHIX 10 261 46.32 CHIX 10 201 46.32 AQXE 10 261 46.32 CHIX 10 261 46.32 CHIX 10 137 46.31 CHIX 10 2 46.30 XLON 10 100 46.30 XLON 10 100 46.30 XLON 10 100 46.30 XLON 10 300 46.31 CHIX 10 400 46.31 CHIX 10 100 46.31 CHIX 10 418 46.30 XLON 10 481 46.30 CHIX 10 371 46.30 TRQX 10 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 9/46 261 46.30 CHIX 10 372 46.30 AQXE 10 79 46.29 CHIX 10 697 46.32 XLON 10 38 46.32 XLON 10 751 46.35 XLON 10 218 46.35 XLON 10 726 46.36 XLON 10 207 46.37 XLON 10 561 46.37 XLON 10 97 46.37 XLON 10 142 46.37 XLON 10 105 46.37 XLON 10 171 46.37 XLON 10 158 46.36 CHIX 10 17 46.36 CHIX 10 15 46.36 XLON 10 15 46.36 XLON 10 15 46.36 XLON 10 98 46.36 XLON 10 136 46.36 XLON 10 478 46.36 XLON 10 261 46.36 CHIX 10 157 46.36 CHIX 10 261 46.36 CHIX 10 21 46.35 AQXE 10 261 46.36 CHIX 10 261 46.36 CHIX 10 25 46.35 AQXE 10 234 46.36 CHIX 10 17 46.35 AQXE 10 234 46.36 CHIX 10 203 46.35 TRQX 10 165 46.35 CHIX 10 69 46.35 TRQX 10 378 46.35 XLON 10 563 46.35 CHIX 10 139 46.35 AQXE 10 201 46.33 AQXE 10 25 46.33 XLON 10 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 10/46 25 46.33 XLON 10 25 46.33 XLON 10 75 46.33 XLON 10 594 46.33 XLON 10 15 46.33 XLON 10 271 46.33 TRQX 10 715 46.33 CHIX 10 383 46.32 XLON 10 143 46.32 XLON 10 47 46.32 XLON 10 132 46.32 XLON 10 396 46.32 XLON 10 555 46.32 XLON 10 45 46.32 XLON 10 276 46.32 TRQX 10 499 46.33 XLON 10 493 46.33 XLON 10 26 46.32 XLON 10 252 46.32 XLON 10 383 46.32 XLON 10 234 46.32 CHIX 10 234 46.31 CHIX 10 43 46.31 AQXE 10 158 46.31 AQXE 10 289 46.30 TRQX 10 729 46.30 XLON 10 279 46.30 CHIX 10 198 46.30 CHIX 10 279 46.30 CHIX 10 13 46.29 TRQX 10 323 46.29 TRQX 10 38 46.29 TRQX 10 105 46.30 XLON 10 45 46.30 XLON 10 345 46.31 XLON 10 105 46.30 XLON 10 45 46.30 XLON 10 105 46.30 XLON 10 45 46.30 XLON 10 96 46.30 XLON 10 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 11/46 172 46.30 XLON 10 23 46.30 XLON 10 343 46.30 CHIX 10 75 46.30 CHIX 10 338 46.30 CHIX 10 56 46.29 TRQX 10 238 46.30 AQXE 10 11 46.30 XLON 10 32 46.30 XLON 10 63 46.30 XLON 10 651 46.30 XLON 10 42 46.30 XLON 10 301 46.31 TRQX 10 652 46.32 XLON 10 561 46.32 XLON 10 161 46.32 XLON 10 30 46.32 XLON 10 14 46.30 XLON 10 14 46.30 XLON 10 14 46.30 XLON 10 14 46.30 XLON 10 14 46.30 XLON 10 14 46.30 XLON 10 14 46.30 XLON 10 14 46.30 XLON 10 14 46.30 XLON 10 14 46.30 XLON 10 57 46.30 XLON 10 120 46.30 XLON 10 281 46.30 XLON 10 121 46.30 XLON 10 717 46.30 CHIX 10 207 46.30 AQXE 10 89 46.28 TRQX 10 306 46.28 XLON 10 21 46.28 XLON 10 501 46.28 CHIX 10 28 46.30 AQXE 10 63 46.28 XLON 11 121 46.28 XLON 11 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 12/46


 
193 46.28 XLON 11 25 46.28 XLON 11 742 46.31 XLON 11 208 46.30 TRQX 11 756 46.30 CHIX 11 249 46.30 AQXE 11 17 46.30 XLON 11 323 46.30 XLON 11 504 46.32 XLON 11 10 46.38 XLON 11 343 46.38 XLON 11 343 46.38 XLON 11 143 46.38 XLON 11 561 46.38 XLON 11 14 46.38 XLON 11 240 46.38 XLON 11 561 46.38 XLON 11 603 46.38 XLON 11 728 46.37 XLON 11 234 46.39 CHIX 11 123 46.40 CHIX 11 261 46.40 CHIX 11 400 46.39 TRQX 11 128 46.39 XLON 11 561 46.39 XLON 11 128 46.39 XLON 11 292 46.38 XLON 11 501 46.38 CHIX 11 433 46.38 XLON 11 256 46.38 CHIX 11 236 46.38 AQXE 11 295 46.36 CHIX 11 322 46.37 TRQX 11 745 46.38 CHIX 11 227 46.38 AQXE 11 242 46.37 TRQX 11 733 46.37 XLON 11 561 46.37 XLON 11 235 46.37 XLON 11 429 46.36 CHIX 11 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 13/46 124 46.36 AQXE 11 63 46.36 AQXE 11 48 46.36 AQXE 11 329 46.35 TRQX 11 738 46.35 XLON 11 191 46.36 TRQX 11 323 46.36 XLON 11 385 46.36 XLON 11 501 46.34 CHIX 11 238 46.35 AQXE 11 1 46.34 CHIX 11 204 46.34 TRQX 11 256 46.34 CHIX 11 729 46.33 XLON 11 45 46.32 AQXE 11 383 46.31 CHIX 11 11 46.32 AQXE 11 182 46.32 AQXE 11 92 46.32 XLON 11 657 46.32 XLON 11 750 46.34 XLON 11 561 46.34 XLON 11 300 46.34 XLON 11 215 46.34 XLON 11 235 46.34 AQXE 11 270 46.33 TRQX 11 706 46.34 XLON 11 473 46.32 XLON 11 501 46.33 CHIX 11 231 46.33 CHIX 11 270 46.32 XLON 11 561 46.32 XLON 11 310 46.32 XLON 11 133 46.32 XLON 11 100 46.32 XLON 11 349 46.31 CHIX 11 248 46.31 AQXE 11 290 46.30 TRQX 11 78 46.30 XLON 11 673 46.30 XLON 11 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 14/46 741 46.28 XLON 11 91 46.28 CHIX 11 247 46.28 CHIX 11 223 46.28 AQXE 11 2 46.27 AQXE 11 756 46.27 XLON 11 2 46.27 CHIX 11 681 46.27 CHIX 11 213 46.27 AQXE 11 465 46.25 XLON 11 254 46.25 XLON 11 16 46.25 CHIX 11 663 46.25 CHIX 11 136 46.26 CHIX 11 9 46.26 CHIX 11 87 46.26 CHIX 11 131 46.25 XLON 11 121 46.25 XLON 11 96 46.25 XLON 11 721 46.25 XLON 11 198 46.24 TRQX 12 254 46.24 CHIX 12 212 46.24 AQXE 12 706 46.23 XLON 12 37 46.23 XLON 12 537 46.24 CHIX 12 207 46.24 AQXE 12 752 46.23 XLON 12 250 46.23 XLON 12 483 46.23 XLON 12 190 46.22 TRQX 12 358 46.21 XLON 12 252 46.22 CHIX 12 198 46.22 AQXE 12 127 46.21 XLON 12 63 46.21 XLON 12 136 46.21 XLON 12 126 46.21 CHIX 12 307 46.21 CHIX 12 71 46.21 CHIX 12 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 15/46 194 46.20 TRQX 12 138 46.21 XLON 12 100 46.21 XLON 12 140 46.21 XLON 12 142 46.21 XLON 12 130 46.21 CHIX 12 74 46.21 XLON 12 420 46.21 XLON 12 48 46.21 XLON 12 359 46.21 CHIX 12 127 46.21 XLON 12 132 46.21 XLON 12 326 46.21 CHIX 12 216 46.21 XLON 12 52 46.21 CHIX 12 130 46.21 XLON 12 176 46.21 XLON 12 314 46.21 XLON 12 207 46.21 CHIX 12 105 46.22 XLON 12 601 46.22 XLON 12 218 46.21 CHIX 12 314 46.22 AQXE 12 91 46.21 TRQX 12 251 46.22 AQXE 12 758 46.22 XLON 12 338 46.22 AQXE 12 121 46.21 CHIX 12 105 46.21 CHIX 12 760 46.20 XLON 12 198 46.20 AQXE 12 340 46.21 XLON 12 128 46.21 XLON 12 282 46.21 CHIX 12 262 46.21 AQXE 12 101 46.20 XLON 12 626 46.20 XLON 12 233 46.19 CHIX 12 276 46.19 AQXE 12 68 46.19 CHIX 12 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 16/46


 
305 46.19 AQXE 12 184 46.19 CHIX 12 198 46.18 TRQX 12 45 46.18 XLON 12 291 46.19 AQXE 12 144 46.18 XLON 12 408 46.18 XLON 12 152 46.18 XLON 12 733 46.18 XLON 12 27 46.18 XLON 12 207 46.17 CHIX 12 200 46.17 AQXE 12 128 46.19 CHIX 12 85 46.19 CHIX 12 203 46.19 CHIX 12 181 46.19 XLON 12 526 46.19 XLON 12 144 46.19 XLON 12 144 46.19 XLON 12 136 46.18 TRQX 12 398 46.22 XLON 12 100 46.22 XLON 12 185 46.22 XLON 12 526 46.22 XLON 12 423 46.22 XLON 12 207 46.22 XLON 12 267 46.21 TRQX 12 171 46.21 XLON 12 456 46.21 XLON 12 451 46.21 XLON 12 171 46.21 XLON 12 16 46.21 XLON 12 283 46.21 XLON 12 715 46.20 XLON 12 361 46.20 CHIX 12 271 46.20 AQXE 12 323 46.18 XLON 12 306 46.18 XLON 12 81 46.18 XLON 12 206 46.18 CHIX 12 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 17/46 204 46.18 AQXE 12 234 46.18 TRQX 12 735 46.18 XLON 12 507 46.18 CHIX 12 449 46.18 AQXE 12 223 46.16 XLON 12 512 46.16 XLON 12 210 46.16 CHIX 12 90 46.16 AQXE 12 128 46.16 AQXE 12 73 46.14 XLON 12 483 46.14 CHIX 12 323 46.15 AQXE 12 217 46.16 XLON 12 323 46.16 XLON 12 192 46.16 XLON 12 113 46.16 XLON 13 323 46.16 XLON 13 307 46.16 XLON 13 97 46.16 XLON 13 204 46.16 TRQX 13 157 46.16 XLON 13 244 46.16 XLON 13 231 46.17 CHIX 13 542 46.17 AQXE 13 323 46.16 XLON 13 77 46.16 XLON 13 139 46.15 CHIX 13 207 46.16 XLON 13 506 46.16 XLON 13 416 46.15 AQXE 13 77 46.15 CHIX 13 18 46.15 AQXE 13 705 46.16 AQXE 13 173 46.16 CHIX 13 96 46.16 CHIX 13 460 46.18 XLON 13 287 46.18 XLON 13 356 46.18 AQXE 13 345 46.18 AQXE 13 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 18/46 146 46.17 TRQX 13 24 46.18 XLON 13 270 46.19 CHIX 13 229 46.19 CHIX 13 294 46.18 AQXE 13 212 46.18 XLON 13 158 46.18 XLON 13 349 46.18 XLON 13 220 46.18 AQXE 13 219 46.20 TRQX 13 712 46.20 XLON 13 359 46.19 CHIX 13 479 46.19 XLON 13 119 46.18 XLON 13 476 46.18 XLON 13 164 46.18 XLON 13 404 46.19 CHIX 13 418 46.18 AQXE 13 440 46.19 XLON 13 506 46.19 XLON 13 163 46.19 XLON 13 295 46.19 XLON 13 343 46.20 XLON 13 162 46.20 XLON 13 28 46.20 XLON 13 310 46.22 XLON 13 213 46.21 TRQX 13 393 46.22 XLON 13 8 46.22 XLON 13 707 46.20 XLON 13 575 46.21 CHIX 13 301 46.20 AQXE 13 47 46.20 XLON 13 658 46.20 XLON 13 94 46.20 XLON 13 52 46.19 TRQX 13 518 46.19 CHIX 13 543 46.20 XLON 13 711 46.20 XLON 13 538 46.19 CHIX 13 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 19/46 105 46.19 XLON 13 153 46.19 XLON 13 153 46.19 XLON 13 153 46.19 XLON 13 185 46.19 XLON 13 5 46.19 XLON 13 159 46.19 XLON 13 31 46.19 XLON 13 155 46.19 XLON 13 658 46.19 XLON 13 88 46.19 XLON 13 720 46.18 XLON 13 323 46.18 XLON 13 245 46.18 AQXE 13 416 46.18 XLON 13 201 46.17 TRQX 13 218 46.17 CHIX 13 123 46.20 CHIX 13 734 46.20 XLON 13 130 46.20 CHIX 13 294 46.20 CHIX 13 408 46.20 AQXE 13 178 46.21 CHIX 13 64 46.21 CHIX 13 109 46.21 TRQX 13 150 46.21 TRQX 13 75 46.22 XLON 13 250 46.22 XLON 13 435 46.22 XLON 13 358 46.22 CHIX 13 169 46.22 AQXE 13 391 46.22 AQXE 13 189 46.22 AQXE 13 751 46.22 XLON 13 206 46.22 CHIX 13 303 46.22 AQXE 13 733 46.20 XLON 13 330 46.20 CHIX 13 538 46.20 AQXE 13 40 46.20 AQXE 13 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 20/46


 
25 46.20 AQXE 13 25 46.20 AQXE 13 47 46.20 AQXE 13 25 46.20 AQXE 13 57 46.20 AQXE 13 25 46.20 AQXE 13 25 46.20 AQXE 13 225 46.21 TRQX 13 250 46.22 XLON 13 463 46.22 XLON 13 339 46.22 CHIX 13 40 46.22 AQXE 13 595 46.22 AQXE 13 400 46.23 XLON 13 342 46.23 XLON 13 720 46.23 XLON 13 226 46.23 TRQX 13 749 46.24 XLON 13 107 46.24 AQXE 13 582 46.24 AQXE 13 57 46.24 XLON 13 650 46.24 XLON 13 530 46.24 CHIX 13 291 46.22 CHIX 13 725 46.24 AQXE 13 532 46.22 AQXE 13 51 46.22 XLON 13 250 46.22 XLON 13 527 46.23 AQXE 13 428 46.22 XLON 13 44 46.22 CHIX 13 472 46.23 AQXE 13 25 46.23 CHIX 13 241 46.23 CHIX 13 216 46.22 XLON 13 248 46.22 CHIX 13 290 46.22 AQXE 13 205 46.23 TRQX 13 123 46.22 AQXE 13 404 46.22 XLON 13 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 21/46 204 46.22 XLON 13 674 46.23 XLON 13 351 46.23 XLON 13 16 46.22 CHIX 13 206 46.22 CHIX 13 11 46.22 AQXE 13 58 46.22 AQXE 13 227 46.22 XLON 14 540 46.20 XLON 14 86 46.20 XLON 14 194 46.20 CHIX 14 72 46.20 AQXE 14 74 46.19 CHIX 14 227 46.19 XLON 14 448 46.19 XLON 14 214 46.19 CHIX 14 191 46.19 AQXE 14 194 46.19 TRQX 14 701 46.19 XLON 14 17 46.19 XLON 14 223 46.19 CHIX 14 3 46.19 CHIX 14 392 46.19 AQXE 14 80 46.19 CHIX 14 198 46.17 TRQX 14 512 46.17 XLON 14 181 46.17 AQXE 14 197 46.17 XLON 14 215 46.17 CHIX 14 192 46.17 CHIX 14 443 46.17 AQXE 14 196 46.17 AQXE 14 523 46.17 XLON 14 489 46.16 XLON 14 262 46.16 XLON 14 118 46.17 CHIX 14 359 46.19 CHIX 14 212 46.19 XLON 14 177 46.19 XLON 14 658 46.19 XLON 14 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 22/46 103 46.19 XLON 14 704 46.18 XLON 14 89 46.17 CHIX 14 165 46.17 CHIX 14 76 46.17 CHIX 14 268 46.17 CHIX 14 68 46.16 XLON 14 238 46.16 XLON 14 194 46.16 TRQX 14 424 46.16 XLON 14 198 46.16 AQXE 14 191 46.16 XLON 14 194 46.16 AQXE 14 4 46.16 XLON 14 77 46.16 XLON 14 195 46.17 XLON 14 147 46.17 XLON 14 658 46.17 XLON 14 15 46.17 XLON 14 67 46.17 XLON 14 197 46.16 TRQX 14 437 46.16 XLON 14 432 46.16 CHIX 14 21 46.16 AQXE 14 137 46.16 XLON 14 581 46.16 XLON 14 333 46.16 CHIX 14 176 46.16 AQXE 14 275 46.17 XLON 14 113 46.17 XLON 14 46 46.17 XLON 14 429 46.17 CHIX 14 658 46.18 XLON 14 234 46.17 XLON 14 4 46.17 XLON 14 166 46.17 XLON 14 260 46.17 XLON 14 149 46.17 XLON 14 45 46.17 XLON 14 261 46.17 XLON 14 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 23/46 100 46.17 XLON 14 122 46.17 XLON 14 81 46.16 TRQX 14 160 46.17 TRQX 14 738 46.18 XLON 14 459 46.18 CHIX 14 234 46.18 AQXE 14 159 46.18 AQXE 14 706 46.16 XLON 14 272 46.16 CHIX 14 36 46.16 AQXE 14 220 46.16 AQXE 14 467 46.14 XLON 14 143 46.14 CHIX 14 66 46.14 CHIX 14 194 46.14 AQXE 14 725 46.12 XLON 14 126 46.11 CHIX 14 86 46.11 CHIX 14 64 46.11 CHIX 14 55 46.11 CHIX 14 715 46.16 XLON 14 265 46.16 AQXE 14 258 46.15 TRQX 14 349 46.15 CHIX 14 89 46.14 XLON 14 659 46.14 XLON 14 100 46.13 CHIX 14 258 46.14 AQXE 14 125 46.13 CHIX 14 90 46.13 CHIX 14 658 46.13 XLON 14 40 46.13 XLON 14 311 46.13 XLON 14 250 46.18 XLON 14 486 46.18 XLON 14 221 46.18 AQXE 14 40 46.18 XLON 14 350 46.18 XLON 14 52 46.18 XLON 14 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 24/46


 
32 46.18 XLON 14 49 46.18 XLON 14 40 46.18 XLON 14 107 46.18 XLON 14 154 46.18 XLON 14 127 46.19 XLON 14 78 46.19 XLON 14 150 46.19 AQXE 14 78 46.19 XLON 14 78 46.19 XLON 14 78 46.19 XLON 14 76 46.19 AQXE 14 21 46.19 XLON 14 226 46.20 TRQX 14 741 46.20 XLON 14 637 46.19 XLON 14 658 46.19 XLON 14 71 46.19 XLON 14 666 46.20 CHIX 14 226 46.19 AQXE 14 206 46.19 AQXE 14 414 46.21 XLON 14 236 46.20 TRQX 14 210 46.20 XLON 14 502 46.20 XLON 14 261 46.20 CHIX 14 306 46.20 CHIX 14 229 46.21 TRQX 14 220 46.21 XLON 14 658 46.21 XLON 14 153 46.21 XLON 14 201 46.21 XLON 14 94 46.21 XLON 14 234 46.21 AQXE 14 323 46.20 XLON 14 426 46.20 XLON 14 498 46.20 CHIX 14 239 46.19 AQXE 14 592 46.20 XLON 14 54 46.18 CHIX 14 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 25/46 206 46.19 AQXE 14 714 46.18 XLON 14 535 46.18 CHIX 14 658 46.18 XLON 14 201 46.18 XLON 14 3 46.18 XLON 14 51 46.17 TRQX 14 175 46.17 TRQX 14 197 46.17 AQXE 14 29 46.16 CHIX 14 130 46.17 XLON 14 658 46.17 XLON 14 269 46.17 XLON 14 9 46.17 XLON 14 658 46.17 XLON 14 286 46.17 XLON 14 604 46.16 XLON 14 155 46.16 XLON 14 313 46.16 CHIX 14 232 46.14 TRQX 14 258 46.14 CHIX 14 181 46.14 CHIX 14 200 46.14 AQXE 14 599 46.13 XLON 14 139 46.13 XLON 14 21 46.14 CHIX 14 221 46.15 XLON 14 492 46.15 XLON 14 542 46.15 CHIX 14 214 46.14 AQXE 14 77 46.13 XLON 14 646 46.13 XLON 14 555 46.13 CHIX 14 227 46.13 CHIX 14 204 46.12 AQXE 14 742 46.11 XLON 14 468 46.11 CHIX 14 689 46.10 XLON 14 325 46.09 CHIX 14 507 46.08 XLON 14 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 26/46 214 46.10 TRQX 14 50 46.10 XLON 14 277 46.10 XLON 14 51 46.10 XLON 14 205 46.10 AQXE 14 758 46.12 XLON 14 220 46.13 AQXE 14 206 46.13 TRQX 14 250 46.13 XLON 14 502 46.13 XLON 14 230 46.13 AQXE 14 150 46.13 XLON 14 582 46.13 XLON 14 95 46.13 CHIX 14 400 46.13 CHIX 14 735 46.15 XLON 14 419 46.18 CHIX 14 313 46.18 CHIX 14 755 46.17 XLON 14 108 46.17 AQXE 14 190 46.18 AQXE 14 200 46.17 TRQX 14 717 46.17 XLON 14 23 46.16 CHIX 14 380 46.16 CHIX 14 18 46.15 XLON 14 592 46.16 XLON 14 197 46.15 XLON 14 437 46.15 XLON 14 89 46.15 XLON 14 204 46.15 AQXE 14 199 46.15 TRQX 14 327 46.15 CHIX 14 758 46.15 XLON 14 39 46.15 AQXE 14 712 46.15 XLON 14 347 46.15 CHIX 14 392 46.16 CHIX 14 38 46.17 CHIX 14 658 46.18 XLON 14 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 27/46 50 46.18 XLON 14 266 46.17 XLON 14 475 46.17 XLON 14 153 46.17 CHIX 14 60 46.18 XLON 14 469 46.18 XLON 14 22 46.18 TRQX 14 30 46.19 XLON 14 680 46.19 XLON 14 196 46.20 TRQX 14 728 46.20 XLON 14 380 46.19 CHIX 14 201 46.19 XLON 14 642 46.19 XLON 14 329 46.19 AQXE 14 507 46.19 XLON 14 205 46.19 XLON 14 333 46.19 XLON 14 181 46.18 TRQX 14 196 46.18 XLON 14 423 46.18 XLON 14 419 46.19 XLON 14 40 46.19 XLON 14 207 46.19 XLON 14 573 46.19 XLON 14 451 46.19 AQXE 14 647 46.19 XLON 14 92 46.19 XLON 14 726 46.19 CHIX 14 203 46.18 TRQX 14 317 46.17 AQXE 14 708 46.17 XLON 14 306 46.17 CHIX 14 716 46.20 XLON 14 342 46.20 XLON 14 198 46.20 XLON 14 658 46.20 XLON 14 743 46.20 XLON 14 756 46.20 XLON 14 444 46.20 AQXE 14 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 28/46


 
95 46.19 CHIX 14 198 46.19 TRQX 14 464 46.19 CHIX 14 323 46.18 XLON 14 306 46.18 XLON 14 126 46.18 XLON 14 10 46.18 AQXE 14 201 46.18 AQXE 14 4 46.18 AQXE 14 200 46.17 TRQX 14 590 46.17 CHIX 14 503 46.18 XLON 14 48 46.18 XLON 14 169 46.18 XLON 14 163 46.18 XLON 14 392 46.18 XLON 14 299 46.17 AQXE 14 195 46.17 TRQX 14 726 46.17 XLON 14 592 46.17 XLON 14 713 46.17 CHIX 14 136 46.15 XLON 14 192 46.15 AQXE 14 615 46.15 XLON 14 202 46.15 CHIX 14 399 46.16 AQXE 14 469 46.17 XLON 14 728 46.16 CHIX 14 243 46.16 XLON 14 190 46.16 XLON 14 329 46.16 CHIX 14 61 46.15 AQXE 14 187 46.16 XLON 14 25 46.16 XLON 14 1 46.16 XLON 14 186 46.16 XLON 14 658 46.16 XLON 14 269 46.16 CHIX 14 35 46.17 XLON 14 558 46.19 XLON 14 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 29/46 846 46.19 XLON 14 437 46.20 XLON 14 313 46.19 XLON 14 422 46.19 XLON 14 357 46.19 XLON 14 134 46.19 XLON 14 252 46.19 TRQX 14 386 46.19 AQXE 14 39 46.19 AQXE 14 743 46.19 XLON 14 374 46.19 AQXE 14 253 46.19 TRQX 14 715 46.19 XLON 14 653 46.18 CHIX 14 377 46.20 XLON 14 510 46.20 XLON 14 229 46.20 TRQX 14 492 46.20 XLON 14 207 46.20 XLON 14 513 46.20 XLON 14 343 46.19 XLON 14 102 46.19 AQXE 14 3 46.19 XLON 14 185 46.19 AQXE 14 382 46.19 XLON 14 528 46.19 CHIX 14 227 46.18 TRQX 14 209 46.19 CHIX 14 734 46.17 XLON 14 289 46.17 AQXE 14 421 46.18 CHIX 14 287 46.19 AQXE 14 731 46.19 XLON 14 658 46.19 XLON 14 205 46.19 XLON 14 90 46.19 XLON 14 110 46.19 XLON 14 202 46.19 XLON 14 80 46.19 XLON 14 187 46.20 XLON 14 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 30/46 423 46.20 XLON 14 388 46.20 XLON 14 44 46.20 XLON 14 40 46.20 XLON 14 204 46.20 XLON 14 300 46.20 XLON 14 223 46.20 XLON 14 66 46.19 TRQX 14 49 46.20 XLON 14 141 46.20 XLON 14 60 46.20 XLON 14 50 46.20 XLON 14 6 46.20 XLON 14 34 46.20 XLON 14 3 46.20 XLON 14 309 46.20 XLON 14 137 46.19 TRQX 14 236 46.19 XLON 14 22 46.19 XLON 14 334 46.20 XLON 14 300 46.20 XLON 14 16 46.20 XLON 14 314 46.20 XLON 14 1 46.20 CHIX 14 35 46.20 XLON 14 58 46.20 XLON 14 283 46.20 XLON 14 63 46.20 CHIX 14 283 46.20 XLON 14 523 46.20 AQXE 15 205 46.20 TRQX 15 453 46.19 XLON 15 710 46.20 CHIX 15 729 46.21 XLON 15 323 46.21 XLON 15 401 46.21 XLON 15 368 46.21 AQXE 15 279 46.19 AQXE 15 707 46.19 XLON 15 110 46.19 AQXE 15 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 31/46 107 46.20 CHIX 15 297 46.20 CHIX 15 652 46.19 XLON 15 7 46.18 CHIX 15 204 46.18 TRQX 15 229 46.18 CHIX 15 87 46.18 CHIX 15 416 46.18 CHIX 15 200 46.18 CHIX 15 91 46.18 CHIX 15 378 46.18 XLON 15 65 46.18 XLON 15 40 46.18 XLON 15 416 46.18 XLON 15 239 46.18 XLON 15 414 46.18 XLON 15 563 46.18 XLON 15 140 46.18 XLON 15 164 46.18 XLON 15 707 46.17 XLON 15 213 46.17 AQXE 15 427 46.16 CHIX 15 260 46.15 AQXE 15 204 46.16 TRQX 15 156 46.15 XLON 15 185 46.15 XLON 15 76 46.15 XLON 15 74 46.16 CHIX 15 474 46.14 XLON 15 264 46.14 XLON 15 708 46.14 CHIX 15 215 46.14 AQXE 15 201 46.13 TRQX 15 741 46.13 CHIX 15 75 46.12 AQXE 15 140 46.12 AQXE 15 122 46.12 AQXE 15 248 46.12 XLON 15 465 46.12 XLON 15 721 46.13 XLON 15 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 32/46


 
734 46.13 CHIX 15 5 46.15 CHIX 15 741 46.15 XLON 15 437 46.15 CHIX 15 242 46.14 AQXE 15 698 46.13 XLON 15 671 46.13 CHIX 15 231 46.11 AQXE 15 631 46.11 XLON 15 106 46.11 XLON 15 746 46.11 CHIX 15 8 46.11 TRQX 15 206 46.11 TRQX 15 219 46.11 CHIX 15 739 46.09 XLON 15 217 46.09 CHIX 15 316 46.12 AQXE 15 128 46.13 XLON 15 630 46.13 XLON 15 251 46.13 CHIX 15 242 46.14 CHIX 15 206 46.14 CHIX 15 239 46.14 TRQX 15 658 46.14 XLON 15 111 46.14 XLON 15 222 46.14 XLON 15 196 46.14 XLON 15 34 46.14 XLON 15 603 46.14 XLON 15 69 46.14 XLON 15 132 46.14 XLON 15 39 46.14 AQXE 15 278 46.14 AQXE 15 144 46.13 XLON 15 614 46.13 XLON 15 11 46.11 XLON 15 692 46.11 XLON 15 226 46.11 CHIX 15 250 46.12 XLON 15 447 46.12 XLON 15 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 33/46 216 46.12 CHIX 15 519 46.12 XLON 15 234 46.12 CHIX 15 254 46.12 CHIX 15 658 46.12 XLON 15 240 46.12 XLON 15 236 46.12 TRQX 15 210 46.12 CHIX 15 532 46.11 XLON 15 49 46.10 AQXE 15 233 46.10 CHIX 15 287 46.10 AQXE 15 626 46.09 XLON 15 732 46.09 XLON 15 250 46.09 XLON 15 474 46.09 XLON 15 214 46.08 AQXE 15 581 46.09 XLON 15 242 46.09 XLON 15 110 46.08 AQXE 15 230 46.09 XLON 15 166 46.09 XLON 15 492 46.09 XLON 15 286 46.09 AQXE 15 11 46.09 AQXE 15 200 46.09 XLON 15 265 46.09 XLON 15 414 46.14 CHIX 15 239 46.13 TRQX 15 230 46.14 XLON 15 177 46.14 XLON 15 121 46.14 XLON 15 39 46.13 XLON 15 502 46.14 CHIX 15 535 46.13 XLON 15 316 46.13 AQXE 15 476 46.12 CHIX 15 219 46.12 XLON 15 220 46.12 XLON 15 804 46.13 XLON 15 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 34/46 58 46.13 XLON 15 523 46.13 XLON 15 307 46.13 XLON 15 247 46.13 TRQX 15 513 46.13 XLON 15 233 46.13 XLON 15 205 46.12 CHIX 15 312 46.13 XLON 15 226 46.14 XLON 15 200 46.14 XLON 15 40 46.14 XLON 15 47 46.14 XLON 15 263 46.14 XLON 15 121 46.13 XLON 15 608 46.13 XLON 15 218 46.13 AQXE 15 447 46.13 XLON 15 283 46.13 XLON 15 346 46.15 XLON 15 323 46.15 XLON 15 88 46.15 XLON 15 585 46.16 XLON 15 193 46.17 XLON 15 333 46.17 XLON 15 5 46.17 XLON 15 224 46.17 XLON 15 249 46.17 TRQX 15 268 46.23 XLON 15 464 46.23 XLON 15 62 46.23 CHIX 15 100 46.23 CHIX 15 79 46.23 CHIX 15 754 46.24 CHIX 15 291 46.24 XLON 15 526 46.25 XLON 15 46 46.25 XLON 15 299 46.26 XLON 15 168 46.26 XLON 15 250 46.25 XLON 15 509 46.25 XLON 15 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 35/46 745 46.25 CHIX 15 428 46.25 AQXE 15 233 46.25 TRQX 15 548 46.25 XLON 15 37 46.25 XLON 15 450 46.25 XLON 15 80 46.25 AQXE 15 73 46.25 AQXE 15 193 46.25 XLON 15 597 46.26 CHIX 15 192 46.25 XLON 15 529 46.24 CHIX 15 116 46.25 AQXE 15 9 46.27 XLON 15 510 46.27 XLON 15 222 46.27 XLON 15 425 46.26 XLON 15 520 46.25 XLON 15 265 46.25 CHIX 15 255 46.25 AQXE 15 235 46.27 TRQX 15 169 46.27 XLON 15 183 46.27 XLON 15 364 46.27 XLON 15 291 46.27 CHIX 15 165 46.26 AQXE 15 16 46.26 AQXE 15 658 46.28 XLON 15 140 46.28 XLON 15 198 46.28 XLON 15 240 46.28 XLON 15 272 46.28 AQXE 15 210 46.29 XLON 15 112 46.29 XLON 15 323 46.29 XLON 15 317 46.29 XLON 15 700 46.29 XLON 15 3 46.29 TRQX 15 180 46.29 TRQX 15 179 46.29 CHIX 15 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 36/46


 
92 46.29 XLON 15 248 46.29 XLON 15 518 46.29 CHIX 15 552 46.29 XLON 15 264 46.29 XLON 15 130 46.29 CHIX 15 469 46.29 CHIX 15 204 46.31 XLON 15 405 46.31 XLON 15 155 46.30 AQXE 15 743 46.31 XLON 15 102 46.31 XLON 15 730 46.33 XLON 15 308 46.32 TRQX 15 757 46.31 XLON 15 607 46.32 CHIX 15 130 46.30 CHIX 15 244 46.30 CHIX 15 366 46.32 AQXE 15 128 46.30 AQXE 15 289 46.30 XLON 15 200 46.30 XLON 15 97 46.30 XLON 15 363 46.30 XLON 15 437 46.30 CHIX 15 100 46.30 TRQX 15 149 46.30 TRQX 15 658 46.30 XLON 15 102 46.30 XLON 15 40 46.30 XLON 15 460 46.29 XLON 15 403 46.29 CHIX 15 573 46.29 XLON 15 727 46.29 XLON 15 361 46.29 CHIX 15 280 46.28 AQXE 15 19 46.28 AQXE 15 597 46.27 XLON 15 404 46.27 CHIX 15 568 46.27 XLON 15 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 37/46 194 46.26 XLON 15 240 46.26 XLON 15 105 46.26 XLON 15 100 46.26 XLON 15 189 46.29 XLON 15 717 46.31 XLON 15 231 46.31 XLON 15 92 46.31 XLON 15 566 46.31 XLON 15 425 46.31 AQXE 15 249 46.30 TRQX 15 450 46.30 CHIX 15 190 46.30 XLON 15 580 46.29 XLON 15 163 46.29 XLON 15 556 46.30 XLON 15 533 46.30 CHIX 15 295 46.29 XLON 15 499 46.29 AQXE 15 150 46.29 XLON 15 219 46.29 XLON 15 71 46.29 XLON 15 40 46.29 XLON 15 161 46.29 XLON 15 200 46.29 XLON 15 199 46.29 XLON 15 261 46.27 XLON 15 44 46.28 CHIX 15 52 46.28 CHIX 15 146 46.28 CHIX 15 436 46.27 AQXE 15 71 46.28 TRQX 15 173 46.28 TRQX 15 157 46.28 XLON 15 244 46.28 XLON 15 192 46.28 AQXE 15 189 46.29 XLON 15 224 46.29 XLON 15 191 46.29 AQXE 15 186 46.29 XLON 15 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 38/46 196 46.28 XLON 15 402 46.28 XLON 15 373 46.28 CHIX 15 276 46.27 XLON 16 198 46.27 AQXE 16 715 46.27 XLON 16 213 46.28 XLON 16 205 46.28 XLON 16 68 46.28 XLON 16 240 46.28 XLON 16 363 46.28 XLON 16 46 46.28 CHIX 16 69 46.28 CHIX 16 169 46.28 CHIX 16 50 46.28 XLON 16 41 46.28 XLON 16 37 46.28 XLON 16 118 46.28 XLON 16 500 46.28 XLON 16 40 46.28 XLON 16 30 46.28 XLON 16 24 46.28 XLON 16 18 46.28 XLON 16 61 46.29 XLON 16 253 46.29 TRQX 16 697 46.29 XLON 16 658 46.29 XLON 16 108 46.29 XLON 16 252 46.29 XLON 16 215 46.29 CHIX 16 139 46.29 CHIX 16 201 46.29 CHIX 16 160 46.29 CHIX 16 193 46.29 CHIX 16 64 46.29 XLON 16 537 46.29 XLON 16 215 46.29 CHIX 16 40 46.29 CHIX 16 547 46.29 XLON 16 392 46.29 XLON 16 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 39/46 215 46.29 CHIX 16 122 46.29 CHIX 16 603 46.29 XLON 16 254 46.28 TRQX 16 645 46.28 CHIX 16 276 46.28 AQXE 16 629 46.29 XLON 16 70 46.29 XLON 16 472 46.29 XLON 16 450 46.29 CHIX 16 326 46.29 AQXE 16 38 46.29 XLON 16 306 46.29 XLON 16 443 46.30 CHIX 16 41 46.30 AQXE 16 658 46.30 XLON 16 658 46.30 XLON 16 326 46.30 XLON 16 25 46.30 AQXE 16 190 46.30 XLON 16 260 46.30 AQXE 16 25 46.29 XLON 16 631 46.29 XLON 16 347 46.28 CHIX 16 207 46.28 AQXE 16 249 46.27 TRQX 16 427 46.27 XLON 16 240 46.27 XLON 16 104 46.27 XLON 16 7 46.27 XLON 16 190 46.27 XLON 16 215 46.27 XLON 16 206 46.27 XLON 16 63 46.27 XLON 16 160 46.27 XLON 16 360 46.27 XLON 16 215 46.27 XLON 16 323 46.27 XLON 16 102 46.27 XLON 16 15 46.27 XLON 16 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 40/46


 
193 46.27 CHIX 16 628 46.30 XLON 16 240 46.30 XLON 16 27 46.30 XLON 16 147 46.30 XLON 16 318 46.30 XLON 16 648 46.30 CHIX 16 240 46.29 TRQX 16 741 46.29 XLON 16 153 46.29 XLON 16 203 46.29 XLON 16 229 46.29 XLON 16 215 46.29 CHIX 16 106 46.29 CHIX 16 291 46.28 AQXE 16 40 46.29 XLON 16 222 46.29 XLON 16 240 46.29 XLON 16 170 46.29 XLON 16 79 46.29 CHIX 16 19 46.29 CHIX 16 171 46.29 CHIX 16 56 46.30 CHIX 16 16 46.30 CHIX 16 16 46.30 CHIX 16 203 46.30 CHIX 16 58 46.30 XLON 16 658 46.30 XLON 16 219 46.30 XLON 16 315 46.30 CHIX 16 184 46.30 XLON 16 6 46.30 XLON 16 192 46.30 XLON 16 150 46.30 AQXE 16 158 46.30 AQXE 16 17 46.30 TRQX 16 104 46.30 TRQX 16 173 46.30 XLON 16 190 46.30 XLON 16 45 46.30 CHIX 16 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 41/46 360 46.30 CHIX 16 270 46.30 CHIX 16 181 46.30 XLON 16 9 46.30 XLON 16 167 46.30 XLON 16 23 46.30 XLON 16 287 46.30 CHIX 16 174 46.30 XLON 16 218 46.30 CHIX 16 188 46.30 XLON 16 2 46.30 XLON 16 74 46.30 XLON 16 190 46.30 XLON 16 3 46.30 CHIX 16 253 46.30 CHIX 16 195 46.31 XLON 16 671 46.31 XLON 16 355 46.31 CHIX 16 87 46.31 AQXE 16 329 46.31 AQXE 16 201 46.31 XLON 16 212 46.31 XLON 16 139 46.31 XLON 16 153 46.31 XLON 16 49 46.31 XLON 16 101 46.31 XLON 16 217 46.32 XLON 16 367 46.32 TRQX 16 658 46.32 XLON 16 205 46.32 XLON 16 79 46.32 XLON 16 210 46.32 XLON 16 213 46.32 XLON 16 312 46.32 AQXE 16 103 46.32 AQXE 16 213 46.32 XLON 16 64 46.32 XLON 16 268 46.34 AQXE 16 306 46.34 AQXE 16 3 46.34 AQXE 16 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 42/46 16 46.34 AQXE 16 9 46.34 AQXE 16 253 46.34 XLON 16 658 46.34 XLON 16 252 46.34 XLON 16 162 46.34 XLON 16 1,404 46.34 XLON 16 11 46.34 CHIX 16 23 46.34 CHIX 16 252 46.34 CHIX 16 252 46.34 CHIX 16 77 46.34 CHIX 16 210 46.34 XLON 16 658 46.34 XLON 16 536 46.34 XLON 16 263 46.34 XLON 16 67 46.34 CHIX 16 252 46.34 CHIX 16 226 46.34 CHIX 16 258 46.34 XLON 16 642 46.33 XLON 16 228 46.33 CHIX 16 271 46.33 AQXE 16 1 46.33 AQXE 16 114 46.33 AQXE 16 23 46.31 TRQX 16 181 46.32 XLON 16 249 46.33 AQXE 16 212 46.33 TRQX 16 711 46.33 XLON 16 469 46.33 CHIX 16 252 46.33 CHIX 16 226 46.33 CHIX 16 242 46.33 AQXE 16 994 46.32 XLON 16 198 46.32 XLON 16 205 46.32 XLON 16 99 46.32 XLON 16 240 46.32 XLON 16 360 46.32 CHIX 16 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 43/46 273 46.32 XLON 16 250 46.32 XLON 16 200 46.32 XLON 16 207 46.32 XLON 16 474 46.32 XLON 16 40 46.32 XLON 16 457 46.32 XLON 16 184 46.33 AQXE 16 53 46.33 AQXE 16 285 46.32 XLON 16 219 46.32 XLON 16 94 46.32 XLON 16 252 46.32 CHIX 16 214 46.31 TRQX 16 465 46.32 XLON 16 271 46.31 XLON 16 226 46.32 CHIX 16 355 46.31 CHIX 16 313 46.31 AQXE 16 258 46.31 XLON 16 200 46.31 CHIX 16 263 46.31 XLON 16 65 46.31 XLON 16 140 46.31 XLON 16 351 46.31 XLON 16 45 46.31 XLON 16 263 46.31 XLON 16 316 46.31 XLON 16 90 46.31 XLON 16 183 46.31 XLON 16 229 46.31 CHIX 16 286 46.32 AQXE 16 330 46.32 AQXE 16 245 46.31 TRQX 16 247 46.31 XLON 16 211 46.31 CHIX 16 252 46.31 CHIX 16 108 46.31 CHIX 16 103 46.31 CHIX 16 239 46.31 AQXE 16 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 44/46


 
207 46.29 XLON 16 29 46.31 XLON 16 9 46.31 XLON 16 216 46.31 XLON 16 469 46.31 XLON 16 252 46.31 CHIX 16 160 46.31 CHIX 16 140 46.31 CHIX 16 406 46.31 XLON 16 345 46.31 XLON 16 115 46.31 XLON 16 658 46.31 XLON 16 209 46.31 XLON 16 258 46.31 XLON 16 164 46.31 XLON 16 252 46.31 CHIX 16 226 46.31 CHIX 16 262 46.31 XLON 16 344 46.31 XLON 16 81 46.32 AQXE 16 162 46.32 AQXE 16 15 46.32 AQXE 16 156 46.33 AQXE 16 114 46.33 AQXE 16 279 46.33 XLON 16 40 46.33 XLON 16 339 46.33 XLON 16 658 46.33 XLON 16 252 46.33 CHIX 16 252 46.33 CHIX 16 658 46.33 XLON 16 252 46.33 XLON 16 11 46.33 XLON 16 252 46.33 XLON 16 658 46.33 XLON 16 207 46.33 XLON 16 226 46.33 CHIX 16 40 46.33 XLON 16 642 46.33 XLON 16 3 46.33 XLON 16 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 45/46 448 46.33 XLON 16 310 46.32 AQXE 16 491 46.32 TRQX 16 53 46.33 AQXE 16 Media Enquires: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved. 21/05/2025, 15:58 Transaction in Own Shares - 07:00:04 19 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17041823 46/46


 
EX-99.16 17 a9916-transactioninownsh.htm EX-99.16 a9916-transactioninownsh
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:09 20 May 2025 RNS Number : 3037J Unilever PLC 20 May 2025 TRANSACTIONS IN OWN SECURITIES 20 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following nu ordinary shares on the London Stock Exchange from Goldman Sachs International ("th The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 19 May 2025 Number of ordinary shares purchased: 178,000 Highest price paid per share: GBP 46.5400 Lowest price paid per share: GBP 46.1300 21/05/2025, 15:59 Transaction in Own Shares - 07:00:09 20 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17044236 1/17 Volume weighted average price paid per share: GBP 46.3834 Such purchases form part of the Company's existing share buy-back programme and we pursuant to the instructions issued to the Broker by the Company on 13 February 2025, on that date. Following the purchase of these shares, Unilever holds 69,544,502 of its ordinary share and has 2,499,003,317 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volume LSE 46.3834 178,000 BATS 0.0000 0 Chi-X 0.0000 0 Turquoise 0.0000 0 Aquis 0.0000 0 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the U Market Abuse Regulation), a full breakdown of the individual trades made by the Broke the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Tim 515 46.18 XLON 10 316 46.18 XLON 10 138 46.18 XLON 10 710 46.16 XLON 10 783 46.19 XLON 10 742 46.21 XLON 10 374 46.21 XLON 10 375 46.21 XLON 10 323 46.21 XLON 10 425 46.21 XLON 10 123 46.21 XLON 10 740 46.23 XLON 10 656 46.21 XLON 10 350 46.21 XLON 10 403 46.21 XLON 10 741 46.21 XLON 10 21/05/2025, 15:59 Transaction in Own Shares - 07:00:09 20 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17044236 2/17 734 46.21 XLON 10 108 46.19 XLON 11 646 46.19 XLON 11 123 46.18 XLON 11 621 46.18 XLON 11 788 46.18 XLON 11 742 46.18 XLON 11 757 46.20 XLON 11 623 46.20 XLON 11 770 46.18 XLON 11 167 46.16 XLON 11 618 46.16 XLON 11 129 46.15 XLON 11 258 46.15 XLON 11 220 46.13 XLON 11 736 46.16 XLON 11 51 46.14 XLON 11 132 46.18 XLON 11 320 46.18 XLON 11 168 46.18 XLON 11 765 46.18 XLON 11 146 46.18 XLON 11 604 46.18 XLON 11 104 46.16 XLON 11 108 46.21 XLON 11 204 46.22 XLON 11 125 46.23 XLON 11 157 46.23 XLON 11 159 46.24 XLON 11 142 46.24 XLON 11 194 46.24 XLON 11 111 46.23 XLON 11 86 46.23 XLON 11 132 46.24 XLON 11 128 46.24 XLON 11 15 46.24 XLON 11 109 46.25 XLON 11 110 46.25 XLON 11 105 46.25 XLON 11 138 46.25 XLON 11 21/05/2025, 15:59 Transaction in Own Shares - 07:00:09 20 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17044236 3/17 32 46.25 XLON 11 127 46.25 XLON 11 15 46.26 XLON 11 15 46.26 XLON 11 152 46.25 XLON 11 105 46.25 XLON 11 138 46.25 XLON 11 228 46.25 XLON 11 15 46.25 XLON 11 19 46.25 XLON 11 788 46.24 XLON 11 746 46.24 XLON 11 740 46.24 XLON 12 123 46.27 XLON 12 132 46.28 XLON 12 135 46.28 XLON 12 31 46.28 XLON 12 23 46.28 XLON 12 143 46.28 XLON 12 125 46.28 XLON 12 547 46.28 XLON 12 76 46.28 XLON 12 238 46.27 XLON 12 490 46.27 XLON 12 300 46.28 XLON 12 486 46.28 XLON 12 591 46.28 XLON 12 282 46.28 XLON 12 489 46.31 XLON 12 308 46.35 XLON 12 424 46.35 XLON 12 754 46.33 XLON 12 200 46.35 XLON 12 568 46.35 XLON 12 156 46.33 XLON 12 52 46.33 XLON 12 347 46.33 XLON 12 190 46.33 XLON 12 243 46.31 XLON 12 158 46.30 XLON 12 21/05/2025, 15:59 Transaction in Own Shares - 07:00:09 20 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17044236 4/17


 
24 46.31 XLON 12 59 46.31 XLON 12 70 46.31 XLON 12 187 46.31 XLON 12 97 46.31 XLON 12 89 46.31 XLON 12 141 46.31 XLON 12 89 46.31 XLON 12 156 46.30 XLON 12 302 46.30 XLON 12 127 46.30 XLON 12 783 46.32 XLON 12 90 46.30 XLON 12 527 46.30 XLON 12 116 46.30 XLON 12 75 46.34 XLON 12 95 46.34 XLON 12 173 46.36 XLON 12 195 46.36 XLON 12 170 46.36 XLON 12 738 46.36 XLON 12 323 46.36 XLON 13 422 46.36 XLON 13 94 46.34 XLON 13 410 46.35 XLON 13 230 46.35 XLON 13 102 46.35 XLON 13 152 46.35 XLON 13 100 46.35 XLON 13 648 46.34 XLON 13 119 46.34 XLON 13 133 46.34 XLON 13 93 46.34 XLON 13 135 46.35 XLON 13 137 46.35 XLON 13 162 46.35 XLON 13 410 46.35 XLON 13 131 46.35 XLON 13 161 46.35 XLON 13 80 46.35 XLON 13 21/05/2025, 15:59 Transaction in Own Shares - 07:00:09 20 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17044236 5/17 731 46.34 XLON 13 45 46.32 XLON 13 93 46.33 XLON 13 136 46.33 XLON 13 400 46.33 XLON 13 226 46.32 XLON 13 181 46.32 XLON 13 104 46.32 XLON 13 229 46.32 XLON 13 781 46.31 XLON 13 406 46.31 XLON 13 94 46.31 XLON 13 272 46.31 XLON 13 65 46.31 XLON 13 107 46.31 XLON 13 123 46.31 XLON 13 323 46.31 XLON 13 414 46.31 XLON 13 738 46.31 XLON 13 230 46.31 XLON 13 410 46.31 XLON 13 96 46.31 XLON 13 152 46.31 XLON 13 237 46.31 XLON 13 200 46.31 XLON 13 725 46.31 XLON 13 46 46.31 XLON 13 429 46.30 XLON 13 75 46.30 XLON 13 766 46.29 XLON 13 1 46.27 XLON 13 1 46.27 XLON 13 1 46.27 XLON 13 1 46.27 XLON 13 774 46.27 XLON 13 152 46.25 XLON 13 615 46.25 XLON 13 728 46.23 XLON 13 102 46.22 XLON 13 285 46.22 XLON 13 21/05/2025, 15:59 Transaction in Own Shares - 07:00:09 20 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17044236 6/17 203 46.22 XLON 13 50 46.22 XLON 13 447 46.23 XLON 13 94 46.24 XLON 13 633 46.24 XLON 13 67 46.22 XLON 13 777 46.24 XLON 13 77 46.27 XLON 14 668 46.27 XLON 14 233 46.25 XLON 14 513 46.25 XLON 14 30 46.25 XLON 14 749 46.25 XLON 14 320 46.26 XLON 14 454 46.26 XLON 14 94 46.26 XLON 14 44 46.26 XLON 14 770 46.28 XLON 14 783 46.28 XLON 14 44 46.26 XLON 14 590 46.26 XLON 14 31 46.27 XLON 14 274 46.27 XLON 14 734 46.34 XLON 14 138 46.36 XLON 14 166 46.36 XLON 14 141 46.36 XLON 14 124 46.36 XLON 14 147 46.36 XLON 14 194 46.36 XLON 14 117 46.36 XLON 14 165 46.39 XLON 14 15 46.39 XLON 14 513 46.39 XLON 14 191 46.39 XLON 14 160 46.39 XLON 14 185 46.39 XLON 14 500 46.38 XLON 14 254 46.38 XLON 14 752 46.36 XLON 14 21/05/2025, 15:59 Transaction in Own Shares - 07:00:09 20 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17044236 7/17 736 46.36 XLON 14 644 46.42 XLON 14 99 46.42 XLON 14 169 46.41 XLON 14 513 46.41 XLON 14 104 46.41 XLON 14 748 46.42 XLON 14 513 46.43 XLON 14 156 46.43 XLON 14 49 46.46 XLON 14 513 46.45 XLON 14 300 46.45 XLON 14 196 46.46 XLON 14 450 46.46 XLON 14 759 46.44 XLON 14 115 46.42 XLON 14 621 46.42 XLON 14 114 46.40 XLON 14 618 46.40 XLON 14 352 46.42 XLON 14 531 46.41 XLON 14 225 46.41 XLON 14 768 46.39 XLON 14 767 46.40 XLON 14 781 46.39 XLON 14 215 46.38 XLON 14 179 46.38 XLON 14 181 46.38 XLON 14 173 46.38 XLON 14 193 46.38 XLON 14 155 46.38 XLON 14 731 46.37 XLON 14 737 46.37 XLON 14 196 46.37 XLON 14 100 46.37 XLON 14 9 46.37 XLON 14 737 46.39 XLON 14 430 46.39 XLON 14 195 46.39 XLON 14 176 46.39 XLON 14 21/05/2025, 15:59 Transaction in Own Shares - 07:00:09 20 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17044236 8/17


 
8 46.39 XLON 14 115 46.37 XLON 14 636 46.37 XLON 14 197 46.39 XLON 14 540 46.39 XLON 14 198 46.40 XLON 14 151 46.40 XLON 14 178 46.40 XLON 14 103 46.40 XLON 14 513 46.40 XLON 14 191 46.40 XLON 14 192 46.40 XLON 14 166 46.40 XLON 14 116 46.40 XLON 14 663 46.39 XLON 14 125 46.39 XLON 14 323 46.39 XLON 14 427 46.39 XLON 14 222 46.38 XLON 14 95 46.38 XLON 14 180 46.38 XLON 14 513 46.38 XLON 14 168 46.38 XLON 14 215 46.38 XLON 14 771 46.37 XLON 14 270 46.38 XLON 14 550 46.38 XLON 14 642 46.38 XLON 14 176 46.38 XLON 14 323 46.37 XLON 14 320 46.37 XLON 14 105 46.37 XLON 14 144 46.38 XLON 14 195 46.38 XLON 14 179 46.39 XLON 14 197 46.39 XLON 14 191 46.39 XLON 14 135 46.39 XLON 14 181 46.39 XLON 14 172 46.39 XLON 14 21/05/2025, 15:59 Transaction in Own Shares - 07:00:09 20 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17044236 9/17 115 46.39 XLON 14 185 46.39 XLON 14 411 46.39 XLON 14 125 46.39 XLON 14 93 46.39 XLON 14 137 46.39 XLON 14 517 46.39 XLON 14 775 46.42 XLON 14 577 46.42 XLON 14 184 46.42 XLON 14 68 46.42 XLON 14 157 46.44 XLON 14 198 46.44 XLON 14 164 46.44 XLON 14 172 46.44 XLON 14 773 46.46 XLON 15 650 46.47 XLON 15 249 46.47 XLON 15 96 46.47 XLON 15 252 46.47 XLON 15 760 46.46 XLON 15 188 46.47 XLON 15 181 46.47 XLON 15 197 46.47 XLON 15 115 46.47 XLON 15 772 46.46 XLON 15 729 46.44 XLON 15 770 46.42 XLON 15 320 46.44 XLON 15 416 46.44 XLON 15 3 46.44 XLON 15 577 46.45 XLON 15 208 46.48 XLON 15 531 46.48 XLON 15 751 46.46 XLON 15 320 46.47 XLON 15 418 46.47 XLON 15 784 46.46 XLON 15 774 46.47 XLON 15 490 46.46 XLON 15 21/05/2025, 15:59 Transaction in Own Shares - 07:00:09 20 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17044236 10/17 697 46.44 XLON 15 643 46.42 XLON 15 34 46.42 XLON 15 134 46.41 XLON 15 582 46.41 XLON 15 768 46.39 XLON 15 269 46.41 XLON 15 143 46.41 XLON 15 646 46.42 XLON 15 84 46.42 XLON 15 323 46.40 XLON 15 183 46.40 XLON 15 183 46.40 XLON 15 55 46.40 XLON 15 664 46.42 XLON 15 99 46.42 XLON 15 216 46.41 XLON 15 198 46.41 XLON 15 203 46.41 XLON 15 95 46.41 XLON 15 156 46.42 XLON 15 245 46.42 XLON 15 226 46.42 XLON 15 253 46.42 XLON 15 765 46.44 XLON 15 390 46.44 XLON 15 384 46.44 XLON 15 642 46.43 XLON 15 788 46.42 XLON 15 755 46.44 XLON 15 181 46.45 XLON 15 199 46.45 XLON 15 751 46.44 XLON 15 198 46.49 XLON 15 802 46.50 XLON 15 644 46.50 XLON 15 13 46.50 XLON 15 326 46.49 XLON 15 151 46.49 XLON 15 752 46.48 XLON 15 21/05/2025, 15:59 Transaction in Own Shares - 07:00:09 20 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17044236 11/17 786 46.48 XLON 15 754 46.48 XLON 15 736 46.48 XLON 15 99 46.46 XLON 15 174 46.46 XLON 15 479 46.46 XLON 15 748 46.45 XLON 15 734 46.43 XLON 15 737 46.42 XLON 15 779 46.40 XLON 15 33 46.40 XLON 15 740 46.40 XLON 15 715 46.43 XLON 15 152 46.43 XLON 15 26 46.44 XLON 15 211 46.44 XLON 15 372 46.44 XLON 15 23 46.44 XLON 15 741 46.44 XLON 15 403 46.45 XLON 15 636 46.45 XLON 15 413 46.45 XLON 15 740 46.44 XLON 15 752 46.44 XLON 15 336 46.44 XLON 15 802 46.45 XLON 15 222 46.45 XLON 15 104 46.44 XLON 15 104 46.44 XLON 15 200 46.44 XLON 15 320 46.44 XLON 15 22 46.44 XLON 15 202 46.45 XLON 15 362 46.45 XLON 15 707 46.44 XLON 15 199 46.45 XLON 15 259 46.45 XLON 15 782 46.44 XLON 15 186 46.45 XLON 15 11 46.45 XLON 15 21/05/2025, 15:59 Transaction in Own Shares - 07:00:09 20 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17044236 12/17


 
191 46.45 XLON 15 197 46.45 XLON 15 588 46.45 XLON 15 729 46.44 XLON 15 673 46.46 XLON 15 63 46.46 XLON 15 321 46.44 XLON 15 431 46.44 XLON 15 180 46.47 XLON 15 193 46.47 XLON 15 199 46.47 XLON 15 175 46.47 XLON 15 172 46.47 XLON 15 60 46.47 XLON 15 141 46.45 XLON 15 628 46.45 XLON 15 38 46.43 XLON 15 62 46.43 XLON 15 83 46.43 XLON 15 307 46.43 XLON 15 246 46.43 XLON 16 306 46.43 XLON 16 323 46.43 XLON 16 311 46.43 XLON 16 182 46.43 XLON 16 174 46.43 XLON 16 189 46.43 XLON 16 10 46.43 XLON 16 15 46.42 XLON 16 740 46.42 XLON 16 695 46.42 XLON 16 778 46.40 XLON 16 500 46.39 XLON 16 408 46.41 XLON 16 157 46.41 XLON 16 408 46.41 XLON 16 134 46.41 XLON 16 470 46.41 XLON 16 757 46.41 XLON 16 259 46.43 XLON 16 21/05/2025, 15:59 Transaction in Own Shares - 07:00:09 20 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17044236 13/17 235 46.42 XLON 16 487 46.42 XLON 16 270 46.44 XLON 16 214 46.44 XLON 16 802 46.44 XLON 16 169 46.44 XLON 16 655 46.44 XLON 16 239 46.44 XLON 16 170 46.44 XLON 16 171 46.44 XLON 16 167 46.44 XLON 16 7 46.44 XLON 16 209 46.44 XLON 16 225 46.44 XLON 16 802 46.47 XLON 16 195 46.47 XLON 16 195 46.47 XLON 16 167 46.47 XLON 16 100 46.47 XLON 16 169 46.47 XLON 16 199 46.47 XLON 16 189 46.47 XLON 16 169 46.47 XLON 16 91 46.48 XLON 16 301 46.48 XLON 16 468 46.47 XLON 16 802 46.48 XLON 16 802 46.48 XLON 16 134 46.48 XLON 16 437 46.48 XLON 16 398 46.49 XLON 16 399 46.50 XLON 16 500 46.50 XLON 16 142 46.50 XLON 16 32 46.51 XLON 16 521 46.51 XLON 16 586 46.51 XLON 16 523 46.53 XLON 16 313 46.53 XLON 16 217 46.53 XLON 16 21/05/2025, 15:59 Transaction in Own Shares - 07:00:09 20 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17044236 14/17 287 46.53 XLON 16 217 46.53 XLON 16 61 46.53 XLON 16 200 46.53 XLON 16 279 46.53 XLON 16 484 46.53 XLON 16 314 46.53 XLON 16 343 46.53 XLON 16 450 46.53 XLON 16 535 46.53 XLON 16 343 46.52 XLON 16 387 46.52 XLON 16 335 46.52 XLON 16 113 46.52 XLON 16 288 46.52 XLON 16 364 46.52 XLON 16 337 46.52 XLON 16 309 46.52 XLON 16 108 46.51 XLON 16 1,004 46.53 XLON 16 240 46.53 XLON 16 206 46.53 XLON 16 1,004 46.53 XLON 16 240 46.53 XLON 16 180 46.53 XLON 16 404 46.53 XLON 16 715 46.53 XLON 16 326 46.53 XLON 16 285 46.53 XLON 16 326 46.54 XLON 16 240 46.54 XLON 16 1,004 46.54 XLON 16 215 46.54 XLON 16 329 46.54 XLON 16 110 46.54 XLON 16 192 46.54 XLON 16 240 46.54 XLON 16 165 46.54 XLON 16 165 46.54 XLON 16 247 46.54 XLON 16 21/05/2025, 15:59 Transaction in Own Shares - 07:00:09 20 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17044236 15/17 11 46.54 XLON 16 330 46.54 XLON 16 204 46.54 XLON 16 471 46.54 XLON 16 310 46.54 XLON 16 348 46.54 XLON 16 212 46.54 XLON 16 217 46.54 XLON 16 204 46.54 XLON 16 136 46.54 XLON 16 212 46.53 XLON 16 388 46.52 XLON 16 47 46.53 XLON 16 Media Enquires: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. 21/05/2025, 15:59 Transaction in Own Shares - 07:00:09 20 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17044236 16/17


 
© 2025 London Stock Exchange plc. All rights reserved. 21/05/2025, 15:59 Transaction in Own Shares - 07:00:09 20 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17044236 17/17


 
EX-99.17 18 a9917-transactioninownsh.htm EX-99.17 a9917-transactioninownsh
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:07 21 May 2025 RNS Number : 4938J Unilever PLC 21 May 2025 TRANSACTIONS IN OWN SECURITIES 21 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following nu ordinary shares on the London Stock Exchange from Goldman Sachs International ("th The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 20 May 2025 Number of ordinary shares purchased: 230,000 Highest price paid per share: GBP 47.3200 Lowest price paid per share: GBP 46.7700 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 1/19 Volume weighted average price paid per share: GBP 47.0484 Such purchases form part of the Company's existing share buy-back programme and we pursuant to the instructions issued to the Broker by the Company on 13 February 2025, on that date. Following the purchase of these shares, Unilever holds 69,774,502 of its ordinary share and has 2,498,773,317 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volume LSE 47.0484 230,000 BATS 0.0000 0 Chi-X 0.0000 0 Turquoise 0.0000 0 Aquis 0.0000 0 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the U Market Abuse Regulation), a full breakdown of the individual trades made by the Broke the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Tim 343 46.82 XLON 09 286 46.82 XLON 09 210 46.84 XLON 09 791 46.84 XLON 09 323 46.84 XLON 09 439 46.84 XLON 09 768 46.86 XLON 09 790 46.88 XLON 09 786 46.89 XLON 09 357 46.89 XLON 09 399 46.89 XLON 09 749 46.93 XLON 09 728 46.91 XLON 09 446 46.89 XLON 09 31 46.90 XLON 09 509 46.90 XLON 09 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 2/19 323 46.90 XLON 09 103 46.90 XLON 09 21 46.91 XLON 09 350 46.91 XLON 09 22 46.91 XLON 09 265 46.90 XLON 09 544 46.88 XLON 09 116 46.88 XLON 09 785 46.86 XLON 09 254 46.86 XLON 09 312 46.86 XLON 09 704 46.88 XLON 09 504 46.86 XLON 09 597 46.89 XLON 09 474 46.87 XLON 09 209 46.84 XLON 09 731 46.84 XLON 09 15 46.84 XLON 09 442 46.86 XLON 10 320 46.86 XLON 10 779 46.88 XLON 10 690 46.90 XLON 10 79 46.90 XLON 10 28 46.92 XLON 10 731 46.92 XLON 10 149 46.90 XLON 10 278 46.90 XLON 10 216 46.90 XLON 10 765 46.88 XLON 10 338 46.89 XLON 10 237 46.88 XLON 10 520 46.88 XLON 10 484 46.88 XLON 10 698 46.92 XLON 10 642 46.90 XLON 10 618 46.92 XLON 10 627 46.90 XLON 10 164 46.89 XLON 10 102 46.89 XLON 10 158 46.89 XLON 10 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 3/19 144 46.89 XLON 10 214 46.89 XLON 10 277 46.89 XLON 10 32 46.88 XLON 10 482 46.88 XLON 10 41 46.87 XLON 10 323 46.87 XLON 10 385 46.87 XLON 10 191 46.89 XLON 10 588 46.89 XLON 10 424 46.88 XLON 10 753 46.87 XLON 10 756 46.87 XLON 10 99 46.85 XLON 10 156 46.85 XLON 10 372 46.83 XLON 10 361 46.83 XLON 10 7 46.83 XLON 10 772 46.82 XLON 10 766 46.82 XLON 11 662 46.80 XLON 11 125 46.80 XLON 11 83 46.81 XLON 11 540 46.81 XLON 11 304 46.81 XLON 11 237 46.81 XLON 11 185 46.81 XLON 11 412 46.81 XLON 11 608 46.83 XLON 11 27 46.81 XLON 11 629 46.83 XLON 11 129 46.83 XLON 11 783 46.83 XLON 11 775 46.83 XLON 11 229 46.81 XLON 11 345 46.81 XLON 11 101 46.81 XLON 11 414 46.81 XLON 11 732 46.80 XLON 11 777 46.78 XLON 11 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 4/19


 
323 46.77 XLON 11 429 46.77 XLON 11 315 46.79 XLON 11 768 46.80 XLON 11 139 46.81 XLON 11 665 46.82 XLON 11 102 46.82 XLON 11 736 46.80 XLON 11 743 46.82 XLON 11 654 46.83 XLON 11 119 46.83 XLON 11 743 46.82 XLON 11 759 46.84 XLON 11 122 46.84 XLON 11 524 46.84 XLON 11 612 46.86 XLON 11 566 46.86 XLON 11 316 46.86 XLON 11 301 46.86 XLON 11 210 46.86 XLON 11 198 46.86 XLON 11 294 46.86 XLON 11 229 46.84 XLON 11 262 46.85 XLON 11 212 46.82 XLON 12 292 46.83 XLON 12 312 46.81 XLON 12 516 46.84 XLON 12 365 46.82 XLON 12 1 46.82 XLON 12 734 46.81 XLON 12 272 46.79 XLON 12 48 46.80 XLON 12 242 46.80 XLON 12 54 46.80 XLON 12 431 46.80 XLON 12 98 46.83 XLON 12 779 46.84 XLON 12 442 46.84 XLON 12 154 46.84 XLON 12 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 5/19 142 46.84 XLON 12 145 46.84 XLON 12 34 46.84 XLON 12 707 46.84 XLON 12 750 46.84 XLON 12 210 46.84 XLON 12 32 46.84 XLON 12 76 46.84 XLON 12 344 46.84 XLON 12 94 46.84 XLON 12 210 46.84 XLON 12 41 46.84 XLON 12 414 46.84 XLON 12 784 46.86 XLON 12 246 46.84 XLON 12 505 46.84 XLON 12 783 46.82 XLON 12 734 46.82 XLON 12 2 46.82 XLON 12 553 46.85 XLON 13 175 46.85 XLON 13 155 46.85 XLON 13 43 46.85 XLON 13 735 46.87 XLON 13 197 46.87 XLON 13 760 46.87 XLON 13 786 46.87 XLON 13 18 46.85 XLON 13 4 46.85 XLON 13 2 46.85 XLON 13 758 46.85 XLON 13 770 46.85 XLON 13 646 46.87 XLON 13 130 46.87 XLON 13 779 46.87 XLON 13 92 46.85 XLON 13 641 46.85 XLON 13 756 46.87 XLON 13 746 46.87 XLON 13 752 46.85 XLON 13 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 6/19 789 46.83 XLON 13 743 46.84 XLON 13 603 46.83 XLON 13 107 46.83 XLON 13 343 46.83 XLON 13 680 46.85 XLON 13 71 46.85 XLON 13 153 46.87 XLON 13 45 46.87 XLON 13 223 46.86 XLON 13 527 46.86 XLON 13 154 46.89 XLON 13 157 46.89 XLON 13 519 46.89 XLON 13 164 46.89 XLON 13 34 46.89 XLON 13 305 46.89 XLON 13 792 46.90 XLON 13 787 46.88 XLON 13 741 46.86 XLON 13 408 46.85 XLON 13 350 46.85 XLON 13 611 46.85 XLON 13 761 46.90 XLON 13 791 46.92 XLON 13 367 46.95 XLON 13 169 46.95 XLON 13 649 46.99 XLON 14 230 46.99 XLON 14 155 46.99 XLON 14 220 46.99 XLON 14 774 46.98 XLON 14 246 46.99 XLON 14 406 46.99 XLON 14 323 46.99 XLON 14 439 46.99 XLON 14 766 46.98 XLON 14 735 46.98 XLON 14 790 46.98 XLON 14 160 46.96 XLON 14 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 7/19 600 46.96 XLON 14 737 46.96 XLON 14 524 47.00 XLON 14 12 47.00 XLON 14 157 47.00 XLON 14 487 47.00 XLON 14 700 47.00 XLON 14 103 47.03 XLON 14 763 47.03 XLON 14 487 47.02 XLON 14 95 47.02 XLON 14 773 47.01 XLON 14 487 47.04 XLON 14 215 47.04 XLON 14 155 47.04 XLON 14 94 47.03 XLON 14 313 47.03 XLON 14 371 47.03 XLON 14 109 47.03 XLON 14 149 47.03 XLON 14 520 47.03 XLON 14 370 47.01 XLON 14 379 47.01 XLON 14 661 47.03 XLON 14 640 47.03 XLON 14 467 47.03 XLON 14 553 47.05 XLON 14 6 47.05 XLON 14 48 47.05 XLON 14 350 47.05 XLON 14 131 47.05 XLON 14 694 47.06 XLON 14 58 47.05 XLON 14 200 47.05 XLON 14 323 47.05 XLON 14 10 47.05 XLON 14 281 47.03 XLON 14 41 47.02 XLON 14 200 47.02 XLON 14 487 47.02 XLON 14 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 8/19


 
756 47.05 XLON 14 155 47.05 XLON 14 422 47.05 XLON 14 206 47.05 XLON 14 6 47.05 XLON 14 755 47.05 XLON 14 754 47.07 XLON 14 287 47.06 XLON 14 42 47.05 XLON 14 746 47.05 XLON 14 323 47.08 XLON 14 159 47.08 XLON 14 235 47.08 XLON 14 27 47.08 XLON 14 201 47.08 XLON 14 99 47.08 XLON 14 233 47.08 XLON 14 191 47.08 XLON 14 241 47.08 XLON 14 371 47.08 XLON 14 4 47.11 XLON 14 159 47.11 XLON 14 241 47.11 XLON 14 197 47.11 XLON 14 184 47.11 XLON 14 14 47.11 XLON 14 438 47.11 XLON 14 198 47.11 XLON 14 202 47.11 XLON 14 250 47.11 XLON 14 188 47.11 XLON 14 610 47.12 XLON 14 250 47.12 XLON 14 189 47.12 XLON 14 610 47.12 XLON 14 126 47.12 XLON 14 255 47.11 XLON 14 479 47.11 XLON 14 264 47.12 XLON 14 268 47.12 XLON 14 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 9/19 200 47.12 XLON 14 450 47.12 XLON 14 763 47.11 XLON 14 250 47.10 XLON 14 414 47.10 XLON 14 263 47.10 XLON 14 610 47.10 XLON 14 339 47.10 XLON 14 567 47.11 XLON 14 173 47.12 XLON 14 25 47.12 XLON 14 610 47.12 XLON 14 240 47.12 XLON 14 152 47.12 XLON 14 381 47.12 XLON 14 742 47.11 XLON 14 743 47.11 XLON 14 99 47.09 XLON 14 679 47.09 XLON 14 663 47.10 XLON 14 78 47.10 XLON 14 610 47.10 XLON 14 101 47.10 XLON 14 410 47.12 XLON 14 50 47.12 XLON 14 710 47.13 XLON 14 198 47.17 XLON 14 549 47.17 XLON 14 340 47.16 XLON 14 323 47.16 XLON 14 126 47.16 XLON 14 781 47.14 XLON 14 199 47.16 XLON 14 367 47.16 XLON 14 782 47.15 XLON 14 55 47.16 XLON 14 459 47.16 XLON 14 917 47.17 XLON 14 408 47.18 XLON 14 332 47.18 XLON 14 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 10/19 739 47.18 XLON 14 382 47.21 XLON 14 610 47.21 XLON 14 230 47.21 XLON 14 200 47.21 XLON 14 610 47.21 XLON 15 548 47.20 XLON 15 70 47.20 XLON 15 142 47.20 XLON 15 784 47.20 XLON 15 158 47.20 XLON 15 597 47.20 XLON 15 766 47.22 XLON 15 610 47.25 XLON 15 861 47.25 XLON 15 774 47.26 XLON 15 780 47.26 XLON 15 462 47.26 XLON 15 310 47.26 XLON 15 676 47.26 XLON 15 746 47.30 XLON 15 761 47.32 XLON 15 759 47.32 XLON 15 737 47.30 XLON 15 761 47.30 XLON 15 776 47.28 XLON 15 316 47.27 XLON 15 247 47.28 XLON 15 469 47.29 XLON 15 462 47.30 XLON 15 707 47.32 XLON 15 100 47.32 XLON 15 100 47.32 XLON 15 178 47.32 XLON 15 127 47.32 XLON 15 246 47.30 XLON 15 223 47.29 XLON 15 198 47.29 XLON 15 357 47.27 XLON 15 62 47.29 XLON 15 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 11/19 100 47.29 XLON 15 13 47.29 XLON 15 563 47.29 XLON 15 554 47.27 XLON 15 146 47.27 XLON 15 309 47.25 XLON 15 276 47.24 XLON 15 392 47.24 XLON 15 298 47.24 XLON 15 399 47.24 XLON 15 23 47.24 XLON 15 409 47.22 XLON 15 2 47.22 XLON 15 266 47.22 XLON 15 3 47.20 XLON 15 375 47.20 XLON 15 100 47.19 XLON 15 5 47.19 XLON 15 323 47.19 XLON 15 48 47.19 XLON 15 85 47.17 XLON 15 208 47.17 XLON 15 210 47.15 XLON 15 690 47.16 XLON 15 744 47.15 XLON 15 751 47.15 XLON 15 598 47.13 XLON 15 99 47.14 XLON 15 450 47.14 XLON 15 207 47.14 XLON 15 449 47.13 XLON 15 186 47.13 XLON 15 198 47.13 XLON 15 199 47.13 XLON 15 763 47.13 XLON 15 40 47.13 XLON 15 43 47.12 XLON 15 722 47.12 XLON 15 199 47.13 XLON 15 206 47.13 XLON 15 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 12/19


 
296 47.12 XLON 15 196 47.13 XLON 15 6 47.13 XLON 15 121 47.13 XLON 15 96 47.13 XLON 15 51 47.13 XLON 15 763 47.13 XLON 15 364 47.13 XLON 15 21 47.12 XLON 15 446 47.12 XLON 15 666 47.12 XLON 15 21 47.12 XLON 15 2 47.12 XLON 15 760 47.13 XLON 15 311 47.13 XLON 15 188 47.13 XLON 15 150 47.13 XLON 15 62 47.13 XLON 15 722 47.13 XLON 15 97 47.12 XLON 15 101 47.12 XLON 15 237 47.12 XLON 15 281 47.12 XLON 15 314 47.12 XLON 15 323 47.12 XLON 15 443 47.12 XLON 15 763 47.12 XLON 15 619 47.12 XLON 15 529 47.12 XLON 15 215 47.15 XLON 15 300 47.15 XLON 15 200 47.15 XLON 15 179 47.15 XLON 15 199 47.15 XLON 15 186 47.15 XLON 15 160 47.15 XLON 15 747 47.15 XLON 15 194 47.15 XLON 15 763 47.15 XLON 15 210 47.15 XLON 15 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 13/19 737 47.14 XLON 15 172 47.13 XLON 15 435 47.13 XLON 15 247 47.13 XLON 15 114 47.13 XLON 15 783 47.14 XLON 15 238 47.17 XLON 15 763 47.17 XLON 15 178 47.17 XLON 15 177 47.17 XLON 15 115 47.17 XLON 15 260 47.17 XLON 15 184 47.17 XLON 15 763 47.17 XLON 15 763 47.17 XLON 15 71 47.17 XLON 15 763 47.17 XLON 15 298 47.17 XLON 15 758 47.16 XLON 15 350 47.14 XLON 15 400 47.14 XLON 15 299 47.14 XLON 15 199 47.13 XLON 15 476 47.13 XLON 15 189 47.13 XLON 15 485 47.13 XLON 15 278 47.13 XLON 15 47 47.13 XLON 15 148 47.13 XLON 15 157 47.13 XLON 15 158 47.13 XLON 15 179 47.13 XLON 15 688 47.14 XLON 15 329 47.14 XLON 15 275 47.14 XLON 15 113 47.14 XLON 15 316 47.14 XLON 15 763 47.14 XLON 15 101 47.14 XLON 15 397 47.16 XLON 15 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 14/19 294 47.16 XLON 15 5 47.17 XLON 15 216 47.17 XLON 15 191 47.17 XLON 15 763 47.17 XLON 15 192 47.17 XLON 15 97 47.17 XLON 15 495 47.17 XLON 15 134 47.16 XLON 16 614 47.16 XLON 16 751 47.16 XLON 16 624 47.18 XLON 16 126 47.18 XLON 16 763 47.18 XLON 16 212 47.18 XLON 16 199 47.18 XLON 16 280 47.18 XLON 16 686 47.18 XLON 16 595 47.18 XLON 16 739 47.19 XLON 16 93 47.18 XLON 16 763 47.19 XLON 16 214 47.19 XLON 16 629 47.19 XLON 16 432 47.19 XLON 16 600 47.18 XLON 16 100 47.18 XLON 16 200 47.19 XLON 16 763 47.19 XLON 16 241 47.19 XLON 16 211 47.19 XLON 16 56 47.19 XLON 16 636 47.19 XLON 16 2 47.19 XLON 16 196 47.19 XLON 16 548 47.19 XLON 16 70 47.18 XLON 16 216 47.17 XLON 16 411 47.17 XLON 16 639 47.17 XLON 16 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 15/19 742 47.16 XLON 16 564 47.17 XLON 16 524 47.17 XLON 16 489 47.17 XLON 16 285 47.17 XLON 16 198 47.17 XLON 16 157 47.17 XLON 16 154 47.17 XLON 16 12 47.17 XLON 16 176 47.17 XLON 16 126 47.17 XLON 16 186 47.17 XLON 16 194 47.16 XLON 16 588 47.16 XLON 16 605 47.18 XLON 16 601 47.18 XLON 16 1 47.18 XLON 16 658 47.18 XLON 16 221 47.18 XLON 16 190 47.18 XLON 16 100 47.18 XLON 16 210 47.18 XLON 16 80 47.18 XLON 16 291 47.18 XLON 16 64 47.18 XLON 16 311 47.18 XLON 16 370 47.18 XLON 16 763 47.18 XLON 16 225 47.18 XLON 16 113 47.18 XLON 16 1,164 47.21 XLON 16 98 47.21 XLON 16 209 47.21 XLON 16 128 47.20 XLON 16 383 47.20 XLON 16 5 47.20 XLON 16 256 47.20 XLON 16 202 47.20 XLON 16 733 47.24 XLON 16 763 47.24 XLON 16 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 16/19


 
700 47.24 XLON 16 675 47.24 XLON 16 102 47.23 XLON 16 300 47.23 XLON 16 149 47.23 XLON 16 763 47.23 XLON 16 157 47.23 XLON 16 762 47.22 XLON 16 601 47.22 XLON 16 307 47.23 XLON 16 424 47.22 XLON 16 763 47.22 XLON 16 87 47.22 XLON 16 565 47.22 XLON 16 664 47.22 XLON 16 400 47.22 XLON 16 105 47.22 XLON 16 212 47.22 XLON 16 591 47.22 XLON 16 58 47.22 XLON 16 202 47.22 XLON 16 197 47.22 XLON 16 746 47.23 XLON 16 763 47.23 XLON 16 163 47.23 XLON 16 175 47.23 XLON 16 168 47.23 XLON 16 159 47.23 XLON 16 169 47.23 XLON 16 763 47.23 XLON 16 157 47.23 XLON 16 357 47.23 XLON 16 109 47.23 XLON 16 297 47.23 XLON 16 161 47.23 XLON 16 350 47.22 XLON 16 446 47.22 XLON 16 294 47.22 XLON 16 110 47.22 XLON 16 312 47.21 XLON 16 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 17/19 478 47.21 XLON 16 763 47.21 XLON 16 32 47.21 XLON 16 148 47.21 XLON 16 173 47.21 XLON 16 52 47.21 XLON 16 140 47.20 XLON 16 69 47.20 XLON 16 274 47.20 XLON 16 25 47.20 XLON 16 1 47.18 XLON 16 238 47.18 XLON 16 278 47.18 XLON 16 Media Enquires: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 18/19 © 2025 London Stock Exchange plc. All rights reserved. 21/05/2025, 16:00 Transaction in Own Shares - 07:00:07 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17046608 19/19


 
EX-99.18 19 a9918-publicationoffinal.htm EX-99.18 a9918-publicationoffinal
RNS Publication of Final Terms PUBLICATION OF FINAL TERMS: UNILEVER BONDS UNILEVER PLC Released 09:22:34 21 May 2025 RNS Number : 5821J Unilever PLC 21 May 2025 PUBLICATION OF FINAL TERMS London, 21 May 2025. The following final terms (the "Final Terms") are available for viewing: (i) the Final Terms dated 20 May 2025 for Unilever Capital Corporation1 EUR 700,0 Notes due 22 May 2030 (the "2030 Notes"); and (ii) the Final Terms dated 20 May 2025 for Unilever Capital Corporation EUR 800,0 Notes due 22 May 2035 (together with the 2030 Notes, the "Notes"), each guaranteed by Unilever PLC2 and Unilever United States, Inc.3 a $25,000,000,000 Debt Issuance Programme of Unilever Finance Netherlands B Unilever Capital Corporation (the "Programme"). The Final Terms for the Notes contain the final terms of the relevant series of Notes. The F must be read in conjunction with the Information Memorandum prepared in connection wit 16 May 2025 (the "Information Memorandum"), which constitutes a base prospectu Regulation (EU) 2017/1129 as it forms part of domestic law by virtue of the European 2018. To view the full documents, please paste the following URL into the address bar of your bro http://www.rns-pdf.londonstockexchange.com/rns/5821J_1-2025-5-21.pdf 21/05/2025, 16:01 Publication of Final Terms: Unilever Bonds - 09:22:34 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/publication-of-final-terms-unilever-bonds/17047796 1/3 http://www.rns-pdf.londonstockexchange.com/rns/5821J_2-2025-5-21.pdf A copy of the Final Terms in respect of each series will be submitted to the National Stora be available for inspection at https://data.fca.org.uk/#/nsm/nationalstoragemechanism For further information, please contact: Unilever PLC Unilever House 100 Victoria Embankment London EC4Y 0DY T: +44 (0) 20 7822 5252 F: +44 (0) 20 7822 5464 This announcement does not constitute an offer to sell or a solicitation of an offer to buy t herein, nor shall there be any sale of these securities in any state or other jurisdiction solicitation or sale would be unlawful prior to registration or qualification under the secu jurisdiction. DISCLAIMER - INTENDED ADDRESSEES Please note that the information contained in the Final Terms (when read togethe Memorandum) may be addressed to and/or targeted at persons who are residents of partic in the Information Memorandum) only and is not intended for use and should not be reli outside these countries and/or to whom the offer contained in the Final Terms and the Infor not addressed. Prior to relying on the information contained in the Final Terms or the Info you must ascertain from the Information Memorandum whether or not you are one of the the information contained therein. Your right to access this service is conditional upon complying with the above requirement. Forward-looking statements This announcement may contain forward-looking statements. Words such as 'expects' 'believes' or the negative of these terms and other similar expressions of future performa negatives are intended to identify such forward-looking statements. These forward-looking upon current expectations and assumptions regarding anticipated developments and oth Unilever Group. They are not historical facts, nor are they guarantees of future perfor forward-looking statements involve risks and uncertainties, there are important factors t results to differ materially from those expressed or implied by these forward-looking stateme 1Unilever Capital Corporation - LEI MYF1DAS6G5WY7PRWCU78 2Unilever PLC - LEI 549300MKFYEKVRWML317 3Unilever United States, Inc. - LEI 549300H6H8BAYLUOGZ71 This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further 21/05/2025, 16:01 Publication of Final Terms: Unilever Bonds - 09:22:34 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/publication-of-final-terms-unilever-bonds/17047796 2/3 information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved. 21/05/2025, 16:01 Publication of Final Terms: Unilever Bonds - 09:22:34 21 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/publication-of-final-terms-unilever-bonds/17047796 3/3


 
EX-99.19 20 a9919-transactioninownsh.htm EX-99.19 a9919-transactioninownsh
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:08 22 May 2025 RNS Number : 6857J Unilever PLC 22 May 2025 TRANSACTIONS IN OWN SECURITIES 22 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following nu ordinary shares on the London Stock Exchange from Goldman Sachs International ("th The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 21 May 2025 Number of ordinary shares purchased: 230,000 Highest price paid per share: GBP 47.3900 Lowest price paid per share: GBP 46.9800 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 1/22 Volume weighted average price paid per share: GBP 47.2364 Such purchases form part of the Company's existing share buy-back programme and we pursuant to the instructions issued to the Broker by the Company on 13 February 2025, on that date. Following the purchase of these shares, Unilever holds 70,004,502 of its ordinary share and has 2,498,543,317 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volume LSE 47.2364 230,000 BATS 0.0000 0 Chi-X 0.0000 0 Turquoise 0.0000 0 Aquis 0.0000 0 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the U Market Abuse Regulation), a full breakdown of the individual trades made by the Broke the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Tim 611 47.01 XLON 10 454 47.01 XLON 10 311 47.00 XLON 10 644 46.98 XLON 10 262 47.00 XLON 11 280 47.00 XLON 11 166 47.00 XLON 11 47 47.00 XLON 11 17 47.00 XLON 11 8 47.00 XLON 11 273 46.98 XLON 11 659 46.98 XLON 11 230 47.03 XLON 11 104 47.03 XLON 11 125 47.03 XLON 11 446 47.03 XLON 11 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 2/22 147 47.04 XLON 11 167 47.05 XLON 11 165 47.05 XLON 11 136 47.05 XLON 11 204 47.05 XLON 11 768 47.04 XLON 11 214 47.06 XLON 11 241 47.06 XLON 11 141 47.06 XLON 11 136 47.06 XLON 11 137 47.06 XLON 11 347 47.06 XLON 11 14 47.07 XLON 11 741 47.07 XLON 11 170 47.07 XLON 11 32 47.07 XLON 11 2 47.06 XLON 11 71 47.07 XLON 11 156 47.07 XLON 11 186 47.07 XLON 11 201 47.06 XLON 11 153 47.06 XLON 11 21 47.06 XLON 11 91 47.06 XLON 11 803 47.07 XLON 11 228 47.08 XLON 11 156 47.08 XLON 11 144 47.08 XLON 11 528 47.08 XLON 11 791 47.07 XLON 11 751 47.09 XLON 11 154 47.10 XLON 11 159 47.10 XLON 11 558 47.10 XLON 11 135 47.10 XLON 11 136 47.10 XLON 11 152 47.10 XLON 11 150 47.10 XLON 11 84 47.10 XLON 11 759 47.09 XLON 11 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 3/22 137 47.09 XLON 11 145 47.14 XLON 11 158 47.14 XLON 11 158 47.14 XLON 11 134 47.14 XLON 11 158 47.14 XLON 11 148 47.14 XLON 11 140 47.14 XLON 11 160 47.14 XLON 11 133 47.14 XLON 11 136 47.14 XLON 11 151 47.14 XLON 11 134 47.14 XLON 11 159 47.18 XLON 11 131 47.18 XLON 11 558 47.18 XLON 11 138 47.18 XLON 11 149 47.18 XLON 11 137 47.20 XLON 11 148 47.20 XLON 11 142 47.20 XLON 11 142 47.20 XLON 11 777 47.19 XLON 11 784 47.17 XLON 11 143 47.16 XLON 12 161 47.16 XLON 12 134 47.16 XLON 12 157 47.16 XLON 12 802 47.15 XLON 12 306 47.13 XLON 12 502 47.13 XLON 12 415 47.12 XLON 12 365 47.12 XLON 12 306 47.12 XLON 12 446 47.12 XLON 12 763 47.12 XLON 12 752 47.14 XLON 12 228 47.12 XLON 12 526 47.12 XLON 12 757 47.12 XLON 12 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 4/22


 
13 47.12 XLON 12 791 47.12 XLON 12 136 47.10 XLON 12 619 47.10 XLON 12 306 47.08 XLON 12 306 47.08 XLON 12 172 47.08 XLON 12 534 47.07 XLON 12 125 47.07 XLON 12 17 47.07 XLON 12 31 47.07 XLON 12 794 47.05 XLON 12 247 47.05 XLON 12 476 47.10 XLON 12 21 47.10 XLON 12 306 47.10 XLON 12 313 47.10 XLON 12 481 47.10 XLON 12 359 47.08 XLON 12 17 47.09 XLON 12 6 47.10 XLON 12 747 47.11 XLON 12 135 47.11 XLON 12 147 47.11 XLON 12 143 47.11 XLON 12 59 47.11 XLON 12 419 47.10 XLON 12 142 47.10 XLON 12 159 47.10 XLON 12 131 47.10 XLON 12 149 47.11 XLON 12 158 47.11 XLON 12 153 47.11 XLON 12 23 47.11 XLON 12 163 47.10 XLON 12 100 47.10 XLON 12 250 47.10 XLON 12 142 47.10 XLON 12 117 47.10 XLON 12 139 47.10 XLON 12 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 5/22 733 47.09 XLON 12 265 47.06 XLON 12 190 47.06 XLON 12 589 47.06 XLON 12 202 47.07 XLON 13 10 47.07 XLON 13 192 47.07 XLON 13 160 47.08 XLON 13 72 47.08 XLON 13 114 47.08 XLON 13 778 47.08 XLON 13 783 47.06 XLON 13 680 47.10 XLON 13 76 47.10 XLON 13 160 47.10 XLON 13 95 47.10 XLON 13 107 47.10 XLON 13 3 47.10 XLON 13 199 47.10 XLON 13 110 47.10 XLON 13 150 47.10 XLON 13 583 47.10 XLON 13 795 47.10 XLON 13 100 47.08 XLON 13 649 47.08 XLON 13 803 47.06 XLON 13 790 47.04 XLON 13 330 47.04 XLON 13 782 47.06 XLON 13 11 47.06 XLON 13 772 47.06 XLON 13 226 47.07 XLON 13 155 47.07 XLON 13 159 47.07 XLON 13 523 47.07 XLON 13 140 47.07 XLON 13 146 47.07 XLON 13 161 47.07 XLON 13 747 47.06 XLON 13 156 47.09 XLON 13 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 6/22 79 47.09 XLON 13 523 47.09 XLON 13 320 47.10 XLON 13 466 47.10 XLON 13 115 47.10 XLON 13 523 47.10 XLON 13 81 47.10 XLON 13 802 47.15 XLON 13 784 47.15 XLON 13 791 47.15 XLON 13 792 47.13 XLON 13 788 47.13 XLON 13 595 47.11 XLON 13 189 47.11 XLON 13 200 47.12 XLON 13 60 47.12 XLON 13 111 47.12 XLON 13 289 47.12 XLON 13 108 47.12 XLON 13 149 47.14 XLON 13 249 47.14 XLON 13 500 47.14 XLON 13 400 47.14 XLON 13 90 47.15 XLON 14 165 47.15 XLON 14 161 47.15 XLON 14 62 47.15 XLON 14 670 47.14 XLON 14 101 47.14 XLON 14 756 47.14 XLON 14 394 47.15 XLON 14 384 47.15 XLON 14 320 47.14 XLON 14 445 47.14 XLON 14 143 47.14 XLON 14 5 47.14 XLON 14 157 47.14 XLON 14 158 47.14 XLON 14 44 47.14 XLON 14 654 47.15 XLON 14 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 7/22 145 47.15 XLON 14 588 47.15 XLON 14 190 47.17 XLON 14 160 47.17 XLON 14 176 47.17 XLON 14 680 47.16 XLON 14 86 47.16 XLON 14 255 47.17 XLON 14 262 47.17 XLON 14 45 47.17 XLON 14 152 47.17 XLON 14 1,510 47.17 XLON 14 654 47.17 XLON 14 100 47.17 XLON 14 197 47.17 XLON 14 159 47.17 XLON 14 103 47.17 XLON 14 154 47.17 XLON 14 8 47.17 XLON 14 143 47.17 XLON 14 654 47.17 XLON 14 758 47.16 XLON 14 217 47.16 XLON 14 99 47.16 XLON 14 272 47.16 XLON 14 151 47.17 XLON 14 74 47.17 XLON 14 9 47.17 XLON 14 154 47.18 XLON 14 164 47.21 XLON 14 167 47.21 XLON 14 168 47.21 XLON 14 735 47.21 XLON 14 795 47.20 XLON 14 180 47.18 XLON 14 570 47.18 XLON 14 264 47.20 XLON 14 526 47.20 XLON 14 210 47.18 XLON 14 543 47.18 XLON 14 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 8/22


 
3 47.18 XLON 14 600 47.18 XLON 14 2 47.18 XLON 14 270 47.21 XLON 14 91 47.21 XLON 14 14 47.21 XLON 14 44 47.21 XLON 14 118 47.21 XLON 14 103 47.21 XLON 14 57 47.21 XLON 14 100 47.21 XLON 14 102 47.21 XLON 14 690 47.21 XLON 14 679 47.23 XLON 14 774 47.23 XLON 14 118 47.21 XLON 14 182 47.22 XLON 14 436 47.21 XLON 14 654 47.21 XLON 14 350 47.21 XLON 14 185 47.21 XLON 14 207 47.21 XLON 14 10 47.19 XLON 14 521 47.19 XLON 14 28 47.22 XLON 14 530 47.24 XLON 14 239 47.24 XLON 14 310 47.24 XLON 14 455 47.24 XLON 14 292 47.24 XLON 14 197 47.24 XLON 14 654 47.24 XLON 14 197 47.24 XLON 14 154 47.24 XLON 14 164 47.23 XLON 14 172 47.23 XLON 14 161 47.23 XLON 14 257 47.23 XLON 14 158 47.23 XLON 14 98 47.23 XLON 14 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 9/22 302 47.22 XLON 14 443 47.22 XLON 14 595 47.22 XLON 14 47 47.22 XLON 14 165 47.22 XLON 14 803 47.22 XLON 14 527 47.24 XLON 14 47 47.24 XLON 14 194 47.24 XLON 14 460 47.25 XLON 14 148 47.25 XLON 14 157 47.25 XLON 14 74 47.25 XLON 14 167 47.25 XLON 14 654 47.25 XLON 14 158 47.25 XLON 14 174 47.25 XLON 14 152 47.25 XLON 14 198 47.25 XLON 14 202 47.25 XLON 14 217 47.25 XLON 14 292 47.25 XLON 14 222 47.25 XLON 14 153 47.25 XLON 14 119 47.25 XLON 14 787 47.24 XLON 14 786 47.22 XLON 14 778 47.20 XLON 14 496 47.19 XLON 14 293 47.19 XLON 14 500 47.19 XLON 14 307 47.19 XLON 14 370 47.19 XLON 14 654 47.20 XLON 14 192 47.20 XLON 14 148 47.20 XLON 14 654 47.20 XLON 14 161 47.20 XLON 14 783 47.19 XLON 14 197 47.18 XLON 14 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 10/22 546 47.18 XLON 14 585 47.17 XLON 14 183 47.17 XLON 14 104 47.15 XLON 14 689 47.15 XLON 14 416 47.14 XLON 14 362 47.14 XLON 14 202 47.13 XLON 14 93 47.14 XLON 14 98 47.14 XLON 14 11 47.14 XLON 14 544 47.14 XLON 14 783 47.15 XLON 14 195 47.15 XLON 14 275 47.15 XLON 14 18 47.16 XLON 14 174 47.18 XLON 14 163 47.18 XLON 14 174 47.18 XLON 14 654 47.18 XLON 14 96 47.18 XLON 14 164 47.18 XLON 14 148 47.18 XLON 14 553 47.18 XLON 14 255 47.18 XLON 14 254 47.19 XLON 14 47 47.19 XLON 14 496 47.19 XLON 14 654 47.19 XLON 14 178 47.19 XLON 14 210 47.19 XLON 14 179 47.19 XLON 14 196 47.19 XLON 14 171 47.21 XLON 14 31 47.21 XLON 14 195 47.21 XLON 14 7 47.21 XLON 14 171 47.21 XLON 14 31 47.21 XLON 14 306 47.20 XLON 14 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 11/22 320 47.20 XLON 14 47 47.20 XLON 14 109 47.20 XLON 14 192 47.19 XLON 14 622 47.19 XLON 14 618 47.18 XLON 14 186 47.18 XLON 14 238 47.19 XLON 14 160 47.19 XLON 14 163 47.19 XLON 14 175 47.19 XLON 14 199 47.19 XLON 14 654 47.19 XLON 14 123 47.19 XLON 14 420 47.18 XLON 14 332 47.18 XLON 14 777 47.18 XLON 14 261 47.19 XLON 14 161 47.19 XLON 14 112 47.19 XLON 14 306 47.22 XLON 15 470 47.22 XLON 15 157 47.22 XLON 15 60 47.22 XLON 15 161 47.22 XLON 15 173 47.22 XLON 15 175 47.22 XLON 15 183 47.22 XLON 15 171 47.22 XLON 15 176 47.22 XLON 15 151 47.22 XLON 15 127 47.22 XLON 15 804 47.23 XLON 15 808 47.26 XLON 15 170 47.26 XLON 15 155 47.26 XLON 15 564 47.26 XLON 15 175 47.26 XLON 15 110 47.26 XLON 15 654 47.26 XLON 15 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 12/22


 
160 47.26 XLON 15 108 47.26 XLON 15 239 47.27 XLON 15 100 47.27 XLON 15 160 47.27 XLON 15 253 47.27 XLON 15 186 47.27 XLON 15 151 47.28 XLON 15 185 47.28 XLON 15 185 47.28 XLON 15 179 47.27 XLON 15 23 47.27 XLON 15 159 47.27 XLON 15 43 47.27 XLON 15 320 47.28 XLON 15 306 47.28 XLON 15 47 47.28 XLON 15 106 47.28 XLON 15 1,000 47.27 XLON 15 18 47.27 XLON 15 766 47.26 XLON 15 563 47.27 XLON 15 194 47.27 XLON 15 154 47.27 XLON 15 48 47.27 XLON 15 606 47.27 XLON 15 160 47.27 XLON 15 19 47.27 XLON 15 268 47.27 XLON 15 238 47.27 XLON 15 159 47.27 XLON 15 140 47.27 XLON 15 247 47.27 XLON 15 654 47.27 XLON 15 104 47.27 XLON 15 565 47.26 XLON 15 188 47.26 XLON 15 542 47.30 XLON 15 241 47.30 XLON 15 212 47.30 XLON 15 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 13/22 198 47.30 XLON 15 654 47.30 XLON 15 173 47.30 XLON 15 161 47.30 XLON 15 112 47.30 XLON 15 221 47.30 XLON 15 190 47.30 XLON 15 654 47.30 XLON 15 654 47.31 XLON 15 183 47.31 XLON 15 147 47.31 XLON 15 72 47.32 XLON 15 74 47.32 XLON 15 631 47.32 XLON 15 460 47.33 XLON 15 100 47.33 XLON 15 185 47.33 XLON 15 269 47.33 XLON 15 197 47.33 XLON 15 654 47.33 XLON 15 600 47.33 XLON 15 654 47.33 XLON 15 186 47.33 XLON 15 139 47.33 XLON 15 199 47.33 XLON 15 1,000 47.33 XLON 15 229 47.33 XLON 15 654 47.33 XLON 15 29 47.32 XLON 15 654 47.33 XLON 15 250 47.33 XLON 15 185 47.33 XLON 15 261 47.33 XLON 15 281 47.33 XLON 15 306 47.33 XLON 15 299 47.33 XLON 15 365 47.33 XLON 15 189 47.33 XLON 15 450 47.33 XLON 15 654 47.33 XLON 15 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 14/22 196 47.33 XLON 15 151 47.33 XLON 15 176 47.33 XLON 15 132 47.33 XLON 15 179 47.33 XLON 15 202 47.33 XLON 15 215 47.33 XLON 15 262 47.33 XLON 15 751 47.32 XLON 15 182 47.32 XLON 15 654 47.32 XLON 15 181 47.32 XLON 15 84 47.32 XLON 15 115 47.32 XLON 15 176 47.32 XLON 15 100 47.32 XLON 15 190 47.32 XLON 15 175 47.32 XLON 15 161 47.32 XLON 15 166 47.31 XLON 15 184 47.31 XLON 15 198 47.31 XLON 15 796 47.32 XLON 15 267 47.32 XLON 15 538 47.32 XLON 15 216 47.31 XLON 15 220 47.31 XLON 15 233 47.31 XLON 15 106 47.32 XLON 15 74 47.32 XLON 15 14 47.34 XLON 15 180 47.34 XLON 15 187 47.34 XLON 15 91 47.34 XLON 15 298 47.34 XLON 15 168 47.34 XLON 15 2 47.35 XLON 15 305 47.35 XLON 15 369 47.35 XLON 15 113 47.35 XLON 15 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 15/22 500 47.35 XLON 15 23 47.35 XLON 15 404 47.35 XLON 15 260 47.35 XLON 15 654 47.35 XLON 15 185 47.35 XLON 15 7 47.35 XLON 15 775 47.36 XLON 15 360 47.36 XLON 15 187 47.36 XLON 15 91 47.36 XLON 15 818 47.36 XLON 15 168 47.36 XLON 15 180 47.36 XLON 15 199 47.36 XLON 15 818 47.35 XLON 15 294 47.35 XLON 15 202 47.35 XLON 15 774 47.34 XLON 15 818 47.34 XLON 15 798 47.34 XLON 15 542 47.32 XLON 15 239 47.32 XLON 15 182 47.32 XLON 15 20 47.32 XLON 15 736 47.32 XLON 15 384 47.32 XLON 15 500 47.32 XLON 15 188 47.32 XLON 15 450 47.33 XLON 15 263 47.33 XLON 15 195 47.32 XLON 15 794 47.33 XLON 15 197 47.33 XLON 15 170 47.33 XLON 15 166 47.33 XLON 15 818 47.33 XLON 15 191 47.34 XLON 15 90 47.34 XLON 15 38 47.34 XLON 15 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 16/22


 
158 47.34 XLON 15 818 47.34 XLON 15 188 47.34 XLON 15 494 47.35 XLON 15 767 47.37 XLON 15 764 47.37 XLON 15 127 47.37 XLON 15 1,023 47.37 XLON 15 1,023 47.37 XLON 15 143 47.37 XLON 15 1,023 47.37 XLON 15 553 47.36 XLON 15 100 47.35 XLON 15 1,023 47.36 XLON 15 20 47.36 XLON 15 39 47.35 XLON 15 196 47.36 XLON 15 276 47.36 XLON 15 80 47.36 XLON 15 249 47.36 XLON 15 1,023 47.36 XLON 15 82 47.36 XLON 15 100 47.35 XLON 15 28 47.35 XLON 15 94 47.34 XLON 16 210 47.34 XLON 16 1,023 47.34 XLON 16 78 47.34 XLON 16 196 47.34 XLON 16 3 47.34 XLON 16 785 47.33 XLON 16 804 47.32 XLON 16 798 47.30 XLON 16 1,023 47.32 XLON 16 500 47.32 XLON 16 203 47.32 XLON 16 202 47.32 XLON 16 502 47.32 XLON 16 204 47.32 XLON 16 202 47.32 XLON 16 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 17/22 438 47.32 XLON 16 12 47.32 XLON 16 632 47.32 XLON 16 1,023 47.32 XLON 16 195 47.34 XLON 16 539 47.34 XLON 16 787 47.33 XLON 16 461 47.33 XLON 16 228 47.35 XLON 16 237 47.35 XLON 16 777 47.34 XLON 16 340 47.35 XLON 16 704 47.35 XLON 16 576 47.35 XLON 16 689 47.35 XLON 16 273 47.35 XLON 16 195 47.35 XLON 16 198 47.34 XLON 16 233 47.34 XLON 16 1,023 47.34 XLON 16 240 47.34 XLON 16 375 47.34 XLON 16 378 47.34 XLON 16 481 47.33 XLON 16 827 47.33 XLON 16 496 47.33 XLON 16 1,023 47.33 XLON 16 180 47.33 XLON 16 230 47.34 XLON 16 834 47.34 XLON 16 1,023 47.34 XLON 16 500 47.35 XLON 16 271 47.35 XLON 16 35 47.35 XLON 16 1,000 47.35 XLON 16 1,023 47.35 XLON 16 270 47.36 XLON 16 211 47.36 XLON 16 357 47.36 XLON 16 327 47.35 XLON 16 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 18/22 186 47.35 XLON 16 295 47.36 XLON 16 261 47.36 XLON 16 259 47.36 XLON 16 177 47.37 XLON 16 71 47.37 XLON 16 478 47.37 XLON 16 450 47.37 XLON 16 50 47.37 XLON 16 465 47.37 XLON 16 20 47.37 XLON 16 7 47.37 XLON 16 423 47.37 XLON 16 503 47.37 XLON 16 293 47.37 XLON 16 106 47.37 XLON 16 770 47.37 XLON 16 240 47.38 XLON 16 121 47.38 XLON 16 54 47.38 XLON 16 552 47.37 XLON 16 573 47.37 XLON 16 160 47.37 XLON 16 213 47.37 XLON 16 596 47.37 XLON 16 160 47.37 XLON 16 577 47.37 XLON 16 490 47.37 XLON 16 10 47.37 XLON 16 376 47.37 XLON 16 229 47.37 XLON 16 80 47.37 XLON 16 207 47.37 XLON 16 141 47.37 XLON 16 42 47.37 XLON 16 221 47.37 XLON 16 399 47.37 XLON 16 278 47.36 XLON 16 828 47.37 XLON 16 333 47.37 XLON 16 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 19/22 87 47.37 XLON 16 394 47.37 XLON 16 40 47.37 XLON 16 116 47.37 XLON 16 597 47.37 XLON 16 213 47.38 XLON 16 90 47.38 XLON 16 146 47.38 XLON 16 279 47.38 XLON 16 355 47.38 XLON 16 333 47.38 XLON 16 41 47.38 XLON 16 147 47.38 XLON 16 94 47.38 XLON 16 128 47.38 XLON 16 91 47.38 XLON 16 221 47.38 XLON 16 245 47.38 XLON 16 201 47.39 XLON 16 196 47.39 XLON 16 210 47.39 XLON 16 297 47.39 XLON 16 313 47.39 XLON 16 205 47.39 XLON 16 47 47.39 XLON 16 47 47.39 XLON 16 481 47.39 XLON 16 260 47.39 XLON 16 206 47.39 XLON 16 202 47.39 XLON 16 182 47.39 XLON 16 204 47.39 XLON 16 215 47.39 XLON 16 200 47.38 XLON 16 243 47.38 XLON 16 207 47.38 XLON 16 251 47.37 XLON 16 850 47.37 XLON 16 356 47.37 XLON 16 210 47.37 XLON 16 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 20/22


 
94 47.37 XLON 16 212 47.37 XLON 16 186 47.37 XLON 16 232 47.37 XLON 16 126 47.37 XLON 16 200 47.37 XLON 16 195 47.37 XLON 16 242 47.37 XLON 16 329 47.37 XLON 16 253 47.38 XLON 16 78 47.38 XLON 16 234 47.36 XLON 16 96 47.36 XLON 16 Media Enquires: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 21/22 © 2025 London Stock Exchange plc. All rights reserved. 29/05/2025, 10:40 Transaction in Own Shares - 07:00:08 22 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17049036 22/22


 
EX-99.20 21 a9920-transactioninownsh.htm EX-99.20 a9920-transactioninownsh
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:05 23 May 2025 RNS Number : 8766J Unilever PLC 23 May 2025 TRANSACTIONS IN OWN SECURITIES 23 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following nu ordinary shares on the London Stock Exchange from Goldman Sachs International ("th The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 22 May 2025 Number of ordinary shares purchased: 171,000 Highest price paid per share: GBP 47.3500 Lowest price paid per share: GBP 46.8300 29/05/2025, 10:40 Transaction in Own Shares - 07:00:05 23 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17051406 1/18 Volume weighted average price paid per share: GBP 47.0466 Such purchases form part of the Company's existing share buy-back programme and we pursuant to the instructions issued to the Broker by the Company on 13 February 2025, on that date. Following the purchase of these shares, Unilever holds 70,175,502 of its ordinary share and has 2,498,372,317 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volume LSE 47.0466 171,000 BATS 0.0000 0 Chi-X 0.0000 0 Turquoise 0.0000 0 Aquis 0.0000 0 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the U Market Abuse Regulation), a full breakdown of the individual trades made by the Broke the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Tim 416 47.33 XLON 08 292 47.33 XLON 08 304 47.35 XLON 08 262 47.33 XLON 08 131 47.33 XLON 08 580 47.31 XLON 09 360 47.30 XLON 09 217 47.28 XLON 09 232 47.28 XLON 09 14 47.28 XLON 09 569 47.28 XLON 09 250 47.26 XLON 09 206 47.27 XLON 09 280 47.26 XLON 09 73 47.26 XLON 09 195 47.26 XLON 09 29/05/2025, 10:40 Transaction in Own Shares - 07:00:05 23 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17051406 2/18 84 47.26 XLON 09 226 47.28 XLON 09 200 47.28 XLON 09 240 47.26 XLON 09 1 47.26 XLON 09 421 47.27 XLON 09 629 47.26 XLON 09 78 47.24 XLON 09 100 47.24 XLON 09 44 47.24 XLON 09 476 47.24 XLON 09 267 47.23 XLON 09 224 47.23 XLON 09 13 47.23 XLON 09 21 47.21 XLON 09 100 47.21 XLON 09 100 47.21 XLON 09 49 47.21 XLON 09 513 47.19 XLON 09 459 47.19 XLON 09 7 47.17 XLON 09 400 47.17 XLON 09 444 47.16 XLON 09 100 47.14 XLON 09 100 47.14 XLON 09 100 47.14 XLON 09 99 47.14 XLON 09 480 47.15 XLON 09 15 47.15 XLON 09 75 47.15 XLON 09 304 47.15 XLON 09 110 47.15 XLON 09 304 47.15 XLON 09 175 47.15 XLON 09 435 47.17 XLON 09 140 47.19 XLON 09 633 47.19 XLON 09 784 47.21 XLON 09 568 47.19 XLON 09 685 47.17 XLON 09 29/05/2025, 10:40 Transaction in Own Shares - 07:00:05 23 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17051406 3/18 351 47.16 XLON 09 122 47.14 XLON 09 519 47.16 XLON 09 248 47.18 XLON 10 435 47.18 XLON 10 173 47.16 XLON 10 542 47.18 XLON 10 147 47.18 XLON 10 251 47.16 XLON 10 531 47.17 XLON 10 100 47.16 XLON 10 100 47.16 XLON 10 100 47.16 XLON 10 87 47.16 XLON 10 84 47.16 XLON 10 82 47.14 XLON 10 100 47.14 XLON 10 307 47.14 XLON 10 235 47.15 XLON 10 304 47.14 XLON 10 156 47.14 XLON 10 100 47.12 XLON 10 13 47.12 XLON 10 364 47.12 XLON 10 387 47.12 XLON 10 552 47.13 XLON 10 400 47.14 XLON 10 80 47.14 XLON 10 4 47.14 XLON 10 500 47.15 XLON 10 41 47.15 XLON 10 100 47.16 XLON 10 100 47.16 XLON 10 100 47.16 XLON 10 100 47.16 XLON 10 100 47.16 XLON 10 42 47.16 XLON 10 504 47.15 XLON 10 229 47.15 XLON 10 378 47.13 XLON 10 29/05/2025, 10:40 Transaction in Own Shares - 07:00:05 23 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17051406 4/18


 
366 47.11 XLON 10 534 47.14 XLON 10 627 47.14 XLON 10 280 47.18 XLON 10 357 47.18 XLON 10 100 47.18 XLON 10 13 47.18 XLON 10 428 47.18 XLON 10 628 47.20 XLON 10 93 47.18 XLON 10 100 47.18 XLON 10 100 47.18 XLON 10 100 47.18 XLON 10 100 47.18 XLON 10 100 47.18 XLON 10 12 47.18 XLON 10 750 47.21 XLON 11 670 47.24 XLON 11 123 47.26 XLON 11 300 47.26 XLON 11 397 47.28 XLON 11 100 47.28 XLON 11 24 47.28 XLON 11 437 47.26 XLON 11 586 47.28 XLON 11 100 47.29 XLON 11 100 47.29 XLON 11 100 47.29 XLON 11 100 47.29 XLON 11 73 47.29 XLON 11 476 47.30 XLON 11 110 47.30 XLON 11 534 47.31 XLON 11 613 47.30 XLON 11 421 47.28 XLON 11 100 47.26 XLON 11 100 47.26 XLON 11 100 47.26 XLON 11 100 47.26 XLON 11 97 47.26 XLON 11 29/05/2025, 10:40 Transaction in Own Shares - 07:00:05 23 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17051406 5/18 247 47.25 XLON 11 390 47.23 XLON 11 215 47.26 XLON 11 306 47.26 XLON 11 217 47.24 XLON 11 272 47.25 XLON 11 326 47.24 XLON 11 529 47.24 XLON 11 219 47.22 XLON 11 771 47.21 XLON 11 100 47.19 XLON 11 152 47.19 XLON 11 100 47.18 XLON 11 79 47.18 XLON 11 368 47.18 XLON 11 220 47.18 XLON 11 791 47.18 XLON 11 317 47.16 XLON 11 122 47.17 XLON 11 461 47.17 XLON 11 304 47.16 XLON 11 211 47.16 XLON 11 211 47.16 XLON 12 739 47.14 XLON 12 39 47.14 XLON 12 256 47.14 XLON 12 352 47.15 XLON 12 190 47.15 XLON 12 100 47.12 XLON 12 131 47.12 XLON 12 100 47.10 XLON 12 100 47.10 XLON 12 67 47.10 XLON 12 245 47.10 XLON 12 415 47.08 XLON 12 624 47.09 XLON 12 20 47.09 XLON 12 304 47.09 XLON 12 185 47.09 XLON 12 299 47.09 XLON 12 29/05/2025, 10:40 Transaction in Own Shares - 07:00:05 23 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17051406 6/18 328 47.09 XLON 12 587 47.11 XLON 12 46 47.11 XLON 12 304 47.11 XLON 12 168 47.11 XLON 12 354 47.11 XLON 12 282 47.11 XLON 12 105 47.11 XLON 12 304 47.09 XLON 12 112 47.09 XLON 12 122 47.09 XLON 12 5 47.09 XLON 12 549 47.09 XLON 12 215 47.07 XLON 12 100 47.04 XLON 12 161 47.04 XLON 12 452 47.04 XLON 12 638 47.06 XLON 12 666 47.04 XLON 12 432 47.02 XLON 12 12 47.02 XLON 12 300 47.01 XLON 12 282 47.01 XLON 12 304 47.01 XLON 13 43 47.01 XLON 13 232 46.99 XLON 13 310 46.98 XLON 13 50 46.96 XLON 13 100 46.96 XLON 13 13 46.96 XLON 13 117 46.96 XLON 13 208 46.94 XLON 13 9 46.94 XLON 13 287 46.94 XLON 13 229 46.92 XLON 13 102 46.91 XLON 13 138 46.91 XLON 13 201 46.91 XLON 13 252 46.88 XLON 13 369 46.88 XLON 13 29/05/2025, 10:40 Transaction in Own Shares - 07:00:05 23 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17051406 7/18 199 46.86 XLON 13 285 46.88 XLON 13 66 46.86 XLON 13 185 46.88 XLON 13 34 46.88 XLON 13 100 46.86 XLON 13 100 46.86 XLON 13 25 46.86 XLON 13 218 46.87 XLON 13 214 46.88 XLON 13 259 46.90 XLON 13 168 46.90 XLON 13 480 46.91 XLON 13 100 46.91 XLON 13 302 46.91 XLON 13 216 46.88 XLON 13 218 46.86 XLON 13 348 46.84 XLON 13 553 46.83 XLON 13 87 46.85 XLON 13 37 46.91 XLON 13 500 46.91 XLON 13 202 46.91 XLON 13 500 46.97 XLON 13 47 46.97 XLON 13 192 46.97 XLON 13 4 46.97 XLON 13 760 47.03 XLON 13 742 47.01 XLON 13 788 46.99 XLON 13 379 47.00 XLON 13 280 47.02 XLON 13 75 47.02 XLON 13 768 47.04 XLON 13 267 47.02 XLON 13 224 47.02 XLON 14 255 47.00 XLON 14 304 47.02 XLON 14 72 47.02 XLON 14 16 47.02 XLON 14 29/05/2025, 10:40 Transaction in Own Shares - 07:00:05 23 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17051406 8/18


 
100 47.02 XLON 14 100 47.02 XLON 14 100 47.02 XLON 14 66 47.02 XLON 14 751 47.04 XLON 14 360 47.04 XLON 14 762 47.02 XLON 14 240 47.03 XLON 14 7 47.03 XLON 14 676 47.00 XLON 14 212 47.02 XLON 14 215 47.02 XLON 14 216 47.00 XLON 14 214 46.98 XLON 14 206 46.98 XLON 14 220 46.96 XLON 14 100 46.94 XLON 14 100 46.94 XLON 14 720 46.96 XLON 14 7 46.96 XLON 14 2 46.98 XLON 14 588 46.98 XLON 14 318 46.98 XLON 14 280 46.98 XLON 14 179 46.98 XLON 14 638 46.98 XLON 14 18 46.98 XLON 14 762 46.98 XLON 14 765 47.06 XLON 14 787 47.04 XLON 14 486 47.04 XLON 14 236 47.06 XLON 14 304 47.06 XLON 14 16 47.06 XLON 14 107 47.06 XLON 14 550 47.06 XLON 14 48 47.09 XLON 14 615 47.09 XLON 14 224 47.07 XLON 14 111 47.09 XLON 14 29/05/2025, 10:40 Transaction in Own Shares - 07:00:05 23 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17051406 9/18 654 47.09 XLON 14 754 47.09 XLON 14 448 47.07 XLON 14 7 47.07 XLON 14 247 47.04 XLON 14 100 47.04 XLON 14 202 47.04 XLON 14 82 47.04 XLON 14 752 47.04 XLON 14 20 47.04 XLON 14 711 47.06 XLON 14 29 47.06 XLON 14 349 47.08 XLON 14 410 47.08 XLON 14 346 47.06 XLON 14 280 47.08 XLON 14 465 47.08 XLON 14 336 47.06 XLON 14 60 47.06 XLON 14 778 47.06 XLON 14 304 47.08 XLON 14 208 47.08 XLON 14 284 47.08 XLON 14 450 47.09 XLON 14 200 47.09 XLON 14 21 47.09 XLON 14 56 47.08 XLON 14 304 47.08 XLON 14 432 47.08 XLON 14 26 47.06 XLON 14 765 47.06 XLON 14 22 47.04 XLON 14 742 47.04 XLON 14 222 47.02 XLON 14 574 47.02 XLON 14 100 47.01 XLON 14 685 47.01 XLON 14 118 47.01 XLON 14 499 47.01 XLON 14 639 46.99 XLON 14 29/05/2025, 10:40 Transaction in Own Shares - 07:00:05 23 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17051406 10/18 112 46.99 XLON 14 678 46.96 XLON 14 90 46.96 XLON 14 47 46.94 XLON 14 229 46.94 XLON 14 259 46.92 XLON 14 784 46.89 XLON 14 9 46.89 XLON 14 100 46.87 XLON 14 657 46.87 XLON 14 373 46.86 XLON 14 316 46.86 XLON 14 770 46.92 XLON 14 733 46.94 XLON 14 280 46.92 XLON 14 448 46.92 XLON 14 5 46.92 XLON 14 106 46.92 XLON 14 304 46.92 XLON 14 91 46.92 XLON 14 382 46.94 XLON 14 134 46.94 XLON 14 100 46.92 XLON 14 536 46.92 XLON 14 75 46.90 XLON 14 587 46.90 XLON 14 697 46.91 XLON 14 616 46.91 XLON 14 304 46.91 XLON 15 158 46.91 XLON 15 231 46.89 XLON 15 500 46.89 XLON 15 143 46.89 XLON 15 743 46.90 XLON 15 504 46.89 XLON 15 131 46.90 XLON 15 106 46.90 XLON 15 28 46.90 XLON 15 1 46.90 XLON 15 598 46.92 XLON 15 29/05/2025, 10:40 Transaction in Own Shares - 07:00:05 23 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17051406 11/18 607 46.93 XLON 15 449 46.92 XLON 15 308 46.90 XLON 15 221 46.87 XLON 15 45 46.85 XLON 15 6 46.85 XLON 15 10 46.85 XLON 15 230 46.85 XLON 15 300 46.86 XLON 15 766 46.88 XLON 15 373 46.89 XLON 15 288 46.89 XLON 15 2 46.89 XLON 15 358 46.90 XLON 15 23 46.90 XLON 15 268 46.90 XLON 15 183 46.88 XLON 15 100 46.88 XLON 15 13 46.88 XLON 15 154 46.88 XLON 15 100 46.90 XLON 15 666 46.90 XLON 15 717 46.92 XLON 15 550 46.90 XLON 15 198 46.90 XLON 15 778 46.90 XLON 15 280 46.90 XLON 15 243 46.90 XLON 15 300 46.92 XLON 15 436 46.92 XLON 15 97 46.90 XLON 15 100 46.90 XLON 15 100 46.90 XLON 15 100 46.90 XLON 15 56 46.90 XLON 15 738 46.93 XLON 15 517 46.92 XLON 15 123 46.92 XLON 15 720 46.91 XLON 15 743 46.88 XLON 15 29/05/2025, 10:40 Transaction in Own Shares - 07:00:05 23 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17051406 12/18


 
760 46.89 XLON 15 230 46.90 XLON 15 274 46.91 XLON 15 20 46.91 XLON 15 190 46.91 XLON 15 189 46.91 XLON 15 300 46.89 XLON 15 462 46.89 XLON 15 214 46.88 XLON 15 748 46.87 XLON 15 745 46.89 XLON 15 100 46.89 XLON 15 100 46.89 XLON 15 100 46.89 XLON 15 100 46.89 XLON 15 1 46.89 XLON 15 99 46.89 XLON 15 100 46.89 XLON 15 142 46.89 XLON 15 761 46.89 XLON 15 213 46.92 XLON 15 563 46.92 XLON 15 270 46.92 XLON 15 197 46.92 XLON 15 1 46.93 XLON 15 1 46.93 XLON 15 7 46.93 XLON 15 563 46.93 XLON 15 255 46.93 XLON 15 212 46.93 XLON 15 175 46.93 XLON 15 567 46.93 XLON 15 254 46.94 XLON 15 113 46.94 XLON 15 188 46.93 XLON 15 553 46.93 XLON 15 761 46.96 XLON 15 415 46.97 XLON 15 261 46.97 XLON 15 744 46.96 XLON 15 29/05/2025, 10:40 Transaction in Own Shares - 07:00:05 23 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17051406 13/18 335 46.94 XLON 15 418 46.94 XLON 15 704 46.94 XLON 15 167 46.94 XLON 15 658 46.94 XLON 15 633 46.94 XLON 15 784 46.97 XLON 15 5 46.97 XLON 15 748 47.06 XLON 15 704 47.06 XLON 15 844 47.06 XLON 15 590 47.05 XLON 15 790 47.04 XLON 15 100 47.06 XLON 15 598 47.06 XLON 15 395 47.04 XLON 15 704 47.03 XLON 15 190 47.03 XLON 15 116 47.03 XLON 15 756 47.04 XLON 15 275 47.05 XLON 16 205 47.05 XLON 16 566 47.05 XLON 16 790 47.04 XLON 16 783 47.02 XLON 16 617 47.04 XLON 16 206 47.04 XLON 16 290 47.04 XLON 16 1 47.04 XLON 16 456 47.04 XLON 16 618 47.04 XLON 16 184 47.04 XLON 16 16 47.04 XLON 16 360 47.04 XLON 16 151 47.04 XLON 16 603 47.04 XLON 16 83 47.03 XLON 16 240 47.03 XLON 16 153 47.03 XLON 16 765 47.04 XLON 16 29/05/2025, 10:40 Transaction in Own Shares - 07:00:05 23 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17051406 14/18 440 47.04 XLON 16 246 47.04 XLON 16 15 47.02 XLON 16 100 47.02 XLON 16 100 47.02 XLON 16 26 47.02 XLON 16 2 47.03 XLON 16 326 47.03 XLON 16 289 47.02 XLON 16 701 47.02 XLON 16 105 47.03 XLON 16 701 47.02 XLON 16 110 47.04 XLON 16 550 47.04 XLON 16 469 47.03 XLON 16 98 47.03 XLON 16 8 47.03 XLON 16 422 47.03 XLON 16 531 47.03 XLON 16 149 47.03 XLON 16 85 47.03 XLON 16 446 47.02 XLON 16 115 47.02 XLON 16 403 47.03 XLON 16 301 47.03 XLON 16 200 47.03 XLON 16 55 47.03 XLON 16 279 47.03 XLON 16 150 47.03 XLON 16 263 47.03 XLON 16 69 47.03 XLON 16 10 47.03 XLON 16 451 47.03 XLON 16 164 47.03 XLON 16 190 47.03 XLON 16 139 47.03 XLON 16 21 47.02 XLON 16 446 47.02 XLON 16 704 47.01 XLON 16 8 47.01 XLON 16 29/05/2025, 10:40 Transaction in Own Shares - 07:00:05 23 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17051406 15/18 631 47.01 XLON 16 270 47.01 XLON 16 199 47.01 XLON 16 38 47.01 XLON 16 332 47.02 XLON 16 240 47.02 XLON 16 46 47.02 XLON 16 202 47.02 XLON 16 247 47.02 XLON 16 75 47.02 XLON 16 380 47.02 XLON 16 288 47.02 XLON 16 385 47.02 XLON 16 8 47.04 XLON 16 700 47.04 XLON 16 641 47.04 XLON 16 325 47.05 XLON 16 440 47.05 XLON 16 227 47.04 XLON 16 289 47.05 XLON 16 12 47.05 XLON 16 704 47.05 XLON 16 199 47.05 XLON 16 92 47.05 XLON 16 218 47.05 XLON 16 140 47.06 XLON 16 240 47.06 XLON 16 194 47.06 XLON 16 3 47.06 XLON 16 281 47.06 XLON 16 127 47.06 XLON 16 157 47.06 XLON 16 285 47.06 XLON 16 105 47.06 XLON 16 288 47.06 XLON 16 143 47.10 XLON 16 97 47.10 XLON 16 267 47.10 XLON 16 140 47.10 XLON 16 272 47.10 XLON 16 29/05/2025, 10:40 Transaction in Own Shares - 07:00:05 23 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17051406 16/18


 
256 47.10 XLON 16 516 47.09 XLON 16 529 47.08 XLON 16 315 47.09 XLON 16 44 47.09 XLON 16 704 47.10 XLON 16 264 47.10 XLON 16 203 47.10 XLON 16 431 47.10 XLON 16 133 47.11 XLON 16 237 47.11 XLON 16 214 47.11 XLON 16 76 47.11 XLON 16 159 47.11 XLON 16 69 47.11 XLON 16 242 47.11 XLON 16 314 47.11 XLON 16 7 47.11 XLON 16 100 47.11 XLON 16 100 47.11 XLON 16 100 47.11 XLON 16 54 47.11 XLON 16 Media Enquires: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END 29/05/2025, 10:40 Transaction in Own Shares - 07:00:05 23 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17051406 17/18 London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved. 29/05/2025, 10:40 Transaction in Own Shares - 07:00:05 23 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17051406 18/18


 
EX-99.21 22 a9921-transactioninownsh.htm EX-99.21 a9921-transactioninownsh
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:11 27 May 2025 RNS Number : 0689K Unilever PLC 27 May 2025 TRANSACTIONS IN OWN SECURITIES 27 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following nu ordinary shares on the London Stock Exchange from Goldman Sachs International ("th The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 23 May 2025 Number of ordinary shares purchased: 237,000 Highest price paid per share: GBP 47.0200 Lowest price paid per share: GBP 46.6400 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 1/26 Volume weighted average price paid per share: GBP 46.8461 Such purchases form part of the Company's existing share buy-back programme and we pursuant to the instructions issued to the Broker by the Company on 13 February 2025, on that date. Following the purchase of these shares, Unilever holds 70,412,502 of its ordinary share and has 2,498,135,317 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volum LSE 46.8461 237,000 BATS 0.0000 0 Chi-X 0.0000 0 Turquoise 0.0000 0 Aquis 0.0000 0 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the Market Abuse Regulation), a full breakdown of the individual trades made by the Broke the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Tim 637 46.90 XLON 09 499 46.90 XLON 09 300 46.94 XLON 09 325 46.92 XLON 09 373 46.92 XLON 09 99 46.90 XLON 09 142 46.90 XLON 09 538 46.90 XLON 09 107 46.90 XLON 09 438 46.90 XLON 09 667 46.89 XLON 09 210 46.87 XLON 09 210 46.87 XLON 09 584 46.87 XLON 09 215 46.85 XLON 09 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 2/26 786 46.86 XLON 09 743 46.84 XLON 09 137 46.85 XLON 10 64 46.85 XLON 10 108 46.85 XLON 10 150 46.85 XLON 10 99 46.85 XLON 10 803 46.86 XLON 10 215 46.87 XLON 10 142 46.87 XLON 10 344 46.87 XLON 10 158 46.87 XLON 10 100 46.87 XLON 10 150 46.87 XLON 10 100 46.87 XLON 10 797 46.86 XLON 10 439 46.88 XLON 10 331 46.88 XLON 10 778 46.86 XLON 10 149 46.87 XLON 10 289 46.87 XLON 10 151 46.87 XLON 10 155 46.87 XLON 10 148 46.87 XLON 10 8 46.89 XLON 10 240 46.89 XLON 10 532 46.89 XLON 10 115 46.89 XLON 10 86 46.89 XLON 10 68 46.88 XLON 10 108 46.88 XLON 10 168 46.88 XLON 10 158 46.88 XLON 10 134 46.87 XLON 10 643 46.87 XLON 10 53 46.88 XLON 10 697 46.88 XLON 10 116 46.87 XLON 10 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 3/26 450 46.90 XLON 10 262 46.90 XLON 10 491 46.90 XLON 10 801 46.90 XLON 10 475 46.88 XLON 10 297 46.88 XLON 10 761 46.88 XLON 10 346 46.86 XLON 10 420 46.86 XLON 10 765 46.86 XLON 10 443 46.85 XLON 10 557 46.85 XLON 10 522 46.83 XLON 10 257 46.83 XLON 10 616 46.86 XLON 10 25 46.86 XLON 10 765 46.89 XLON 10 100 46.89 XLON 10 100 46.89 XLON 10 100 46.89 XLON 10 8 46.91 XLON 10 749 46.91 XLON 10 454 46.89 XLON 10 107 46.87 XLON 10 471 46.87 XLON 10 22 46.87 XLON 10 100 46.86 XLON 10 100 46.86 XLON 10 100 46.86 XLON 10 346 46.86 XLON 10 787 46.83 XLON 10 803 46.83 XLON 10 801 46.85 XLON 10 100 46.85 XLON 10 10 46.85 XLON 10 326 46.85 XLON 10 688 46.87 XLON 10 72 46.87 XLON 10 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 4/26


 
72 46.87 XLON 11 710 46.87 XLON 11 59 46.85 XLON 11 51 46.85 XLON 11 54 46.85 XLON 11 287 46.85 XLON 11 86 46.87 XLON 11 108 46.87 XLON 11 151 46.87 XLON 11 111 46.87 XLON 11 85 46.87 XLON 11 148 46.87 XLON 11 151 46.87 XLON 11 120 46.87 XLON 11 784 46.86 XLON 11 804 46.85 XLON 11 92 46.86 XLON 11 97 46.86 XLON 11 97 46.86 XLON 11 132 46.86 XLON 11 65 46.86 XLON 11 323 46.88 XLON 11 174 46.88 XLON 11 345 46.87 XLON 11 398 46.87 XLON 11 555 46.87 XLON 11 232 46.87 XLON 11 488 46.85 XLON 11 287 46.85 XLON 11 658 46.83 XLON 11 244 46.80 XLON 11 76 46.80 XLON 11 110 46.80 XLON 11 359 46.80 XLON 11 55 46.78 XLON 11 723 46.78 XLON 11 341 46.76 XLON 11 372 46.76 XLON 11 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 5/26 569 46.76 XLON 11 567 46.75 XLON 11 100 46.75 XLON 11 100 46.75 XLON 11 100 46.75 XLON 11 100 46.75 XLON 11 451 46.81 XLON 11 88 46.79 XLON 11 329 46.79 XLON 11 369 46.82 XLON 11 786 46.81 XLON 11 510 46.79 XLON 11 800 46.79 XLON 11 50 46.77 XLON 11 758 46.79 XLON 11 83 46.77 XLON 11 789 46.79 XLON 11 242 46.77 XLON 11 762 46.79 XLON 11 318 46.79 XLON 12 3 46.77 XLON 12 180 46.77 XLON 12 100 46.77 XLON 12 100 46.77 XLON 12 100 46.77 XLON 12 31 46.77 XLON 12 302 46.78 XLON 12 482 46.78 XLON 12 777 46.76 XLON 12 421 46.74 XLON 12 378 46.74 XLON 12 416 46.73 XLON 12 178 46.73 XLON 12 168 46.73 XLON 12 355 46.71 XLON 12 414 46.71 XLON 12 100 46.71 XLON 12 100 46.71 XLON 12 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 6/26 100 46.71 XLON 12 100 46.71 XLON 12 13 46.71 XLON 12 681 46.72 XLON 12 547 46.73 XLON 12 465 46.73 XLON 12 255 46.71 XLON 12 178 46.71 XLON 12 283 46.73 XLON 12 227 46.71 XLON 12 766 46.78 XLON 12 738 46.78 XLON 12 672 46.76 XLON 12 8 46.78 XLON 12 39 46.78 XLON 12 719 46.78 XLON 12 751 46.76 XLON 12 448 46.77 XLON 12 10 46.77 XLON 12 296 46.78 XLON 12 291 46.80 XLON 12 213 46.81 XLON 12 233 46.86 XLON 12 226 46.76 XLON 12 213 46.80 XLON 12 207 46.75 XLON 12 216 46.78 XLON 12 215 46.76 XLON 12 215 46.77 XLON 12 211 46.79 XLON 12 214 46.79 XLON 12 201 46.79 XLON 12 142 46.77 XLON 12 263 46.72 XLON 12 255 46.77 XLON 12 238 46.79 XLON 12 77 46.80 XLON 12 168 46.80 XLON 12 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 7/26 239 46.79 XLON 12 235 46.81 XLON 12 232 46.81 XLON 12 224 46.83 XLON 12 214 46.83 XLON 13 221 46.82 XLON 13 100 46.85 XLON 13 254 46.87 XLON 13 121 46.85 XLON 13 87 46.83 XLON 13 8 46.83 XLON 13 122 46.83 XLON 13 202 46.91 XLON 13 286 46.89 XLON 13 240 46.95 XLON 13 237 46.92 XLON 13 11 46.92 XLON 13 240 46.94 XLON 13 226 46.92 XLON 13 218 46.94 XLON 13 229 46.95 XLON 13 231 46.97 XLON 13 225 46.96 XLON 13 215 46.93 XLON 13 214 46.91 XLON 13 249 46.86 XLON 13 243 46.86 XLON 13 219 46.86 XLON 13 215 46.89 XLON 13 6 46.89 XLON 13 205 46.90 XLON 13 215 46.89 XLON 13 211 46.90 XLON 13 201 46.91 XLON 13 205 46.90 XLON 13 209 46.92 XLON 13 288 46.97 XLON 13 74 46.97 XLON 13 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 8/26


 
105 46.97 XLON 13 77 46.97 XLON 13 319 46.97 XLON 13 285 46.95 XLON 13 251 46.96 XLON 13 10 46.96 XLON 13 213 46.99 XLON 13 240 47.01 XLON 13 1 47.01 XLON 13 201 47.02 XLON 13 319 47.01 XLON 13 246 46.99 XLON 13 313 46.96 XLON 13 279 46.94 XLON 13 224 46.92 XLON 13 222 46.89 XLON 13 231 46.87 XLON 13 389 46.94 XLON 13 100 46.92 XLON 13 13 46.92 XLON 13 298 46.98 XLON 13 65 46.98 XLON 13 340 46.96 XLON 13 297 46.94 XLON 13 464 46.98 XLON 13 378 46.98 XLON 13 462 46.96 XLON 13 216 46.96 XLON 13 392 46.98 XLON 13 284 46.96 XLON 13 410 46.96 XLON 13 402 46.94 XLON 13 156 46.92 XLON 13 144 46.92 XLON 13 235 46.92 XLON 13 217 46.93 XLON 13 258 46.96 XLON 13 234 46.96 XLON 13 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 9/26 228 46.96 XLON 13 260 46.99 XLON 13 242 47.00 XLON 13 231 47.00 XLON 13 235 46.99 XLON 13 111 46.97 XLON 13 121 46.97 XLON 13 373 46.99 XLON 13 231 46.97 XLON 13 327 47.01 XLON 13 316 46.99 XLON 13 72 46.99 XLON 13 127 46.99 XLON 13 297 46.99 XLON 14 299 46.97 XLON 14 41 46.97 XLON 14 427 46.99 XLON 14 331 47.00 XLON 14 73 46.97 XLON 14 100 46.97 XLON 14 100 46.97 XLON 14 100 46.97 XLON 14 20 46.97 XLON 14 487 46.98 XLON 14 240 46.96 XLON 14 213 46.96 XLON 14 264 46.94 XLON 14 203 46.95 XLON 14 178 46.93 XLON 14 32 46.93 XLON 14 212 46.90 XLON 14 226 46.90 XLON 14 230 46.89 XLON 14 325 46.89 XLON 14 303 46.89 XLON 14 93 46.87 XLON 14 100 46.87 XLON 14 139 46.89 XLON 14 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 10/26 129 46.89 XLON 14 267 46.89 XLON 14 204 46.86 XLON 14 431 46.86 XLON 14 202 46.84 XLON 14 411 46.84 XLON 14 305 46.83 XLON 14 360 46.84 XLON 14 271 46.84 XLON 14 270 46.84 XLON 14 17 46.84 XLON 14 240 46.81 XLON 14 262 46.80 XLON 14 237 46.80 XLON 14 226 46.78 XLON 14 64 46.83 XLON 14 451 46.87 XLON 14 301 46.85 XLON 14 237 46.86 XLON 14 420 46.86 XLON 14 113 46.86 XLON 14 173 46.83 XLON 14 100 46.85 XLON 14 100 46.85 XLON 14 100 46.85 XLON 14 100 46.85 XLON 14 291 46.85 XLON 14 9 46.85 XLON 14 747 46.85 XLON 14 765 46.88 XLON 14 653 46.90 XLON 14 509 46.92 XLON 14 44 46.92 XLON 14 304 46.92 XLON 14 82 46.92 XLON 14 472 46.90 XLON 14 217 46.88 XLON 14 281 46.90 XLON 14 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 11/26 206 46.90 XLON 14 170 46.90 XLON 14 321 46.92 XLON 14 279 46.90 XLON 14 474 46.92 XLON 14 587 46.92 XLON 14 240 46.92 XLON 14 115 46.92 XLON 14 285 46.92 XLON 14 363 46.92 XLON 14 204 46.90 XLON 14 293 46.88 XLON 14 430 46.86 XLON 14 82 46.85 XLON 14 394 46.85 XLON 14 241 46.83 XLON 14 206 46.80 XLON 14 537 46.79 XLON 14 240 46.77 XLON 14 363 46.77 XLON 14 804 46.77 XLON 14 749 46.76 XLON 14 632 46.74 XLON 14 240 46.74 XLON 14 520 46.74 XLON 14 539 46.74 XLON 14 232 46.74 XLON 14 752 46.74 XLON 14 331 46.72 XLON 14 765 46.72 XLON 14 206 46.71 XLON 14 110 46.71 XLON 14 90 46.71 XLON 14 111 46.71 XLON 14 777 46.70 XLON 14 426 46.70 XLON 14 196 46.70 XLON 14 159 46.70 XLON 14 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 12/26


 
143 46.70 XLON 14 376 46.70 XLON 14 790 46.69 XLON 14 748 46.67 XLON 14 462 46.68 XLON 14 240 46.65 XLON 14 561 46.65 XLON 14 719 46.64 XLON 14 803 46.64 XLON 14 795 46.66 XLON 14 226 46.67 XLON 14 48 46.67 XLON 14 38 46.67 XLON 14 6 46.67 XLON 14 100 46.66 XLON 14 13 46.66 XLON 14 201 46.67 XLON 14 102 46.67 XLON 14 115 46.67 XLON 14 145 46.67 XLON 14 474 46.67 XLON 14 169 46.67 XLON 14 48 46.67 XLON 14 674 46.66 XLON 14 632 46.66 XLON 14 117 46.66 XLON 14 797 46.68 XLON 14 20 46.70 XLON 14 746 46.70 XLON 14 100 46.68 XLON 14 674 46.68 XLON 14 660 46.68 XLON 14 143 46.67 XLON 14 173 46.67 XLON 14 524 46.67 XLON 14 762 46.66 XLON 14 749 46.68 XLON 14 60 46.66 XLON 14 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 13/26 406 46.66 XLON 14 303 46.66 XLON 14 473 46.67 XLON 14 276 46.67 XLON 14 760 46.65 XLON 14 169 46.66 XLON 14 335 46.66 XLON 14 200 46.66 XLON 14 223 46.66 XLON 14 304 46.69 XLON 14 469 46.69 XLON 14 609 46.67 XLON 14 747 46.67 XLON 14 120 46.65 XLON 14 38 46.71 XLON 14 100 46.71 XLON 14 31 46.72 XLON 14 136 46.72 XLON 14 73 46.72 XLON 14 80 46.71 XLON 14 60 46.73 XLON 14 320 46.73 XLON 14 403 46.73 XLON 14 73 46.73 XLON 15 100 46.74 XLON 15 173 46.74 XLON 15 148 46.74 XLON 15 142 46.74 XLON 15 148 46.74 XLON 15 169 46.74 XLON 15 802 46.73 XLON 15 100 46.73 XLON 15 674 46.73 XLON 15 136 46.79 XLON 15 775 46.79 XLON 15 707 46.79 XLON 15 50 46.79 XLON 15 100 46.80 XLON 15 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 14/26 100 46.80 XLON 15 100 46.80 XLON 15 100 46.80 XLON 15 67 46.80 XLON 15 230 46.80 XLON 15 71 46.80 XLON 15 177 46.79 XLON 15 320 46.79 XLON 15 268 46.79 XLON 15 790 46.79 XLON 15 65 46.81 XLON 15 240 46.81 XLON 15 466 46.81 XLON 15 13 46.79 XLON 15 100 46.79 XLON 15 97 46.81 XLON 15 132 46.81 XLON 15 48 46.81 XLON 15 48 46.81 XLON 15 467 46.81 XLON 15 532 46.79 XLON 15 151 46.79 XLON 15 39 46.77 XLON 15 240 46.79 XLON 15 556 46.79 XLON 15 426 46.79 XLON 15 189 46.78 XLON 15 160 46.78 XLON 15 250 46.78 XLON 15 168 46.78 XLON 15 171 46.78 XLON 15 30 46.78 XLON 15 3 46.77 XLON 15 709 46.77 XLON 15 105 46.80 XLON 15 176 46.80 XLON 15 25 46.80 XLON 15 111 46.80 XLON 15 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 15/26 146 46.80 XLON 15 55 46.80 XLON 15 102 46.80 XLON 15 176 46.80 XLON 15 398 46.80 XLON 15 50 46.79 XLON 15 134 46.80 XLON 15 205 46.80 XLON 15 53 46.82 XLON 15 310 46.82 XLON 15 474 46.82 XLON 15 160 46.82 XLON 15 188 46.82 XLON 15 796 46.81 XLON 15 153 46.79 XLON 15 100 46.79 XLON 15 100 46.79 XLON 15 100 46.79 XLON 15 100 46.79 XLON 15 100 46.79 XLON 15 33 46.79 XLON 15 60 46.79 XLON 15 41 46.77 XLON 15 36 46.77 XLON 15 691 46.77 XLON 15 36 46.78 XLON 15 159 46.78 XLON 15 410 46.78 XLON 15 138 46.78 XLON 15 60 46.78 XLON 15 474 46.78 XLON 15 210 46.78 XLON 15 270 46.78 XLON 15 210 46.78 XLON 15 474 46.78 XLON 15 100 46.78 XLON 15 199 46.78 XLON 15 100 46.79 XLON 15 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 16/26


 
43 46.79 XLON 15 474 46.79 XLON 15 98 46.79 XLON 15 787 46.79 XLON 15 759 46.79 XLON 15 295 46.78 XLON 15 97 46.79 XLON 15 314 46.79 XLON 15 208 46.79 XLON 15 266 46.79 XLON 15 129 46.79 XLON 15 56 46.79 XLON 15 52 46.79 XLON 15 473 46.77 XLON 15 316 46.77 XLON 15 118 46.75 XLON 15 676 46.75 XLON 15 249 46.74 XLON 15 183 46.74 XLON 15 128 46.74 XLON 15 332 46.74 XLON 15 418 46.74 XLON 15 474 46.75 XLON 15 100 46.75 XLON 15 142 46.75 XLON 15 142 46.75 XLON 15 744 46.74 XLON 15 41 46.75 XLON 15 100 46.77 XLON 15 100 46.77 XLON 15 417 46.77 XLON 15 162 46.77 XLON 15 771 46.77 XLON 15 61 46.78 XLON 15 745 46.79 XLON 15 594 46.79 XLON 15 167 46.79 XLON 15 170 46.79 XLON 15 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 17/26 185 46.79 XLON 15 794 46.79 XLON 15 786 46.79 XLON 15 792 46.79 XLON 15 755 46.81 XLON 15 770 46.79 XLON 15 66 46.82 XLON 15 151 46.82 XLON 15 161 46.82 XLON 15 594 46.84 XLON 15 240 46.84 XLON 15 169 46.84 XLON 15 170 46.84 XLON 15 92 46.84 XLON 15 109 46.84 XLON 15 145 46.84 XLON 15 594 46.84 XLON 15 193 46.84 XLON 15 94 46.84 XLON 15 169 46.84 XLON 15 154 46.84 XLON 15 261 46.83 XLON 15 194 46.84 XLON 15 7 46.84 XLON 15 100 46.86 XLON 15 93 46.86 XLON 15 594 46.87 XLON 15 150 46.87 XLON 15 144 46.87 XLON 15 449 46.87 XLON 15 95 46.87 XLON 15 43 46.87 XLON 15 268 46.87 XLON 15 480 46.87 XLON 15 118 46.87 XLON 15 91 46.87 XLON 15 60 46.87 XLON 15 594 46.87 XLON 15 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 18/26 155 46.87 XLON 15 194 46.87 XLON 15 589 46.87 XLON 15 749 46.87 XLON 15 200 46.87 XLON 15 280 46.87 XLON 15 795 46.87 XLON 15 197 46.88 XLON 15 230 46.88 XLON 15 177 46.88 XLON 15 594 46.88 XLON 15 154 46.88 XLON 15 157 46.88 XLON 15 170 46.88 XLON 15 594 46.88 XLON 15 157 46.88 XLON 15 171 46.88 XLON 15 150 46.88 XLON 15 519 46.88 XLON 15 760 46.87 XLON 15 756 46.85 XLON 15 472 46.83 XLON 15 14 46.83 XLON 15 87 46.88 XLON 15 243 46.88 XLON 15 167 46.90 XLON 15 153 46.90 XLON 15 38 46.91 XLON 15 161 46.91 XLON 15 168 46.91 XLON 15 82 46.91 XLON 15 230 46.91 XLON 15 537 46.91 XLON 15 200 46.90 XLON 15 1 46.90 XLON 15 230 46.90 XLON 15 173 46.90 XLON 15 172 46.90 XLON 15 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 19/26 594 46.90 XLON 15 210 46.90 XLON 15 243 46.90 XLON 15 527 46.90 XLON 15 152 46.92 XLON 15 116 46.92 XLON 15 30 46.92 XLON 15 149 46.92 XLON 15 205 46.92 XLON 15 117 46.92 XLON 15 160 46.92 XLON 15 96 46.92 XLON 15 775 46.93 XLON 15 171 46.93 XLON 15 237 46.93 XLON 15 152 46.94 XLON 15 49 46.94 XLON 15 142 46.94 XLON 15 178 46.94 XLON 15 38 46.94 XLON 15 154 46.94 XLON 15 70 46.93 XLON 15 159 46.93 XLON 15 190 46.93 XLON 15 71 46.93 XLON 15 594 46.96 XLON 16 208 46.96 XLON 16 500 46.97 XLON 16 255 46.97 XLON 16 268 46.97 XLON 16 160 46.97 XLON 16 166 46.97 XLON 16 80 46.97 XLON 16 100 46.97 XLON 16 78 46.97 XLON 16 40 46.97 XLON 16 306 46.97 XLON 16 260 46.97 XLON 16 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 20/26


 
407 46.97 XLON 16 136 46.98 XLON 16 56 46.98 XLON 16 60 46.98 XLON 16 29 46.98 XLON 16 156 46.98 XLON 16 158 46.98 XLON 16 109 46.98 XLON 16 200 46.98 XLON 16 218 46.98 XLON 16 114 46.97 XLON 16 684 46.97 XLON 16 51 46.98 XLON 16 139 46.98 XLON 16 594 46.98 XLON 16 69 46.98 XLON 16 132 46.98 XLON 16 42 46.98 XLON 16 49 46.98 XLON 16 594 46.98 XLON 16 212 46.98 XLON 16 145 46.98 XLON 16 84 46.98 XLON 16 500 46.97 XLON 16 256 46.97 XLON 16 100 46.95 XLON 16 13 46.95 XLON 16 594 46.96 XLON 16 154 46.96 XLON 16 21 46.96 XLON 16 229 46.95 XLON 16 416 46.95 XLON 16 201 46.95 XLON 16 377 46.95 XLON 16 331 46.95 XLON 16 42 46.95 XLON 16 507 46.95 XLON 16 17 46.95 XLON 16 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 21/26 10 46.95 XLON 16 343 46.95 XLON 16 130 46.96 XLON 16 103 46.96 XLON 16 594 46.96 XLON 16 230 46.96 XLON 16 149 46.97 XLON 16 46 46.97 XLON 16 268 46.97 XLON 16 150 46.97 XLON 16 145 46.97 XLON 16 119 46.97 XLON 16 473 46.95 XLON 16 174 46.95 XLON 16 50 46.93 XLON 16 227 46.93 XLON 16 9 46.94 XLON 16 565 46.96 XLON 16 148 46.96 XLON 16 114 46.96 XLON 16 35 46.96 XLON 16 170 46.96 XLON 16 149 46.96 XLON 16 445 46.96 XLON 16 75 46.96 XLON 16 13 46.96 XLON 16 26 46.96 XLON 16 164 46.96 XLON 16 96 46.96 XLON 16 631 46.95 XLON 16 58 46.95 XLON 16 441 46.95 XLON 16 280 46.94 XLON 16 268 46.94 XLON 16 129 46.94 XLON 16 183 46.96 XLON 16 14 46.96 XLON 16 44 46.96 XLON 16 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 22/26 188 46.96 XLON 16 9 46.96 XLON 16 418 46.95 XLON 16 594 46.97 XLON 16 149 46.97 XLON 16 145 46.97 XLON 16 240 46.97 XLON 16 175 46.97 XLON 16 333 46.97 XLON 16 513 46.97 XLON 16 732 46.96 XLON 16 218 46.95 XLON 16 52 46.93 XLON 16 161 46.93 XLON 16 240 46.92 XLON 16 170 46.92 XLON 16 204 46.92 XLON 16 158 46.92 XLON 16 239 46.92 XLON 16 169 46.92 XLON 16 201 46.92 XLON 16 155 46.92 XLON 16 389 46.94 XLON 16 265 46.94 XLON 16 594 46.93 XLON 16 1 46.93 XLON 16 262 46.93 XLON 16 255 46.93 XLON 16 248 46.93 XLON 16 177 46.91 XLON 16 31 46.91 XLON 16 418 46.91 XLON 16 75 46.92 XLON 16 163 46.92 XLON 16 594 46.92 XLON 16 153 46.92 XLON 16 203 46.93 XLON 16 190 46.93 XLON 16 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 23/26 204 46.93 XLON 16 896 46.92 XLON 16 335 46.91 XLON 16 11 46.91 XLON 16 302 46.91 XLON 16 51 46.91 XLON 16 353 46.91 XLON 16 329 46.92 XLON 16 345 46.92 XLON 16 155 46.92 XLON 16 66 46.92 XLON 16 417 46.92 XLON 16 36 46.91 XLON 16 304 46.91 XLON 16 481 46.92 XLON 16 70 46.92 XLON 16 143 46.92 XLON 16 33 46.92 XLON 16 201 46.94 XLON 16 353 46.94 XLON 16 79 46.94 XLON 16 42 46.94 XLON 16 67 46.94 XLON 16 801 46.93 XLON 16 433 46.93 XLON 16 303 46.93 XLON 16 594 46.93 XLON 16 230 46.93 XLON 16 161 46.93 XLON 16 44 46.93 XLON 16 157 46.93 XLON 16 69 46.93 XLON 16 109 46.93 XLON 16 78 46.94 XLON 16 240 46.94 XLON 16 250 46.94 XLON 16 449 46.93 XLON 16 265 46.94 XLON 16 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 24/26


 
594 46.94 XLON 16 105 46.94 XLON 16 453 46.93 XLON 16 147 46.93 XLON 16 92 46.93 XLON 16 100 46.93 XLON 16 92 46.93 XLON 16 197 46.93 XLON 16 275 46.94 XLON 16 169 46.94 XLON 16 200 46.94 XLON 16 156 46.94 XLON 16 8 46.94 XLON 16 232 46.94 XLON 16 127 46.94 XLON 16 126 46.94 XLON 16 290 46.93 XLON 16 305 46.93 XLON 16 195 46.93 XLON 16 594 46.93 XLON 16 196 46.93 XLON 16 100 46.93 XLON 16 240 46.93 XLON 16 64 46.93 XLON 16 26 46.93 XLON 16 159 46.93 XLON 16 544 46.93 XLON 16 261 46.92 XLON 16 18 46.93 XLON 16 143 46.93 XLON 16 154 46.93 XLON 16 240 46.93 XLON 16 181 46.93 XLON 16 7 46.93 XLON 16 49 46.93 XLON 16 14 46.93 XLON 16 240 46.93 XLON 16 159 46.93 XLON 16 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 25/26 510 46.94 XLON 16 431 46.94 XLON 16 Media Enquires: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved. 29/05/2025, 10:41 Transaction in Own Shares - 07:00:11 27 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17054140 26/26


 
EX-99.22 23 a9922-transactioninownsh.htm EX-99.22 a9922-transactioninownsh
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:05 28 May 2025 RNS Number : 3076K Unilever PLC 28 May 2025 TRANSACTIONS IN OWN SECURITIES 28 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following nu ordinary shares on the London Stock Exchange from Goldman Sachs International ("th The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 27 May 2025 Number of ordinary shares purchased: 240,000 Highest price paid per share: GBP 47.3300 Lowest price paid per share: GBP 46.8300 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 1/20 Volume weighted average price paid per share: GBP 47.0893 Such purchases form part of the Company's existing share buy-back programme and we pursuant to the instructions issued to the Broker by the Company on 13 February 2025, on that date. Following the purchase of these shares, Unilever holds 70,652,502 of its ordinary share and has 2,497,895,317 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volume LSE 47.0893 240,000 BATS 0.0000 0 Chi-X 0.0000 0 Turquoise 0.0000 0 Aquis 0.0000 0 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the U Market Abuse Regulation), a full breakdown of the individual trades made by the Broke the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Tim 619 46.99 XLON 10 320 46.99 XLON 10 139 46.99 XLON 10 232 46.99 XLON 10 78 46.99 XLON 10 576 46.99 XLON 10 475 47.03 XLON 10 254 47.01 XLON 10 49 47.01 XLON 10 189 47.01 XLON 10 230 47.01 XLON 10 202 47.03 XLON 10 415 47.03 XLON 10 304 47.04 XLON 10 166 47.04 XLON 10 340 47.05 XLON 10 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 2/20 374 47.03 XLON 10 96 47.01 XLON 10 334 47.01 XLON 10 252 47.02 XLON 10 96 47.04 XLON 10 129 47.04 XLON 10 238 47.02 XLON 10 448 47.05 XLON 10 16 47.03 XLON 10 301 47.03 XLON 10 387 47.03 XLON 10 242 47.00 XLON 10 692 47.03 XLON 10 84 47.01 XLON 10 401 47.01 XLON 10 260 47.02 XLON 10 329 47.02 XLON 10 574 47.05 XLON 10 288 47.03 XLON 10 171 47.03 XLON 10 526 47.02 XLON 10 224 47.04 XLON 10 545 47.04 XLON 10 100 47.02 XLON 11 100 47.02 XLON 11 100 47.02 XLON 11 100 47.02 XLON 11 78 47.02 XLON 11 260 47.02 XLON 11 30 47.02 XLON 11 476 47.00 XLON 11 78 47.01 XLON 11 460 47.01 XLON 11 217 47.01 XLON 11 263 47.02 XLON 11 35 47.02 XLON 11 504 47.02 XLON 11 136 47.01 XLON 11 631 47.01 XLON 11 504 47.03 XLON 11 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 3/20 139 47.03 XLON 11 500 47.03 XLON 11 288 47.03 XLON 11 84 47.03 XLON 11 744 47.02 XLON 11 791 46.99 XLON 11 731 46.97 XLON 11 800 46.97 XLON 11 304 46.95 XLON 11 304 46.95 XLON 11 60 46.95 XLON 11 48 46.95 XLON 11 46 46.95 XLON 11 755 46.92 XLON 11 624 46.94 XLON 11 92 46.94 XLON 11 304 46.94 XLON 11 311 46.94 XLON 11 260 46.96 XLON 11 288 46.96 XLON 11 152 46.96 XLON 11 199 46.96 XLON 11 468 46.98 XLON 11 147 46.98 XLON 11 119 46.96 XLON 11 378 46.96 XLON 11 180 46.96 XLON 11 130 46.96 XLON 11 528 46.94 XLON 11 583 46.94 XLON 11 2 46.99 XLON 11 630 46.99 XLON 11 217 46.99 XLON 11 193 46.99 XLON 11 180 46.99 XLON 11 30 46.98 XLON 11 172 46.98 XLON 11 88 46.98 XLON 11 499 46.98 XLON 11 90 46.96 XLON 11 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 4/20


 
100 46.96 XLON 11 259 46.97 XLON 11 567 46.97 XLON 11 565 46.96 XLON 11 690 46.96 XLON 11 79 46.96 XLON 11 132 46.97 XLON 11 373 46.96 XLON 11 557 46.97 XLON 11 222 46.98 XLON 11 186 46.98 XLON 11 204 46.98 XLON 11 179 46.98 XLON 11 500 46.98 XLON 11 88 46.98 XLON 11 11 46.96 XLON 11 107 46.96 XLON 11 256 46.96 XLON 11 480 46.96 XLON 12 260 46.96 XLON 12 617 46.94 XLON 12 178 46.91 XLON 12 580 46.91 XLON 12 544 46.89 XLON 12 221 46.89 XLON 12 794 46.91 XLON 12 432 46.91 XLON 12 303 46.91 XLON 12 200 46.93 XLON 12 569 46.93 XLON 12 100 46.91 XLON 12 100 46.91 XLON 12 100 46.91 XLON 12 100 46.91 XLON 12 30 46.91 XLON 12 560 46.92 XLON 12 180 46.92 XLON 12 24 46.92 XLON 12 304 46.92 XLON 12 372 46.92 XLON 12 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 5/20 307 46.92 XLON 12 178 46.93 XLON 12 572 46.93 XLON 12 180 46.95 XLON 12 568 46.95 XLON 12 757 46.95 XLON 12 304 46.93 XLON 12 483 46.93 XLON 12 304 46.91 XLON 12 429 46.91 XLON 12 457 46.89 XLON 12 756 46.96 XLON 12 260 46.94 XLON 12 502 46.94 XLON 12 767 46.92 XLON 12 45 46.91 XLON 13 725 46.91 XLON 13 245 46.92 XLON 13 544 46.92 XLON 13 204 46.91 XLON 13 20 46.91 XLON 13 512 46.91 XLON 13 388 46.93 XLON 13 404 46.93 XLON 13 779 46.93 XLON 13 6 46.91 XLON 13 729 46.91 XLON 13 752 46.91 XLON 13 3 46.91 XLON 13 750 46.89 XLON 13 256 46.87 XLON 13 321 46.87 XLON 13 304 46.85 XLON 13 448 46.85 XLON 13 260 46.88 XLON 13 608 46.90 XLON 13 163 46.90 XLON 13 189 46.90 XLON 13 559 46.90 XLON 13 246 46.90 XLON 13 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 6/20 260 46.90 XLON 13 252 46.90 XLON 13 182 46.88 XLON 13 328 46.88 XLON 13 192 46.88 XLON 13 585 46.88 XLON 13 608 46.86 XLON 13 182 46.86 XLON 13 51 46.83 XLON 13 749 46.89 XLON 13 591 46.89 XLON 13 100 46.89 XLON 13 1,000 46.89 XLON 13 200 46.89 XLON 13 315 46.89 XLON 13 156 46.91 XLON 13 151 46.92 XLON 13 199 46.92 XLON 13 192 46.92 XLON 13 192 46.92 XLON 13 591 46.92 XLON 13 688 46.91 XLON 13 99 46.91 XLON 13 219 46.91 XLON 13 224 46.91 XLON 13 200 46.91 XLON 13 187 46.91 XLON 13 385 46.91 XLON 13 378 46.92 XLON 13 791 46.91 XLON 13 780 46.91 XLON 13 800 46.89 XLON 13 209 46.87 XLON 13 200 46.87 XLON 13 342 46.87 XLON 13 193 46.87 XLON 13 6 46.87 XLON 13 80 46.87 XLON 13 509 46.87 XLON 13 193 46.93 XLON 14 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 7/20 596 46.93 XLON 14 93 46.93 XLON 14 650 46.93 XLON 14 218 46.93 XLON 14 190 46.95 XLON 14 776 46.97 XLON 14 192 46.95 XLON 14 206 46.95 XLON 14 61 46.95 XLON 14 71 46.95 XLON 14 57 46.95 XLON 14 36 46.95 XLON 14 206 46.95 XLON 14 47 46.95 XLON 14 122 46.97 XLON 14 210 46.97 XLON 14 191 46.97 XLON 14 238 46.97 XLON 14 793 46.97 XLON 14 782 46.97 XLON 14 753 46.97 XLON 14 472 46.95 XLON 14 243 46.93 XLON 14 310 46.93 XLON 14 196 46.93 XLON 14 591 46.95 XLON 14 100 46.95 XLON 14 282 46.95 XLON 14 15 46.95 XLON 14 146 46.95 XLON 14 62 46.95 XLON 14 369 46.95 XLON 14 315 46.95 XLON 14 365 46.95 XLON 14 211 46.99 XLON 14 227 46.99 XLON 14 230 46.99 XLON 14 591 47.00 XLON 14 190 47.00 XLON 14 164 47.00 XLON 14 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 8/20


 
324 47.00 XLON 14 159 47.03 XLON 14 588 47.03 XLON 14 380 47.03 XLON 14 401 47.03 XLON 14 290 47.03 XLON 14 470 47.03 XLON 14 182 47.02 XLON 14 18 47.02 XLON 14 192 47.02 XLON 14 8 47.02 XLON 14 264 47.03 XLON 14 479 47.03 XLON 14 85 47.03 XLON 14 189 47.03 XLON 14 522 47.03 XLON 14 218 47.01 XLON 14 292 47.01 XLON 14 260 47.01 XLON 14 21 47.01 XLON 14 210 47.05 XLON 14 551 47.05 XLON 14 192 47.07 XLON 14 104 47.07 XLON 14 673 47.07 XLON 14 304 47.07 XLON 14 439 47.07 XLON 14 743 47.09 XLON 14 548 47.09 XLON 14 243 47.09 XLON 14 765 47.11 XLON 14 213 47.11 XLON 14 544 47.11 XLON 14 2 47.11 XLON 14 212 47.09 XLON 14 567 47.09 XLON 14 769 47.14 XLON 14 6 47.14 XLON 14 219 47.14 XLON 14 24 47.14 XLON 14 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 9/20 774 47.16 XLON 14 210 47.18 XLON 14 518 47.18 XLON 14 18 47.18 XLON 14 195 47.16 XLON 14 565 47.16 XLON 14 500 47.14 XLON 14 196 47.13 XLON 14 558 47.13 XLON 14 221 47.13 XLON 14 538 47.13 XLON 14 218 47.15 XLON 14 524 47.15 XLON 14 191 47.15 XLON 14 557 47.15 XLON 14 218 47.15 XLON 14 567 47.15 XLON 14 762 47.17 XLON 14 200 47.22 XLON 14 127 47.21 XLON 14 644 47.21 XLON 14 226 47.22 XLON 14 198 47.22 XLON 14 197 47.22 XLON 14 190 47.22 XLON 14 198 47.22 XLON 14 219 47.23 XLON 14 206 47.23 XLON 14 740 47.23 XLON 14 213 47.23 XLON 14 137 47.23 XLON 14 193 47.23 XLON 14 592 47.23 XLON 14 780 47.21 XLON 14 93 47.21 XLON 14 79 47.21 XLON 14 624 47.21 XLON 14 755 47.21 XLON 14 390 47.22 XLON 14 236 47.22 XLON 14 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 10/20 500 47.22 XLON 14 183 47.22 XLON 14 67 47.22 XLON 14 32 47.21 XLON 14 717 47.21 XLON 14 441 47.22 XLON 14 274 47.24 XLON 14 98 47.24 XLON 14 740 47.24 XLON 14 219 47.24 XLON 14 16 47.24 XLON 14 190 47.23 XLON 14 572 47.23 XLON 14 778 47.21 XLON 14 40 47.19 XLON 14 739 47.19 XLON 14 192 47.20 XLON 14 605 47.20 XLON 14 185 47.20 XLON 14 592 47.20 XLON 14 11 47.20 XLON 14 198 47.18 XLON 14 558 47.18 XLON 14 779 47.16 XLON 14 191 47.18 XLON 14 9 47.18 XLON 14 540 47.19 XLON 14 112 47.19 XLON 14 304 47.18 XLON 14 493 47.18 XLON 14 719 47.18 XLON 14 594 47.18 XLON 14 788 47.16 XLON 14 764 47.16 XLON 14 189 47.14 XLON 14 214 47.14 XLON 14 381 47.14 XLON 14 800 47.15 XLON 14 201 47.15 XLON 14 593 47.15 XLON 14 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 11/20 755 47.15 XLON 14 190 47.13 XLON 14 600 47.13 XLON 14 720 47.11 XLON 14 42 47.11 XLON 14 67 47.11 XLON 14 450 47.11 XLON 14 749 47.10 XLON 14 80 47.13 XLON 14 120 47.13 XLON 14 195 47.13 XLON 14 143 47.13 XLON 14 787 47.12 XLON 14 780 47.12 XLON 15 180 47.12 XLON 15 619 47.12 XLON 15 460 47.12 XLON 15 93 47.12 XLON 15 445 47.12 XLON 15 337 47.12 XLON 15 746 47.12 XLON 15 746 47.12 XLON 15 219 47.10 XLON 15 180 47.10 XLON 15 180 47.10 XLON 15 208 47.10 XLON 15 48 47.08 XLON 15 725 47.08 XLON 15 190 47.09 XLON 15 555 47.09 XLON 15 797 47.07 XLON 15 327 47.07 XLON 15 263 47.07 XLON 15 545 47.05 XLON 15 544 47.08 XLON 15 65 47.08 XLON 15 141 47.06 XLON 15 213 47.06 XLON 15 125 47.06 XLON 15 775 47.11 XLON 15 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 12/20


 
740 47.10 XLON 15 80 47.10 XLON 15 32 47.10 XLON 15 135 47.09 XLON 15 644 47.09 XLON 15 206 47.10 XLON 15 199 47.10 XLON 15 231 47.10 XLON 15 602 47.10 XLON 15 15 47.09 XLON 15 96 47.09 XLON 15 658 47.09 XLON 15 683 47.09 XLON 15 740 47.09 XLON 15 776 47.09 XLON 15 750 47.09 XLON 15 690 47.07 XLON 15 786 47.09 XLON 15 778 47.09 XLON 15 19 47.07 XLON 15 100 47.07 XLON 15 100 47.07 XLON 15 100 47.07 XLON 15 100 47.07 XLON 15 100 47.07 XLON 15 156 47.07 XLON 15 798 47.07 XLON 15 36 47.11 XLON 15 236 47.11 XLON 15 496 47.11 XLON 15 28 47.11 XLON 15 753 47.11 XLON 15 746 47.13 XLON 15 200 47.16 XLON 15 707 47.16 XLON 15 224 47.19 XLON 15 764 47.19 XLON 15 550 47.20 XLON 15 53 47.20 XLON 15 222 47.21 XLON 15 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 13/20 250 47.21 XLON 15 196 47.21 XLON 15 64 47.21 XLON 15 740 47.22 XLON 15 97 47.22 XLON 15 740 47.23 XLON 15 775 47.23 XLON 15 304 47.25 XLON 15 96 47.25 XLON 15 198 47.25 XLON 15 114 47.26 XLON 15 430 47.26 XLON 15 500 47.26 XLON 15 270 47.29 XLON 15 507 47.29 XLON 15 41 47.29 XLON 15 107 47.30 XLON 15 472 47.30 XLON 15 170 47.30 XLON 15 740 47.30 XLON 15 708 47.29 XLON 15 744 47.27 XLON 15 750 47.29 XLON 15 777 47.31 XLON 15 740 47.31 XLON 15 26 47.31 XLON 15 198 47.32 XLON 15 925 47.32 XLON 15 48 47.32 XLON 15 210 47.33 XLON 15 546 47.33 XLON 15 420 47.33 XLON 15 324 47.33 XLON 15 768 47.33 XLON 15 164 47.33 XLON 15 627 47.33 XLON 15 748 47.33 XLON 15 36 47.33 XLON 15 757 47.33 XLON 15 249 47.33 XLON 15 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 14/20 256 47.33 XLON 15 296 47.33 XLON 15 664 47.32 XLON 15 36 47.32 XLON 15 777 47.31 XLON 15 21 47.29 XLON 15 727 47.29 XLON 15 450 47.28 XLON 15 120 47.28 XLON 15 318 47.28 XLON 15 630 47.27 XLON 15 116 47.27 XLON 15 744 47.25 XLON 15 189 47.23 XLON 15 562 47.23 XLON 15 459 47.22 XLON 15 694 47.20 XLON 15 68 47.20 XLON 15 689 47.18 XLON 15 137 47.17 XLON 15 401 47.17 XLON 15 205 47.17 XLON 15 756 47.18 XLON 15 603 47.19 XLON 15 730 47.21 XLON 15 661 47.19 XLON 15 194 47.19 XLON 15 426 47.19 XLON 15 429 47.17 XLON 15 751 47.18 XLON 15 466 47.18 XLON 15 305 47.18 XLON 15 598 47.19 XLON 15 784 47.20 XLON 15 777 47.18 XLON 15 576 47.18 XLON 15 7 47.18 XLON 15 591 47.21 XLON 15 25 47.20 XLON 15 722 47.20 XLON 15 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 15/20 260 47.20 XLON 15 41 47.20 XLON 15 786 47.18 XLON 15 472 47.18 XLON 15 219 47.18 XLON 15 41 47.18 XLON 15 231 47.18 XLON 15 356 47.18 XLON 15 212 47.18 XLON 15 166 47.18 XLON 15 247 47.16 XLON 15 654 47.16 XLON 15 240 47.14 XLON 16 218 47.12 XLON 16 222 47.12 XLON 16 249 47.11 XLON 16 482 47.11 XLON 16 236 47.11 XLON 16 259 47.11 XLON 16 168 47.11 XLON 16 83 47.11 XLON 16 586 47.11 XLON 16 786 47.11 XLON 16 650 47.10 XLON 16 530 47.08 XLON 16 247 47.08 XLON 16 515 47.08 XLON 16 43 47.06 XLON 16 240 47.06 XLON 16 261 47.06 XLON 16 27 47.06 XLON 16 752 47.09 XLON 16 8 47.09 XLON 16 280 47.09 XLON 16 925 47.10 XLON 16 223 47.10 XLON 16 776 47.11 XLON 16 779 47.11 XLON 16 925 47.11 XLON 16 115 47.11 XLON 16 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 16/20


 
355 47.11 XLON 16 272 47.12 XLON 16 252 47.12 XLON 16 99 47.12 XLON 16 225 47.13 XLON 16 372 47.13 XLON 16 553 47.13 XLON 16 23 47.13 XLON 16 823 47.12 XLON 16 350 47.14 XLON 16 73 47.14 XLON 16 161 47.15 XLON 16 255 47.15 XLON 16 138 47.15 XLON 16 288 47.15 XLON 16 519 47.15 XLON 16 145 47.15 XLON 16 231 47.15 XLON 16 202 47.15 XLON 16 256 47.15 XLON 16 304 47.15 XLON 16 399 47.15 XLON 16 304 47.15 XLON 16 260 47.15 XLON 16 134 47.15 XLON 16 741 47.17 XLON 16 156 47.18 XLON 16 248 47.18 XLON 16 152 47.18 XLON 16 672 47.18 XLON 16 238 47.17 XLON 16 77 47.17 XLON 16 256 47.17 XLON 16 304 47.15 XLON 16 79 47.15 XLON 16 74 47.15 XLON 16 216 47.17 XLON 16 100 47.17 XLON 16 759 47.17 XLON 16 241 47.17 XLON 16 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 17/20 78 47.17 XLON 16 553 47.16 XLON 16 819 47.16 XLON 16 200 47.16 XLON 16 305 47.16 XLON 16 279 47.16 XLON 16 182 47.16 XLON 16 225 47.15 XLON 16 297 47.15 XLON 16 369 47.18 XLON 16 163 47.18 XLON 16 423 47.18 XLON 16 548 47.18 XLON 16 337 47.18 XLON 16 470 47.18 XLON 16 481 47.18 XLON 16 312 47.18 XLON 16 209 47.18 XLON 16 31 47.18 XLON 16 278 47.18 XLON 16 266 47.18 XLON 16 95 47.18 XLON 16 647 47.17 XLON 16 322 47.16 XLON 16 234 47.14 XLON 16 382 47.13 XLON 16 391 47.13 XLON 16 424 47.13 XLON 16 110 47.13 XLON 16 263 47.13 XLON 16 12 47.13 XLON 16 271 47.13 XLON 16 266 47.13 XLON 16 52 47.13 XLON 16 489 47.14 XLON 16 295 47.13 XLON 16 255 47.14 XLON 16 284 47.14 XLON 16 267 47.14 XLON 16 528 47.14 XLON 16 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 18/20 3 47.14 XLON 16 45 47.14 XLON 16 256 47.14 XLON 16 19 47.14 XLON 16 238 47.14 XLON 16 164 47.14 XLON 16 319 47.14 XLON 16 71 47.14 XLON 16 180 47.14 XLON 16 549 47.14 XLON 16 244 47.14 XLON 16 235 47.14 XLON 16 35 47.13 XLON 16 912 47.13 XLON 16 123 47.13 XLON 16 308 47.13 XLON 16 199 47.13 XLON 16 255 47.13 XLON 16 233 47.13 XLON 16 206 47.13 XLON 16 312 47.13 XLON 16 168 47.13 XLON 16 392 47.13 XLON 16 200 47.13 XLON 16 277 47.13 XLON 16 255 47.13 XLON 16 188 47.13 XLON 16 239 47.13 XLON 16 190 47.13 XLON 16 269 47.12 XLON 16 592 47.13 XLON 16 200 47.13 XLON 16 269 47.13 XLON 16 424 47.13 XLON 16 232 47.13 XLON 16 171 47.13 XLON 16 260 47.12 XLON 16 11 47.12 XLON 16 175 47.12 XLON 16 256 47.12 XLON 16 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 19/20 78 47.12 XLON 16 1 47.12 XLON 16 113 47.12 XLON 16 473 47.12 XLON 16 452 47.13 XLON 16 212 47.12 XLON 16 283 47.12 XLON 16 376 47.13 XLON 16 41 47.13 XLON 16 287 47.12 XLON 16 Media Enquiries: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved. 29/05/2025, 10:43 Transaction in Own Shares - 07:00:05 28 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17056571 20/20


 
EX-99.23 24 a9923-transactioninownsh.htm EX-99.23 a9923-transactioninownsh
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:08 29 May 2025 RNS Number : 4992K Unilever PLC 29 May 2025 TRANSACTIONS IN OWN SECURITIES 29 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following nu ordinary shares on the London Stock Exchange from Goldman Sachs International ("th The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 28 May 2025 Number of ordinary shares purchased: 240,000 Highest price paid per share: GBP 47.0300 Lowest price paid per share: GBP 46.5900 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 1/19 Volume weighted average price paid per share: GBP 46.8387 Such purchases form part of the Company's existing share buy-back programme and we pursuant to the instructions issued to the Broker by the Company on 13 February 2025, on that date. Following the purchase of these shares, Unilever holds 70,892,502 of its ordinary share and has 2,497,655,317 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volum LSE 46.8387 240,000 BATS 0.0000 0 Chi-X 0.0000 0 Turquoise 0.0000 0 Aquis 0.0000 0 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the Market Abuse Regulation), a full breakdown of the individual trades made by the Broke the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Tim 672 46.92 XLON 09 442 46.92 XLON 09 303 46.97 XLON 09 211 46.98 XLON 09 47 46.95 XLON 09 290 46.95 XLON 09 228 46.97 XLON 09 241 46.97 XLON 09 241 46.97 XLON 09 203 46.95 XLON 09 209 46.95 XLON 09 124 46.96 XLON 09 159 46.96 XLON 09 114 46.99 XLON 09 443 47.01 XLON 09 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 2/19 39 46.99 XLON 09 184 46.99 XLON 09 475 46.99 XLON 09 517 47.01 XLON 09 226 46.99 XLON 09 169 46.99 XLON 09 353 46.97 XLON 09 352 46.96 XLON 10 2 46.96 XLON 10 378 46.94 XLON 10 251 46.92 XLON 10 465 46.93 XLON 10 247 46.93 XLON 10 183 46.93 XLON 10 566 46.93 XLON 10 36 46.91 XLON 10 226 46.91 XLON 10 72 46.91 XLON 10 403 46.91 XLON 10 91 46.93 XLON 10 459 46.93 XLON 10 440 46.93 XLON 10 360 46.91 XLON 10 389 46.89 XLON 10 55 46.87 XLON 10 190 46.87 XLON 10 784 46.90 XLON 10 767 46.88 XLON 10 72 46.87 XLON 11 683 46.87 XLON 11 113 46.85 XLON 11 259 46.85 XLON 11 350 46.83 XLON 11 426 46.83 XLON 11 751 46.81 XLON 11 770 46.80 XLON 11 68 46.79 XLON 11 765 46.78 XLON 11 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 3/19 277 46.76 XLON 11 133 46.79 XLON 11 40 46.79 XLON 11 394 46.79 XLON 11 53 46.79 XLON 11 756 46.77 XLON 11 394 46.76 XLON 11 259 46.76 XLON 11 11 46.77 XLON 11 40 46.77 XLON 11 104 46.77 XLON 11 1,044 46.77 XLON 11 780 46.75 XLON 11 354 46.76 XLON 11 394 46.76 XLON 11 153 46.76 XLON 11 63 46.76 XLON 11 4 46.75 XLON 11 761 46.75 XLON 11 136 46.73 XLON 11 575 46.73 XLON 11 756 46.71 XLON 11 182 46.70 XLON 11 592 46.70 XLON 11 355 46.70 XLON 11 415 46.70 XLON 11 782 46.68 XLON 11 196 46.66 XLON 11 573 46.66 XLON 11 629 46.63 XLON 11 492 46.61 XLON 11 584 46.59 XLON 11 155 46.62 XLON 11 6 46.70 XLON 11 420 46.70 XLON 11 340 46.70 XLON 11 734 46.68 XLON 11 781 46.68 XLON 11 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 4/19


 
521 46.71 XLON 11 290 46.71 XLON 11 20 46.71 XLON 11 20 46.71 XLON 11 115 46.72 XLON 11 100 46.72 XLON 11 394 46.72 XLON 11 131 46.72 XLON 11 92 46.72 XLON 11 71 46.72 XLON 11 768 46.73 XLON 11 18 46.71 XLON 11 764 46.71 XLON 11 796 46.69 XLON 11 773 46.70 XLON 11 412 46.70 XLON 11 590 46.72 XLON 11 433 46.73 XLON 11 401 46.77 XLON 11 409 46.75 XLON 11 226 46.73 XLON 11 205 46.73 XLON 11 230 46.74 XLON 11 245 46.75 XLON 11 241 46.74 XLON 11 247 46.74 XLON 11 237 46.72 XLON 11 114 46.77 XLON 11 305 46.77 XLON 11 521 46.77 XLON 11 114 46.75 XLON 11 301 46.75 XLON 11 21 46.73 XLON 11 259 46.73 XLON 11 381 46.77 XLON 11 124 46.75 XLON 11 180 46.75 XLON 11 112 46.75 XLON 11 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 5/19 194 46.75 XLON 11 275 46.75 XLON 11 447 46.75 XLON 11 144 46.75 XLON 11 295 46.75 XLON 11 782 46.77 XLON 11 113 46.75 XLON 11 672 46.75 XLON 11 606 46.76 XLON 11 280 46.75 XLON 11 245 46.76 XLON 11 116 46.79 XLON 11 367 46.79 XLON 11 442 46.79 XLON 11 38 46.77 XLON 11 372 46.77 XLON 11 60 46.77 XLON 11 136 46.77 XLON 11 49 46.77 XLON 11 114 46.77 XLON 11 396 46.77 XLON 11 289 46.75 XLON 11 105 46.73 XLON 11 245 46.73 XLON 11 797 46.76 XLON 11 114 46.76 XLON 11 625 46.76 XLON 11 5 46.76 XLON 11 608 46.80 XLON 11 164 46.80 XLON 11 673 46.80 XLON 11 290 46.80 XLON 12 198 46.80 XLON 12 694 46.78 XLON 12 478 46.79 XLON 12 343 46.78 XLON 12 238 46.76 XLON 12 242 46.74 XLON 12 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 6/19 115 46.74 XLON 12 798 46.75 XLON 12 400 46.73 XLON 12 389 46.73 XLON 12 250 46.76 XLON 12 139 46.76 XLON 12 107 46.76 XLON 12 347 46.76 XLON 12 765 46.75 XLON 12 798 46.75 XLON 12 777 46.73 XLON 12 619 46.74 XLON 12 336 46.73 XLON 12 315 46.71 XLON 12 842 46.78 XLON 12 774 46.80 XLON 12 83 46.83 XLON 12 715 46.83 XLON 12 804 46.83 XLON 12 806 46.84 XLON 12 787 46.84 XLON 12 776 46.84 XLON 12 519 46.84 XLON 12 327 46.83 XLON 12 799 46.81 XLON 12 378 46.78 XLON 12 232 46.78 XLON 12 247 46.77 XLON 13 659 46.79 XLON 13 560 46.77 XLON 13 763 46.80 XLON 13 805 46.80 XLON 13 773 46.80 XLON 13 760 46.81 XLON 13 783 46.81 XLON 13 758 46.82 XLON 13 811 46.80 XLON 13 668 46.78 XLON 13 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 7/19 171 46.78 XLON 13 171 46.78 XLON 13 410 46.78 XLON 13 421 46.80 XLON 13 382 46.80 XLON 13 341 46.80 XLON 13 290 46.80 XLON 13 150 46.80 XLON 13 784 46.81 XLON 13 673 46.83 XLON 13 751 46.82 XLON 13 205 46.82 XLON 13 314 46.82 XLON 13 259 46.82 XLON 13 802 46.84 XLON 13 785 46.82 XLON 13 761 46.82 XLON 13 751 46.80 XLON 13 803 46.80 XLON 13 765 46.80 XLON 13 789 46.78 XLON 13 767 46.76 XLON 14 325 46.82 XLON 14 114 46.82 XLON 14 360 46.82 XLON 14 85 46.83 XLON 14 325 46.83 XLON 14 76 46.83 XLON 14 271 46.81 XLON 14 512 46.81 XLON 14 304 46.79 XLON 14 99 46.79 XLON 14 382 46.79 XLON 14 685 46.77 XLON 14 754 46.79 XLON 14 790 46.83 XLON 14 407 46.83 XLON 14 171 46.83 XLON 14 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 8/19


 
206 46.83 XLON 14 760 46.81 XLON 14 28 46.81 XLON 14 745 46.81 XLON 14 758 46.79 XLON 14 194 46.80 XLON 14 584 46.80 XLON 14 156 46.82 XLON 14 173 46.81 XLON 14 105 46.81 XLON 14 154 46.81 XLON 14 154 46.81 XLON 14 1 46.81 XLON 14 768 46.80 XLON 14 763 46.80 XLON 14 812 46.86 XLON 14 781 46.84 XLON 14 36 46.84 XLON 14 439 46.84 XLON 14 788 46.82 XLON 14 268 46.82 XLON 14 603 46.86 XLON 14 577 46.87 XLON 14 530 46.87 XLON 14 165 46.88 XLON 14 444 46.88 XLON 14 53 46.88 XLON 14 652 46.88 XLON 14 5 46.92 XLON 14 771 46.92 XLON 14 465 46.92 XLON 14 39 46.92 XLON 14 799 46.90 XLON 14 289 46.91 XLON 14 315 46.91 XLON 14 270 46.91 XLON 14 805 46.94 XLON 14 776 46.92 XLON 14 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 9/19 188 46.94 XLON 14 126 46.94 XLON 14 485 46.94 XLON 14 770 46.98 XLON 14 132 46.99 XLON 14 623 46.99 XLON 14 463 46.99 XLON 14 113 46.98 XLON 14 121 46.98 XLON 14 522 46.98 XLON 14 14 46.98 XLON 14 426 46.98 XLON 14 450 46.98 XLON 14 211 46.96 XLON 14 552 46.96 XLON 14 809 46.96 XLON 14 200 46.98 XLON 14 407 46.98 XLON 14 113 46.98 XLON 14 796 46.96 XLON 14 196 46.96 XLON 14 605 46.96 XLON 14 32 46.98 XLON 14 391 46.99 XLON 14 248 46.99 XLON 14 194 46.99 XLON 14 758 46.98 XLON 14 27 46.98 XLON 14 7 46.98 XLON 14 203 47.00 XLON 14 749 47.00 XLON 14 165 47.00 XLON 14 194 47.00 XLON 14 433 47.00 XLON 14 752 47.02 XLON 14 197 47.02 XLON 14 565 47.02 XLON 14 796 47.02 XLON 14 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 10/19 771 47.00 XLON 14 785 47.03 XLON 14 189 47.01 XLON 14 623 47.01 XLON 14 775 47.02 XLON 14 573 47.02 XLON 14 253 47.02 XLON 14 190 47.02 XLON 14 637 47.02 XLON 14 500 47.02 XLON 14 5 47.02 XLON 14 753 47.00 XLON 14 146 46.98 XLON 14 626 46.98 XLON 14 440 46.98 XLON 14 233 46.97 XLON 14 808 46.95 XLON 14 601 46.95 XLON 14 314 46.95 XLON 14 665 46.95 XLON 14 138 46.95 XLON 14 500 46.95 XLON 14 17 46.95 XLON 14 188 46.95 XLON 14 439 46.95 XLON 14 671 46.93 XLON 14 753 46.95 XLON 14 682 46.95 XLON 14 27 46.98 XLON 14 640 46.98 XLON 14 428 46.96 XLON 14 137 46.96 XLON 14 719 46.96 XLON 15 510 46.93 XLON 15 270 46.91 XLON 15 778 46.89 XLON 15 769 46.89 XLON 15 264 46.89 XLON 15 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 11/19 505 46.89 XLON 15 795 46.89 XLON 15 759 46.91 XLON 15 303 46.91 XLON 15 490 46.91 XLON 15 590 46.91 XLON 15 203 46.91 XLON 15 381 46.91 XLON 15 381 46.91 XLON 15 149 46.91 XLON 15 422 46.92 XLON 15 14 46.93 XLON 15 302 46.93 XLON 15 635 46.92 XLON 15 398 46.92 XLON 15 786 46.91 XLON 15 794 46.91 XLON 15 733 46.91 XLON 15 24 46.91 XLON 15 637 46.93 XLON 15 100 46.93 XLON 15 467 46.93 XLON 15 544 46.92 XLON 15 252 46.92 XLON 15 388 46.92 XLON 15 804 46.91 XLON 15 710 46.89 XLON 15 59 46.89 XLON 15 801 46.88 XLON 15 778 46.88 XLON 15 572 46.90 XLON 15 234 46.90 XLON 15 304 46.91 XLON 15 16 46.91 XLON 15 455 46.91 XLON 15 159 46.88 XLON 15 147 46.88 XLON 15 334 46.88 XLON 15 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 12/19


 
162 46.88 XLON 15 260 46.88 XLON 15 537 46.88 XLON 15 796 46.88 XLON 15 144 46.88 XLON 15 629 46.88 XLON 15 45 46.88 XLON 15 290 46.88 XLON 15 263 46.88 XLON 15 191 46.88 XLON 15 2 46.89 XLON 15 38 46.89 XLON 15 633 46.90 XLON 15 161 46.90 XLON 15 312 46.90 XLON 15 802 46.90 XLON 15 796 46.90 XLON 15 757 46.92 XLON 15 754 46.90 XLON 15 39 46.90 XLON 15 807 46.88 XLON 15 290 46.87 XLON 15 180 46.87 XLON 15 180 46.87 XLON 15 138 46.87 XLON 15 796 46.85 XLON 15 188 46.85 XLON 15 129 46.85 XLON 15 779 46.83 XLON 15 758 46.83 XLON 15 425 46.82 XLON 15 779 46.82 XLON 15 97 46.82 XLON 15 233 46.82 XLON 15 404 46.82 XLON 15 460 46.82 XLON 15 64 46.82 XLON 15 175 46.82 XLON 15 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 13/19 807 46.80 XLON 15 280 46.82 XLON 15 512 46.82 XLON 15 797 46.80 XLON 15 737 46.81 XLON 15 50 46.81 XLON 15 385 46.84 XLON 15 124 46.84 XLON 15 786 46.84 XLON 15 32 46.84 XLON 15 512 46.85 XLON 15 118 46.85 XLON 15 352 46.84 XLON 15 304 46.84 XLON 15 16 46.84 XLON 15 56 46.84 XLON 15 526 46.84 XLON 15 585 46.84 XLON 15 610 46.83 XLON 15 104 46.83 XLON 15 781 46.82 XLON 15 806 46.84 XLON 15 616 46.84 XLON 15 495 46.84 XLON 15 790 46.84 XLON 15 804 46.82 XLON 15 337 46.80 XLON 15 203 46.83 XLON 15 637 46.82 XLON 15 210 46.82 XLON 15 72 46.82 XLON 15 803 46.81 XLON 15 647 46.81 XLON 15 293 46.82 XLON 15 74 46.85 XLON 15 637 46.85 XLON 15 190 46.85 XLON 15 91 46.85 XLON 15 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 14/19 67 46.85 XLON 15 419 46.83 XLON 15 333 46.83 XLON 15 496 46.81 XLON 15 9 46.81 XLON 15 99 46.81 XLON 15 104 46.81 XLON 15 573 46.81 XLON 15 197 46.80 XLON 15 533 46.80 XLON 15 328 46.80 XLON 15 273 46.80 XLON 15 288 46.80 XLON 15 452 46.80 XLON 15 637 46.80 XLON 15 167 46.80 XLON 15 17 46.80 XLON 15 356 46.80 XLON 15 188 46.80 XLON 15 230 46.80 XLON 15 135 46.80 XLON 15 340 46.80 XLON 15 19 46.80 XLON 16 571 46.80 XLON 16 476 46.79 XLON 16 303 46.79 XLON 16 483 46.78 XLON 16 471 46.78 XLON 16 229 46.78 XLON 16 653 46.78 XLON 16 602 46.78 XLON 16 437 46.78 XLON 16 432 46.78 XLON 16 252 46.82 XLON 16 470 46.82 XLON 16 129 46.82 XLON 16 269 46.83 XLON 16 276 46.83 XLON 16 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 15/19 632 46.83 XLON 16 178 46.82 XLON 16 505 46.82 XLON 16 487 46.81 XLON 16 688 46.80 XLON 16 597 46.80 XLON 16 637 46.79 XLON 16 54 46.79 XLON 16 389 46.78 XLON 16 377 46.77 XLON 16 310 46.77 XLON 16 185 46.77 XLON 16 27 46.77 XLON 16 660 46.77 XLON 16 447 46.77 XLON 16 562 46.76 XLON 16 128 46.76 XLON 16 295 46.77 XLON 16 240 46.77 XLON 16 235 46.77 XLON 16 416 46.77 XLON 16 221 46.77 XLON 16 68 46.77 XLON 16 637 46.76 XLON 16 58 46.76 XLON 16 280 46.75 XLON 16 190 46.76 XLON 16 200 46.77 XLON 16 106 46.77 XLON 16 43 46.77 XLON 16 423 46.77 XLON 16 587 46.77 XLON 16 203 46.78 XLON 16 203 46.78 XLON 16 213 46.78 XLON 16 200 46.78 XLON 16 157 46.79 XLON 16 259 46.79 XLON 16 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 16/19


 
342 46.79 XLON 16 646 46.79 XLON 16 598 46.79 XLON 16 429 46.80 XLON 16 368 46.80 XLON 16 343 46.80 XLON 16 147 46.80 XLON 16 54 46.80 XLON 16 275 46.80 XLON 16 637 46.80 XLON 16 210 46.80 XLON 16 122 46.80 XLON 16 534 46.81 XLON 16 240 46.82 XLON 16 197 46.82 XLON 16 355 46.82 XLON 16 404 46.81 XLON 16 12 46.79 XLON 16 409 46.79 XLON 16 627 46.82 XLON 16 96 46.82 XLON 16 154 46.81 XLON 16 388 46.81 XLON 16 472 46.82 XLON 16 203 46.83 XLON 16 297 46.83 XLON 16 637 46.84 XLON 16 82 46.84 XLON 16 536 46.83 XLON 16 325 46.84 XLON 16 472 46.84 XLON 16 152 46.84 XLON 16 200 46.84 XLON 16 359 46.85 XLON 16 99 46.85 XLON 16 290 46.85 XLON 16 315 46.85 XLON 16 649 46.85 XLON 16 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 17/19 94 46.85 XLON 16 115 46.85 XLON 16 226 46.85 XLON 16 304 46.85 XLON 16 610 46.84 XLON 16 314 46.83 XLON 16 351 46.83 XLON 16 265 46.83 XLON 16 236 46.84 XLON 16 387 46.83 XLON 16 201 46.84 XLON 16 621 46.84 XLON 16 347 46.83 XLON 16 404 46.83 XLON 16 419 46.83 XLON 16 123 46.83 XLON 16 309 46.83 XLON 16 19 46.83 XLON 16 461 46.83 XLON 16 299 46.81 XLON 16 188 46.82 XLON 16 15 46.82 XLON 16 107 46.82 XLON 16 96 46.82 XLON 16 328 46.82 XLON 16 432 46.83 XLON 16 797 46.83 XLON 16 151 46.83 XLON 16 240 46.83 XLON 16 208 46.83 XLON 16 290 46.83 XLON 16 289 46.83 XLON 16 195 46.82 XLON 16 363 46.82 XLON 16 158 46.82 XLON 16 236 46.82 XLON 16 197 46.82 XLON 16 204 46.82 XLON 16 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 18/19 797 46.82 XLON 16 250 46.82 XLON 16 178 46.82 XLON 16 298 46.81 XLON 16 142 46.82 XLON 16 797 46.82 XLON 16 2 46.82 XLON 16 235 46.81 XLON 16 309 46.80 XLON 16 329 46.80 XLON 16 Media Enquiries: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved. 29/05/2025, 10:44 Transaction in Own Shares - 07:00:08 29 May 2025 - ULVR News article | London Stock Exchange https://www.londonstockexchange.com/news-article/ULVR/transaction-in-own-shares/17058754 19/19


 
EX-99.24 25 a9924-transactioninownsh.htm EX-99.24 a9924-transactioninownsh
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:07 30 May 2025 RNS Number : 6926K Unilever PLC 30 May 2025 TRANSACTIONS IN OWN SECURITIES 30 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following number of its ordinary shares on the London Stock Exchange from Goldman Sachs International ("the Broker") The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 29 May 2025 Number of ordinary shares purchased: 228,358 Highest price paid per share: GBP 46.9300 Lowest price paid per share: GBP 46.6300 Volume weighted average price paid per share: GBP 46.7817 Such purchases form part of the Company's existing share buy-back programme and were effected pursuant to the instructions issued to the Broker by the Company on 13 February 2025, as announc on that date. Following the purchase of these shares, Unilever holds 71,120,860 of its ordinary shares in treasur and has 2,497,426,959 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volume LSE 46.7782 172,632 BATS 0.0000 0 Chi-X 46.7927 55,726 Turquoise 0.0000 0 Aquis 0.0000 0 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the UK (the Market Abuse Regulation), a full breakdown of the individual trades made by the Broker on behal the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Time (GMT) 304 46.69 XLON 09:27:27 353 46.69 XLON 09:27:27 275 46.69 XLON 09:29:53 224 46.69 XLON 09:29:53 250 46.69 XLON 09:32:31 596 46.67 XLON 09:34:57 25 46.67 XLON 09:34:57 26 46.70 XLON 09:36:37 209 46.70 XLON 09:36:37 224 46.72 XLON 09:37:53 215 46.72 XLON 09:39:21 802 46.74 XLON 09:39:46 784 46.74 XLON 09:39:53 391 46.75 XLON 09:42:44 61 46.75 XLON 09:42:44 63 46.75 XLON 09:42:44 13 46.75 XLON 09:42:44 763 46.74 XLON 09:43:29 304 46.75 XLON 09:43:57 485 46.75 XLON 09:44:57 771 46.76 XLON 09:45:35 800 46.78 XLON 09:46:58 251 46.78 XLON 09:49:05 791 46.78 XLON 09:52:22 764 46.80 XLON 10:00:23 260 46.80 XLON 10:01:56 511 46.80 XLON 10:01:56 812 46.78 XLON 10:02:26 750 46.76 XLON 10:04:52 489 46.77 XLON 10:18:45 707 46.82 XLON 10:23:32 454 46.80 XLON 10:25:46 486 46.79 XLON 10:27:39 455 46.77 XLON 10:28:18 465 46.75 XLON 10:29:18 293 46.73 XLON 10:34:36 56 46.74 XLON 10:39:28 126 46.74 XLON 10:40:26 591 46.74 XLON 10:40:26 785 46.74 XLON 10:45:17 752 46.72 XLON 10:46:31 412 46.72 XLON 10:51:18 374 46.72 XLON 10:51:18 293 46.72 XLON 10:51:18 136 46.72 XLON 10:51:18 78 46.72 XLON 10:51:18 794 46.70 XLON 10:51:25 62 46.71 XLON 11:00:40 743 46.71 XLON 11:00:40 63 46.71 XLON 11:01:18 70 46.71 XLON 11:01:20 133 46.71 XLON 11:01:20 234 46.71 XLON 11:01:25 783 46.69 XLON 11:02:01 141 46.68 XLON 11:03:38 62 46.68 XLON 11:03:38 62 46.67 XLON 11:05:43 725 46.67 XLON 11:06:04 56 46.68 XLON 11:08:05 699 46.68 XLON 11:08:05 573 46.66 XLON 11:09:35 208 46.66 XLON 11:09:35 366 46.66 XLON 11:09:35 138 46.66 XLON 11:09:35 103 46.66 XLON 11:09:35 220 46.66 XLON 11:09:35 3 46.66 XLON 11:09:35 273 46.66 XLON 11:09:44 774 46.66 XLON 11:10:16 170 46.66 XLON 11:10:38 609 46.66 XLON 11:10:38 13 46.66 XLON 11:14:59 749 46.66 XLON 11:14:59 783 46.64 XLON 11:16:13 782 46.63 XLON 11:17:10 777 46.63 XLON 11:21:14 760 46.63 XLON 11:23:37 114 46.64 XLON 11:28:28 114 46.64 XLON 11:28:28 269 46.64 XLON 11:28:28 146 46.64 XLON 11:28:28 114 46.64 XLON 11:28:37 143 46.64 XLON 11:28:37 247 46.64 XLON 11:29:42 173 46.64 XLON 11:29:42 154 46.64 XLON 11:29:42 133 46.64 XLON 11:29:42 366 46.68 XLON 11:33:54 91 46.68 XLON 11:33:54 106 46.68 XLON 11:33:54 187 46.68 XLON 11:37:05 139 46.68 XLON 11:37:05 146 46.68 XLON 11:37:05 69 46.68 XLON 11:37:06


 
85 46.68 XLON 11:37:06 120 46.68 XLON 11:37:48 137 46.68 XLON 11:37:48 162 46.68 XLON 11:37:48 38 46.68 XLON 11:37:48 125 46.68 XLON 11:39:22 94 46.68 XLON 11:39:22 366 46.68 XLON 11:39:22 170 46.68 XLON 11:39:22 141 46.68 XLON 11:39:22 92 46.68 XLON 11:39:22 158 46.68 XLON 11:39:22 500 46.67 XLON 11:41:20 181 46.67 XLON 11:41:20 89 46.67 XLON 11:41:20 765 46.67 XLON 11:47:13 458 46.67 XLON 11:47:13 93 46.67 XLON 11:47:13 147 46.68 XLON 11:47:27 99 46.68 XLON 11:47:27 172 46.68 XLON 11:47:27 148 46.68 XLON 11:47:27 430 46.68 XLON 11:47:27 773 46.67 XLON 11:50:26 143 46.68 XLON 11:50:56 640 46.68 XLON 11:51:48 153 46.70 XLON 11:55:08 150 46.70 XLON 11:55:38 160 46.70 XLON 11:55:38 119 46.70 XLON 11:55:38 803 46.69 XLON 11:55:40 91 46.72 XLON 12:00:40 137 46.72 XLON 12:00:40 127 46.72 XLON 12:00:40 458 46.72 XLON 12:00:40 47 46.72 XLON 12:00:40 210 46.71 XLON 12:02:14 107 46.71 XLON 12:02:14 153 46.71 XLON 12:03:18 174 46.71 XLON 12:03:18 269 46.71 XLON 12:03:18 78 46.71 XLON 12:03:18 145 46.71 XLON 12:03:18 130 46.71 XLON 12:03:18 103 46.71 XLON 12:03:18 241 46.70 XLON 12:03:44 452 46.70 XLON 12:03:44 84 46.70 XLON 12:03:44 159 46.70 CHIX 12:15:56 107 46.70 XLON 12:16:10 496 46.70 CHIX 12:16:10 673 46.70 XLON 12:16:22 341 46.67 XLON 12:26:53 463 46.67 XLON 12:26:53 672 46.67 CHIX 12:26:53 237 46.69 CHIX 12:30:10 276 46.71 XLON 12:31:21 504 46.71 XLON 12:31:21 343 46.71 XLON 12:31:49 89 46.71 XLON 12:31:49 132 46.71 XLON 12:31:49 158 46.71 XLON 12:31:49 229 46.70 CHIX 12:32:02 343 46.72 XLON 12:39:58 132 46.72 XLON 12:39:58 783 46.73 XLON 12:41:41 139 46.73 XLON 12:41:41 120 46.73 XLON 12:41:41 301 46.74 CHIX 12:42:52 807 46.76 XLON 12:44:41 77 46.74 CHIX 12:46:59 260 46.74 CHIX 12:47:59 423 46.74 XLON 12:48:41 373 46.74 XLON 12:48:41 304 46.74 XLON 12:52:14 506 46.74 XLON 12:52:14 429 46.74 CHIX 12:52:14 396 46.74 CHIX 12:54:34 98 46.74 CHIX 12:57:43 88 46.74 CHIX 12:58:56 161 46.74 CHIX 12:59:21 494 46.75 XLON 12:59:28 781 46.76 XLON 13:00:26 207 46.76 CHIX 13:00:26 258 46.76 CHIX 13:00:26 803 46.74 XLON 13:01:21 3 46.74 CHIX 13:01:21 605 46.76 CHIX 13:03:39 790 46.75 XLON 13:04:06 740 46.79 XLON 13:05:09 689 46.80 CHIX 13:05:28 461 46.79 XLON 13:05:31 453 46.78 CHIX 13:05:31 311 46.78 CHIX 13:06:45 316 46.81 XLON 13:07:49 146 46.82 XLON 13:11:01 70 46.82 XLON 13:11:01 803 46.82 CHIX 13:11:04 669 46.80 CHIX 13:12:12 536 46.79 XLON 13:12:18 382 46.78 CHIX 13:13:08 789 46.77 XLON 13:13:22 57 46.75 CHIX 13:15:30 263 46.75 CHIX 13:15:53 203 46.75 CHIX 13:17:38 13 46.75 CHIX 13:17:39 409 46.74 XLON 13:17:45 8 46.75 CHIX 13:21:35 32 46.75 CHIX 13:21:46 193 46.75 CHIX 13:21:51 32 46.75 CHIX 13:22:07 32 46.75 CHIX 13:22:17 179 46.75 CHIX 13:22:19 658 46.74 XLON 13:22:20 354 46.74 CHIX 13:22:47 11 46.76 CHIX 13:25:15 165 46.78 XLON 13:33:01 605 46.78 XLON 13:33:01 624 46.78 CHIX 13:33:01 629 46.76 XLON 13:33:32 214 46.76 CHIX 13:33:32 241 46.74 CHIX 13:36:28 482 46.74 XLON 13:37:12 469 46.73 CHIX 13:38:02 752 46.73 XLON 13:40:35 60 46.73 XLON 13:40:35 576 46.73 CHIX 13:40:51 561 46.73 XLON 13:41:46 204 46.73 XLON 13:41:46 759 46.71 XLON 13:42:26 393 46.71 CHIX 13:42:26 293 46.71 CHIX 13:45:06 786 46.76 XLON 13:53:15 793 46.76 XLON 13:54:00 645 46.75 CHIX 13:54:37 781 46.74 XLON 13:55:34 474 46.75 CHIX 13:56:38 799 46.75 XLON 14:00:01 116 46.75 CHIX 14:00:01 602 46.75 CHIX 14:02:29 768 46.74 XLON 14:02:33 793 46.75 XLON 14:06:41 1 46.75 XLON 14:06:41 499 46.75 CHIX 14:06:41 488 46.73 CHIX 14:07:54 683 46.74 XLON 14:13:34 80 46.74 XLON 14:13:34 518 46.74 CHIX 14:13:34 198 46.74 XLON 14:14:20 304 46.76 XLON 14:18:15 455 46.76 XLON 14:18:15 1 46.75 CHIX 14:18:16 150 46.75 XLON 14:20:30 58 46.75 XLON 14:20:30 733 46.75 CHIX 14:20:30 366 46.75 XLON 14:21:18 600 46.74 XLON 14:21:35 399 46.74 XLON 14:24:28 614 46.76 XLON 14:27:00 277 46.76 XLON 14:27:00


 
411 46.75 XLON 14:27:58 88 46.75 XLON 14:27:58 812 46.74 XLON 14:28:00 770 46.74 XLON 14:28:18 135 46.73 CHIX 14:28:56 53 46.74 XLON 14:29:46 271 46.78 XLON 14:30:01 230 46.76 XLON 14:30:03 203 46.77 CHIX 14:30:03 245 46.77 XLON 14:30:12 233 46.78 XLON 14:30:43 210 46.77 CHIX 14:30:50 227 46.76 XLON 14:30:52 203 46.75 CHIX 14:31:11 150 46.74 XLON 14:31:15 196 46.74 XLON 14:31:21 23 46.74 XLON 14:31:28 217 46.74 XLON 14:31:28 177 46.77 XLON 14:31:44 162 46.77 XLON 14:31:44 145 46.77 XLON 14:31:44 21 46.75 CHIX 14:31:45 347 46.75 XLON 14:31:47 322 46.75 CHIX 14:31:47 32 46.75 XLON 14:31:59 359 46.75 XLON 14:31:59 487 46.77 XLON 14:32:11 395 46.75 XLON 14:32:49 363 46.75 CHIX 14:32:49 358 46.75 XLON 14:32:54 206 46.75 XLON 14:33:20 155 46.75 XLON 14:33:34 50 46.75 XLON 14:33:34 262 46.73 XLON 14:33:46 222 46.72 XLON 14:34:03 203 46.72 XLON 14:34:30 274 46.73 XLON 14:35:21 443 46.77 XLON 14:35:47 204 46.77 CHIX 14:35:54 504 46.79 XLON 14:36:03 558 46.79 XLON 14:36:24 511 46.79 XLON 14:36:36 199 46.80 CHIX 14:36:38 329 46.81 XLON 14:36:43 8 46.80 CHIX 14:36:44 326 46.79 XLON 14:37:03 205 46.78 CHIX 14:37:19 329 46.79 XLON 14:38:30 24 46.79 XLON 14:39:26 44 46.79 XLON 14:39:28 315 46.79 XLON 14:39:28 110 46.79 XLON 14:39:46 197 46.79 XLON 14:40:16 204 46.80 CHIX 14:40:16 274 46.79 XLON 14:40:54 203 46.78 CHIX 14:40:54 719 46.81 XLON 14:42:38 270 46.81 CHIX 14:42:38 500 46.79 XLON 14:44:02 165 46.79 XLON 14:45:36 205 46.79 CHIX 14:45:36 519 46.77 XLON 14:45:41 210 46.77 CHIX 14:45:41 751 46.79 XLON 14:46:01 220 46.79 CHIX 14:46:01 365 46.81 CHIX 14:47:19 104 46.84 XLON 14:48:23 504 46.84 XLON 14:48:23 153 46.84 XLON 14:48:23 167 46.84 XLON 14:48:23 90 46.84 XLON 14:48:23 42 46.83 CHIX 14:48:30 758 46.85 XLON 14:49:17 366 46.85 CHIX 14:49:17 31 46.85 CHIX 14:49:37 483 46.85 XLON 14:49:59 320 46.85 XLON 14:49:59 322 46.85 CHIX 14:49:59 767 46.83 XLON 14:50:30 339 46.83 CHIX 14:50:50 770 46.83 XLON 14:53:05 805 46.83 XLON 14:53:47 352 46.83 CHIX 14:53:47 345 46.86 CHIX 14:55:40 622 46.85 XLON 14:56:00 806 46.85 XLON 14:57:18 221 46.84 CHIX 14:57:36 62 46.87 XLON 14:59:31 76 46.87 XLON 14:59:31 580 46.87 XLON 14:59:31 597 46.85 XLON 15:02:06 204 46.85 CHIX 15:02:17 414 46.85 XLON 15:02:34 73 46.83 XLON 15:03:04 388 46.83 XLON 15:03:04 210 46.83 CHIX 15:03:04 513 46.85 XLON 15:04:25 221 46.85 CHIX 15:04:25 414 46.83 XLON 15:05:15 204 46.83 CHIX 15:05:15 315 46.82 XLON 15:05:30 33 46.82 XLON 15:06:53 207 46.82 XLON 15:06:53 208 46.82 CHIX 15:06:53 428 46.84 XLON 15:07:30 362 46.84 XLON 15:07:31 208 46.83 CHIX 15:07:36 260 46.84 XLON 15:07:51 181 46.84 XLON 15:07:51 181 46.84 XLON 15:07:51 165 46.84 XLON 15:07:51 208 46.84 CHIX 15:08:40 122 46.87 XLON 15:09:05 29 46.88 XLON 15:09:11 178 46.88 XLON 15:09:11 199 46.88 XLON 15:09:11 222 46.88 CHIX 15:09:13 118 46.89 XLON 15:09:26 562 46.89 XLON 15:09:26 753 46.88 XLON 15:09:29 7 46.88 CHIX 15:09:38 531 46.88 XLON 15:09:44 225 46.88 XLON 15:09:44 220 46.88 CHIX 15:09:49 798 46.86 XLON 15:10:04 231 46.86 CHIX 15:10:04 207 46.89 CHIX 15:10:11 756 46.89 XLON 15:10:34 207 46.89 CHIX 15:11:16 771 46.91 XLON 15:12:04 760 46.93 XLON 15:13:11 240 46.93 CHIX 15:13:11 754 46.93 XLON 15:13:47 214 46.93 CHIX 15:13:47 787 46.91 XLON 15:14:45 213 46.91 CHIX 15:14:45 223 46.91 XLON 15:15:19 566 46.91 XLON 15:15:36 211 46.92 CHIX 15:16:00 794 46.93 XLON 15:17:45 206 46.93 CHIX 15:17:45 7 46.93 CHIX 15:17:45 500 46.91 XLON 15:18:54 246 46.91 XLON 15:19:01 6 46.91 XLON 15:19:09 260 46.91 XLON 15:19:19 541 46.91 XLON 15:19:19 223 46.90 CHIX 15:19:40 527 46.89 XLON 15:20:48 433 46.90 XLON 15:21:30 273 46.90 XLON 15:22:08 460 46.90 XLON 15:22:49 211 46.91 CHIX 15:23:30 4 46.91 CHIX 15:24:13 3 46.91 CHIX 15:24:16 1 46.91 CHIX 15:24:22 209 46.91 CHIX 15:24:54 772 46.92 XLON 15:25:29 608 46.92 XLON 15:25:31 144 46.92 XLON 15:25:31


 
128 46.92 XLON 15:25:42 50 46.92 XLON 15:25:43 327 46.93 CHIX 15:25:52 569 46.92 XLON 15:26:26 212 46.92 CHIX 15:26:26 277 46.90 CHIX 15:27:09 133 46.90 XLON 15:27:18 18 46.90 CHIX 15:27:18 109 46.90 XLON 15:27:31 230 46.91 XLON 15:28:25 176 46.91 XLON 15:28:25 18 46.92 XLON 15:28:47 710 46.92 XLON 15:28:47 230 46.91 XLON 15:29:41 176 46.91 XLON 15:29:41 789 46.92 XLON 15:29:47 164 46.92 XLON 15:29:47 168 46.92 XLON 15:29:47 192 46.92 XLON 15:29:47 53 46.92 XLON 15:29:47 218 46.90 CHIX 15:30:31 689 46.90 XLON 15:30:37 686 46.90 XLON 15:32:11 78 46.90 XLON 15:32:11 36 46.90 CHIX 15:34:08 724 46.90 XLON 15:34:21 76 46.90 XLON 15:34:21 364 46.90 CHIX 15:34:21 437 46.88 XLON 15:34:24 299 46.88 CHIX 15:34:33 250 46.87 CHIX 15:35:06 710 46.89 XLON 15:36:48 53 46.90 XLON 15:36:58 161 46.90 XLON 15:36:58 762 46.90 XLON 15:36:58 13 46.90 XLON 15:36:58 37 46.90 XLON 15:37:05 192 46.90 XLON 15:37:10 564 46.90 XLON 15:37:10 298 46.89 CHIX 15:37:49 205 46.89 CHIX 15:37:49 68 46.89 CHIX 15:37:54 156 46.88 XLON 15:38:39 603 46.88 XLON 15:38:39 296 46.87 CHIX 15:39:15 53 46.87 CHIX 15:39:45 772 46.86 XLON 15:40:02 209 46.85 CHIX 15:40:13 754 46.85 XLON 15:41:19 796 46.85 XLON 15:41:25 486 46.85 CHIX 15:41:25 89 46.85 XLON 15:41:54 705 46.85 XLON 15:41:54 479 46.85 CHIX 15:41:54 304 46.85 XLON 15:41:59 181 46.85 XLON 15:41:59 181 46.85 XLON 15:41:59 59 46.85 XLON 15:41:59 487 46.87 CHIX 15:42:14 209 46.87 CHIX 15:42:14 304 46.86 XLON 15:42:25 233 46.86 XLON 15:42:25 43 46.85 CHIX 15:42:30 583 46.85 XLON 15:44:10 555 46.85 CHIX 15:44:10 304 46.83 XLON 15:45:11 308 46.83 CHIX 15:45:11 502 46.83 XLON 15:45:17 5 46.83 CHIX 15:45:17 320 46.84 XLON 15:46:47 160 46.83 CHIX 15:46:47 52 46.83 CHIX 15:46:47 351 46.84 XLON 15:49:08 187 46.84 XLON 15:50:06 163 46.84 XLON 15:50:06 238 46.84 XLON 15:50:15 265 46.82 XLON 15:50:56 265 46.82 CHIX 15:50:56 265 46.80 XLON 15:51:29 355 46.80 CHIX 15:51:29 240 46.79 XLON 15:51:48 331 46.78 CHIX 15:51:54 556 46.79 XLON 15:52:05 302 46.78 CHIX 15:52:53 551 46.80 CHIX 15:53:14 469 46.79 XLON 15:53:59 166 46.80 CHIX 15:55:59 373 46.80 CHIX 15:55:59 108 46.80 CHIX 15:57:21 320 46.80 CHIX 15:57:21 333 46.80 CHIX 15:57:21 537 46.79 XLON 15:57:25 327 46.79 XLON 15:58:10 210 46.79 XLON 15:58:10 339 46.79 XLON 15:58:27 801 46.80 CHIX 15:59:06 669 46.80 CHIX 16:00:49 266 46.80 CHIX 16:01:01 175 46.80 CHIX 16:01:01 90 46.79 XLON 16:01:03 1 46.78 CHIX 16:01:23 261 46.78 CHIX 16:02:17 231 46.77 XLON 16:03:02 35 46.77 XLON 16:03:02 190 46.76 XLON 16:03:31 215 46.76 XLON 16:03:31 265 46.76 XLON 16:04:02 62 46.76 XLON 16:04:09 107 46.76 XLON 16:04:09 38 46.76 XLON 16:04:09 278 46.77 CHIX 16:05:17 126 46.79 CHIX 16:06:59 52 46.79 CHIX 16:06:59 51 46.79 CHIX 16:06:59 21 46.79 CHIX 16:06:59 206 46.79 CHIX 16:07:00 59 46.79 CHIX 16:07:00 54 46.79 CHIX 16:07:00 215 46.79 CHIX 16:07:04 53 46.79 CHIX 16:07:04 54 46.79 CHIX 16:07:04 215 46.80 CHIX 16:07:05 54 46.80 CHIX 16:07:05 50 46.80 CHIX 16:07:05 206 46.80 CHIX 16:07:05 57 46.80 CHIX 16:07:05 52 46.80 CHIX 16:07:05 17 46.81 CHIX 16:07:14 79 46.81 CHIX 16:07:14 48 46.81 CHIX 16:07:14 59 46.81 CHIX 16:07:14 48 46.81 CHIX 16:07:15 54 46.81 CHIX 16:07:15 55 46.81 CHIX 16:07:15 56 46.81 CHIX 16:07:15 18 46.80 XLON 16:07:52 742 46.80 XLON 16:07:52 181 46.81 XLON 16:08:14 163 46.81 XLON 16:08:14 48 46.81 CHIX 16:08:14 52 46.81 CHIX 16:08:14 50 46.81 CHIX 16:08:14 58 46.81 CHIX 16:08:14 789 46.81 XLON 16:08:15 260 46.81 XLON 16:08:15 203 46.81 XLON 16:08:15 225 46.81 XLON 16:08:15 85 46.81 XLON 16:08:15 60 46.81 CHIX 16:08:15 55 46.81 CHIX 16:08:15 789 46.81 XLON 16:08:16 225 46.81 XLON 16:08:16 94 46.81 XLON 16:08:16 215 46.81 CHIX 16:08:16 54 46.81 CHIX 16:08:16 55 46.81 CHIX 16:08:16 59 46.81 CHIX 16:08:17 60 46.81 CHIX 16:08:17 206 46.81 CHIX 16:08:17 81 46.81 CHIX 16:08:17


 
58 46.81 CHIX 16:08:17 56 46.81 CHIX 16:08:17 759 46.80 XLON 16:08:40 798 46.79 CHIX 16:08:54 60 46.80 CHIX 16:08:54 54 46.80 CHIX 16:08:54 206 46.80 CHIX 16:08:54 86 46.80 CHIX 16:08:54 57 46.81 XLON 16:09:12 789 46.81 XLON 16:09:12 194 46.81 XLON 16:09:12 240 46.81 XLON 16:09:12 146 46.81 XLON 16:09:12 96 46.81 XLON 16:09:12 60 46.81 XLON 16:09:12 200 46.82 CHIX 16:09:15 55 46.82 CHIX 16:09:15 52 46.82 CHIX 16:09:15 104 46.82 CHIX 16:09:15 66 46.82 CHIX 16:09:15 400 46.82 XLON 16:09:32 173 46.82 XLON 16:09:32 232 46.82 XLON 16:09:32 215 46.82 CHIX 16:09:32 789 46.82 XLON 16:09:33 160 46.82 XLON 16:09:33 19 46.82 XLON 16:09:33 50 46.82 CHIX 16:09:37 51 46.82 CHIX 16:09:38 51 46.82 CHIX 16:09:38 206 46.82 CHIX 16:09:38 500 46.82 CHIX 16:09:38 40 46.82 CHIX 16:09:38 57 46.82 CHIX 16:09:38 206 46.82 CHIX 16:09:38 103 46.82 CHIX 16:09:38 53 46.82 CHIX 16:09:49 52 46.82 CHIX 16:09:49 58 46.82 CHIX 16:09:49 54 46.82 CHIX 16:09:49 550 46.81 XLON 16:10:30 260 46.81 XLON 16:10:30 66 46.81 XLON 16:10:30 770 46.81 CHIX 16:10:30 759 46.80 XLON 16:11:48 762 46.80 XLON 16:12:07 184 46.80 XLON 16:12:07 182 46.80 XLON 16:12:07 1,196 46.80 XLON 16:12:07 789 46.80 XLON 16:12:07 172 46.80 XLON 16:12:07 14 46.80 XLON 16:12:07 811 46.79 CHIX 16:12:41 789 46.79 XLON 16:12:44 203 46.79 XLON 16:12:44 198 46.79 XLON 16:12:44 125 46.79 CHIX 16:13:14 1 46.79 CHIX 16:13:14 124 46.79 CHIX 16:13:26 504 46.79 CHIX 16:13:26 756 46.78 XLON 16:14:00 789 46.78 XLON 16:14:19 97 46.78 XLON 16:14:19 461 46.77 CHIX 16:14:20 13 46.79 XLON 16:14:32 196 46.79 XLON 16:14:32 240 46.79 XLON 16:14:32 99 46.79 XLON 16:14:32 209 46.79 XLON 16:14:32 793 46.78 XLON 16:14:46 257 46.77 CHIX 16:15:32 52 46.77 CHIX 16:15:32 710 46.77 XLON 16:16:06 257 46.77 CHIX 16:16:06 257 46.77 CHIX 16:16:37 61 46.77 CHIX 16:16:37 789 46.77 XLON 16:17:10 210 46.77 XLON 16:17:10 61 46.77 CHIX 16:17:10 196 46.77 XLON 16:17:42 1,562 46.77 XLON 16:17:42 19 46.78 CHIX 16:17:42 54 46.78 CHIX 16:17:42 257 46.78 CHIX 16:17:42 257 46.78 CHIX 16:17:43 61 46.78 CHIX 16:17:43 49 46.78 CHIX 16:17:43 107 46.78 CHIX 16:17:43 327 46.78 CHIX 16:17:43 311 46.77 XLON 16:18:00 207 46.77 XLON 16:18:00 1,000 46.77 XLON 16:18:00 188 46.77 XLON 16:18:00 183 46.77 XLON 16:18:00 348 46.77 XLON 16:18:01 173 46.77 XLON 16:18:01 189 46.77 XLON 16:18:01 789 46.77 XLON 16:18:18 190 46.77 XLON 16:18:18 174 46.77 XLON 16:18:18 236 46.76 CHIX 16:18:18 17 46.76 XLON 16:18:29 542 46.76 CHIX 16:18:30 812 46.77 XLON 16:18:55 172 46.77 XLON 16:18:55 198 46.77 XLON 16:18:55 789 46.77 XLON 16:18:56 280 46.77 XLON 16:18:56 205 46.77 XLON 16:18:56 185 46.77 XLON 16:18:56 103 46.77 XLON 16:18:56 79 46.77 XLON 16:18:56 176 46.77 XLON 16:18:56 151 46.77 XLON 16:18:56 801 46.75 XLON 16:21:09 102 46.75 XLON 16:21:17 304 46.75 XLON 16:21:17 192 46.75 XLON 16:21:17 163 46.76 XLON 16:23:26 174 46.76 XLON 16:23:26 678 46.76 XLON 16:23:26 159 46.76 XLON 16:23:26 1,048 46.76 CHIX 16:23:26 257 46.76 CHIX 16:23:26 51 46.76 CHIX 16:23:26 58 46.76 CHIX 16:23:26 65 46.76 CHIX 16:23:26 58 46.76 CHIX 16:23:26 52 46.76 CHIX 16:23:26 231 46.76 CHIX 16:23:26 340 46.75 XLON 16:23:49 192 46.75 XLON 16:23:49 266 46.75 XLON 16:23:49 512 46.75 XLON 16:23:51 211 46.75 XLON 16:24:13 167 46.75 XLON 16:24:13 268 46.75 XLON 16:24:13 196 46.75 XLON 16:24:13 181 46.75 XLON 16:24:13 240 46.75 XLON 16:24:13 130 46.75 XLON 16:24:13 195 46.75 XLON 16:24:13 50 46.75 XLON 16:24:13 99 46.75 XLON 16:24:13 700 46.75 XLON 16:24:13 137 46.74 CHIX 16:24:13 76 46.74 CHIX 16:24:13 160 46.74 CHIX 16:24:13 322 46.75 CHIX 16:24:13 57 46.75 CHIX 16:24:13 27 46.75 CHIX 16:24:13 417 46.74 CHIX 16:24:26 784 46.75 XLON 16:25:01 358 46.75 XLON 16:26:33 434 46.75 XLON 16:26:33 791 46.75 XLON 16:28:17 171 46.75 XLON 16:28:17 179 46.75 XLON 16:28:17 53 46.75 CHIX 16:28:17 56 46.75 CHIX 16:28:17


 
52 46.75 CHIX 16:28:18 181 46.75 XLON 16:28:20 180 46.75 XLON 16:28:20 371 46.75 XLON 16:28:20 435 46.75 XLON 16:28:20 179 46.75 XLON 16:28:20 200 46.75 XLON 16:28:20 58 46.75 CHIX 16:28:20 58 46.75 CHIX 16:28:20 322 46.75 CHIX 16:28:20 58 46.75 CHIX 16:28:20 58 46.75 CHIX 16:28:20 201 46.75 XLON 16:28:21 178 46.75 XLON 16:28:21 27 46.75 XLON 16:28:21 60 46.75 CHIX 16:28:21 59 46.75 CHIX 16:28:21 60 46.75 CHIX 16:28:21 50 46.75 CHIX 16:28:21 51 46.75 CHIX 16:28:21 62 46.75 CHIX 16:28:21 55 46.75 CHIX 16:28:22 57 46.75 CHIX 16:28:22 666 46.74 CHIX 16:28:25 91 46.74 CHIX 16:28:38 322 46.76 CHIX 16:28:52 84 46.76 CHIX 16:28:52 147 46.77 XLON 16:29:12 789 46.77 XLON 16:29:12 240 46.77 XLON 16:29:12 209 46.77 XLON 16:29:12 177 46.77 XLON 16:29:12 347 46.76 CHIX 16:29:12 53 46.76 CHIX 16:29:12 53 46.76 CHIX 16:29:12 7 46.76 CHIX 16:29:12 1 46.76 CHIX 16:29:12 Media Enquiries: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.


 
EX-99.25 26 a9925-publicationoffinan.htm EX-99.25 a9925-publicationoffinan
RNS Annual Financial Report PUBLICATION OF UFN FINANCIAL STATEMENTS UNILEVER PLC Released 17:36:31 30 May 2025 RNS Number : 8814K Unilever PLC 30 May 2025 Publication of Financial Statements: Unilever Finance Netherlands B.V. London, 30 May 2025 The audited financial statements of Unilever Finance Netherlands B.V. for the financial year ended 31 Decemb been published and are available for viewing at: https://www.unilever.com/investors/debt-investors/unilever-eu programme/ To view the full document, please paste the following URL into the address bar of yo https://www.unilever.com/files/audited-financial-statements-of-unilever-finance-netherlands-bv-for-the-year-ende december-2024.pdf ENDS Enquiries Media: Unilever Global Media Relations press-office.london@unilever.com Investors: Investor Relations Team investor.relations@unilever.com Safe Harbour


 
This announcement may contain forward-looking statements, including 'forward-looking statements' within the m United States Private Securities Litigation Reform Act of 1995, including with relation to the financial condition of Unilever Finance Netherlands B.V. and the Unilever group (the 'Group'). All statements other than statements fact are, or may be deemed to be, forward-looking statements. Words and terminology such as 'will', 'a 'anticipates', 'intends', 'looks', 'believes', 'vision', 'ambition', 'target', 'goal', 'plan', 'potential', 'work tow 'milestone', 'objectives', 'outlook', 'probably', 'project', 'risk', 'seek', 'continue', 'projected', 'estimate', 'achieve' or of these terms, and other similar expressions of future performance, results, actions or events, and their n intended to identify such forward-looking statements. These forward-looking statements are based upon cu expectations and assumptions regarding anticipated developments and other factors affecting the Group. historical facts, nor are they guarantees of future performance or outcomes. All forward-looking statements con announcement are expressly qualified in their entirety by the cautionary statements contained or referred to in section. Readers should not place undue reliance on forward-looking statements. Because these forward-looking statements involve known and unknown risks and uncertainties, a number of w beyond the Group's control, there are important factors that could cause actual results to differ materiall expressed or implied by these forward-looking statements. The forward-looking statements speak only as of the date of this announcement. Except as required by any appl regulation, the Group expressly disclaims any intention, obligation or undertaking to release publicly any update to any forward-looking statements contained herein to reflect any change in the Group's expectations with rega any change in events, conditions or circumstances on which any such statement is based. New risks and uncer over time, and it is not possible for us to predict those events or how they may affect us. In addition, we cann impact of each factor on our business or the extent to which any factor, or combination of factors, may cause ac differ materially from those contained in any forward-looking statements. Further details of potential risks and uncertainties affecting the Group are described in the Group's filings wit Stock Exchange, Euronext Amsterdam and the US Securities and Exchange Commission, including in the Annu Form 20-F 2024 and the Unilever Annual Report and Accounts 2024 available on our corporate website www.un This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.


 
EX-99.26 27 a9926-transactioninownsh.htm EX-99.26 a9926-transactioninownsh
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 18:28:51 30 May 2025 RNS Number : 8878K Unilever PLC 30 May 2025 TRANSACTIONS IN OWN SECURITIES 30 May 2025 Unilever PLC (the "Company") announces today that it has purchased the following number of its ordinary shares on the London Stock Exchange from Goldman Sachs International ("the Broker") The repurchased shares will be held in treasury. Ordinary Shares Date of purchase: 30 May 2025 Number of ordinary shares purchased: 245,576 Highest price paid per share: GBP 47.3900


 
Lowest price paid per share: GBP 46.9500 Volume weighted average price paid per share: GBP 47.2455 Such purchases form part of the Company's existing share buy-back programme and were effected pursuant to the instructions issued to the Broker by the Company on 13 February 2025, as announc on that date. Following the purchase of these shares, Unilever holds 71,366,436 of its ordinary shares in treasur and has 2,497,181,383 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volume LSE 47.2408 176,569 BATS 0.0000 0 Chi-X 47.2577 69,007 Turquoise 0.0000 0 Aquis 0.0000 0 Transaction details In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 as it applies in the UK (the Market Abuse Regulation), a full breakdown of the individual trades made by the Broker on behal the Company as part of the buy-back programme is detailed below: Quantity bought Price (GBP) Trading Venue Time (GMT) 639 47.07 XLON 08:05:00 708 47.06 XLON 08:05:00 172 47.05 XLON 08:05:00 280 47.05 XLON 08:05:00 612 47.06 CHIX 08:05:00 79 47.05 CHIX 08:05:01 590 47.05 CHIX 08:05:01 81 47.04 CHIX 08:05:01 624 47.04 CHIX 08:05:01 219 47.03 XLON 08:06:13 360 47.01 XLON 08:06:37 60 46.99 XLON 08:06:44 192 46.99 XLON 08:07:21 36 46.98 XLON 08:07:21


 
265 47.01 XLON 08:07:33 288 47.00 XLON 08:07:52 280 46.99 XLON 08:07:52 6 46.99 XLON 08:07:52 193 46.99 CHIX 08:07:52 45 46.99 CHIX 08:07:52 454 46.99 XLON 08:08:37 243 46.99 CHIX 08:08:37 421 46.98 XLON 08:08:38 239 46.98 CHIX 08:08:38 372 46.97 XLON 08:09:17 372 46.96 XLON 08:09:17 235 46.97 CHIX 08:09:17 216 46.96 CHIX 08:09:17 135 46.95 CHIX 08:09:17 27 47.08 XLON 08:10:43 724 47.08 XLON 08:10:43 280 47.08 CHIX 08:10:43 364 47.08 CHIX 08:10:43 268 47.10 XLON 08:11:06 528 47.10 XLON 08:11:06 598 47.10 CHIX 08:11:06 315 47.09 XLON 08:11:10 493 47.09 XLON 08:11:10 252 47.10 CHIX 08:11:10 629 47.09 CHIX 08:11:10 760 47.11 XLON 08:11:40 783 47.10 XLON 08:12:19 281 47.09 XLON 08:12:19 495 47.09 XLON 08:12:19 223 47.10 CHIX 08:12:19 213 47.09 CHIX 08:12:19 708 47.08 XLON 08:12:55 225 47.08 CHIX 08:13:38 335 47.11 XLON 08:14:40 462 47.11 XLON 08:14:40 657 47.11 CHIX 08:14:45 750 47.15 XLON 08:15:00 545 47.14 XLON 08:15:03 216 47.14 XLON 08:15:03


 
762 47.13 XLON 08:15:03 439 47.14 CHIX 08:15:03 457 47.13 CHIX 08:15:03 766 47.20 XLON 08:17:13 797 47.19 XLON 08:17:13 370 47.20 CHIX 08:17:13 31 47.19 CHIX 08:17:13 54 47.19 CHIX 08:17:16 335 47.19 CHIX 08:17:16 167 47.18 XLON 08:17:28 607 47.18 XLON 08:17:28 791 47.19 XLON 08:17:58 793 47.18 XLON 08:17:58 202 47.19 CHIX 08:17:58 202 47.18 CHIX 08:17:58 453 47.20 XLON 08:18:10 207 47.20 CHIX 08:18:14 130 47.19 CHIX 08:19:07 375 47.19 XLON 08:19:20 452 47.18 XLON 08:19:22 272 47.18 CHIX 08:20:45 768 47.19 XLON 08:21:26 750 47.18 XLON 08:21:26 306 47.19 CHIX 08:21:26 322 47.18 CHIX 08:21:26 530 47.17 XLON 08:21:35 633 47.16 XLON 08:21:35 295 47.16 XLON 08:22:00 253 47.16 CHIX 08:22:00 424 47.16 XLON 08:23:55 522 47.15 XLON 08:23:55 504 47.14 XLON 08:23:55 215 47.15 CHIX 08:23:55 208 47.14 CHIX 08:23:55 297 47.17 XLON 08:25:15 329 47.16 XLON 08:25:33 115 47.16 CHIX 08:25:33 368 47.19 XLON 08:26:36 322 47.19 CHIX 08:27:39 360 47.18 XLON 08:28:11


 
338 47.18 CHIX 08:28:11 227 47.17 XLON 08:28:14 301 47.17 CHIX 08:28:14 71 47.17 CHIX 08:28:44 600 47.19 XLON 08:29:31 551 47.20 XLON 08:29:58 3 47.20 XLON 08:29:58 269 47.20 CHIX 08:29:58 18 47.19 CHIX 08:29:59 651 47.19 XLON 08:31:49 195 47.19 CHIX 08:31:49 758 47.19 XLON 08:33:54 390 47.19 CHIX 08:33:54 657 47.18 XLON 08:34:07 294 47.18 CHIX 08:34:07 235 47.17 XLON 08:34:26 33 47.17 XLON 08:34:26 239 47.17 CHIX 08:34:26 432 47.18 XLON 08:34:42 141 47.18 XLON 08:34:42 511 47.17 XLON 08:35:13 203 47.17 CHIX 08:35:13 453 47.18 XLON 08:36:09 341 47.18 XLON 08:36:40 13 47.18 CHIX 08:36:40 160 47.18 CHIX 08:36:40 96 47.18 CHIX 08:36:47 203 47.17 CHIX 08:36:47 498 47.19 XLON 08:38:34 277 47.20 XLON 08:39:10 326 47.20 XLON 08:39:10 758 47.22 XLON 08:42:01 795 47.23 XLON 08:45:06 796 47.23 CHIX 08:45:06 160 47.24 XLON 08:46:35 610 47.24 XLON 08:46:35 567 47.24 CHIX 08:46:35 755 47.23 XLON 08:46:41 638 47.23 CHIX 08:46:41 749 47.22 XLON 08:47:03


 
765 47.22 CHIX 08:47:03 191 47.26 XLON 08:47:35 317 47.26 XLON 08:47:49 748 47.27 XLON 08:49:29 130 47.27 CHIX 08:50:28 102 47.27 CHIX 08:50:28 750 47.27 XLON 08:51:23 747 47.28 XLON 08:51:30 330 47.28 CHIX 08:51:30 752 47.27 XLON 08:53:20 714 47.26 XLON 08:53:20 74 47.26 XLON 08:53:20 305 47.27 CHIX 08:53:20 113 47.26 CHIX 08:53:20 149 47.26 CHIX 08:53:22 341 47.25 XLON 08:54:46 274 47.25 CHIX 08:54:46 51 47.24 XLON 08:55:43 328 47.24 XLON 08:55:43 107 47.24 CHIX 08:55:43 96 47.24 CHIX 08:55:43 556 47.23 XLON 08:55:53 206 47.23 CHIX 08:55:53 336 47.23 XLON 08:56:19 209 47.23 CHIX 08:56:19 605 47.22 XLON 08:56:20 592 47.21 XLON 08:56:20 202 47.22 CHIX 08:56:20 361 47.25 XLON 08:58:14 649 47.27 XLON 09:00:01 427 47.26 XLON 09:00:33 5 47.25 XLON 09:00:33 182 47.25 XLON 09:00:33 182 47.25 XLON 09:00:33 10 47.25 XLON 09:00:33 18 47.25 XLON 09:00:33 29 47.25 XLON 09:00:33 21 47.25 XLON 09:00:33 20 47.25 XLON 09:00:33 277 47.26 CHIX 09:00:33


 
27 47.25 CHIX 09:00:33 250 47.25 CHIX 09:00:35 204 47.26 XLON 09:00:58 361 47.28 XLON 09:02:03 14 47.27 XLON 09:02:03 15 47.27 XLON 09:02:03 41 47.27 XLON 09:02:03 164 47.27 XLON 09:02:03 41 47.27 XLON 09:02:03 29 47.27 XLON 09:02:14 307 47.26 XLON 09:02:14 307 47.27 CHIX 09:02:14 24 47.26 CHIX 09:02:14 14 47.26 CHIX 09:02:14 125 47.26 CHIX 09:02:14 79 47.26 CHIX 09:02:14 62 47.26 CHIX 09:02:14 631 47.27 XLON 09:04:35 370 47.27 CHIX 09:04:35 115 47.26 XLON 09:04:58 200 47.26 XLON 09:04:58 101 47.26 CHIX 09:04:58 244 47.26 XLON 09:05:38 320 47.25 XLON 09:05:38 222 47.26 CHIX 09:05:38 233 47.25 CHIX 09:05:38 247 47.24 CHIX 09:05:39 342 47.24 XLON 09:05:47 747 47.27 XLON 09:09:11 534 47.26 XLON 09:09:11 233 47.26 CHIX 09:09:11 16 47.25 XLON 09:10:21 488 47.25 XLON 09:12:33 233 47.25 CHIX 09:12:33 616 47.24 XLON 09:12:40 228 47.24 CHIX 09:12:40 101 47.25 XLON 09:13:02 600 47.25 XLON 09:13:02 438 47.28 XLON 09:13:24 234 47.28 XLON 09:13:54


 
121 47.28 XLON 09:14:01 317 47.28 CHIX 09:14:01 329 47.28 CHIX 09:14:01 21 47.27 CHIX 09:14:01 320 47.32 XLON 09:16:01 460 47.32 XLON 09:16:01 16 47.31 XLON 09:16:01 280 47.31 XLON 09:16:01 16 47.31 XLON 09:16:01 564 47.32 CHIX 09:16:01 448 47.31 XLON 09:16:02 85 47.30 XLON 09:17:10 521 47.31 CHIX 09:17:10 677 47.30 XLON 09:19:01 482 47.30 CHIX 09:19:01 72 47.29 XLON 09:19:25 687 47.29 XLON 09:19:25 60 47.29 CHIX 09:19:25 194 47.29 CHIX 09:19:25 526 47.28 XLON 09:20:14 748 47.27 XLON 09:20:14 241 47.28 CHIX 09:20:14 305 47.27 CHIX 09:20:14 82 47.27 CHIX 09:20:14 807 47.26 XLON 09:21:06 155 47.25 XLON 09:21:06 611 47.25 XLON 09:21:06 321 47.24 XLON 09:21:06 314 47.26 CHIX 09:21:06 231 47.25 CHIX 09:21:06 555 47.23 XLON 09:21:07 129 47.23 CHIX 09:22:00 271 47.25 XLON 09:22:46 72 47.27 XLON 09:23:59 491 47.27 XLON 09:23:59 268 47.27 CHIX 09:23:59 787 47.27 XLON 09:25:46 537 47.26 XLON 09:25:46 400 47.28 XLON 09:26:13 8 47.27 XLON 09:26:17


 
119 47.27 CHIX 09:26:17 240 47.27 XLON 09:26:20 116 47.27 CHIX 09:27:13 751 47.30 XLON 09:29:26 644 47.30 CHIX 09:29:26 761 47.29 XLON 09:31:48 125 47.28 XLON 09:31:48 546 47.29 CHIX 09:31:48 496 47.28 XLON 09:32:04 562 47.28 CHIX 09:32:30 792 47.27 XLON 09:33:00 448 47.27 CHIX 09:33:00 160 47.27 CHIX 09:33:00 750 47.26 XLON 09:33:42 767 47.25 XLON 09:33:42 492 47.26 CHIX 09:33:42 228 47.25 CHIX 09:34:05 304 47.24 XLON 09:34:20 451 47.24 XLON 09:34:20 216 47.24 CHIX 09:34:20 783 47.23 XLON 09:34:22 275 47.22 XLON 09:34:45 215 47.22 CHIX 09:34:45 133 47.21 XLON 09:34:51 365 47.21 XLON 09:35:53 477 47.21 XLON 09:36:32 232 47.20 XLON 09:36:32 272 47.19 XLON 09:36:32 216 47.20 CHIX 09:36:32 214 47.19 CHIX 09:36:32 272 47.18 XLON 09:36:33 282 47.18 CHIX 09:36:33 307 47.17 XLON 09:37:16 206 47.17 CHIX 09:37:16 379 47.17 XLON 09:37:44 71 47.16 XLON 09:37:59 628 47.17 CHIX 09:40:39 465 47.23 XLON 09:41:31 128 47.23 XLON 09:41:31 200 47.23 XLON 09:41:31


 
401 47.23 CHIX 09:41:31 128 47.23 CHIX 09:41:31 88 47.23 CHIX 09:41:32 765 47.25 XLON 09:41:36 797 47.24 XLON 09:43:08 750 47.25 XLON 09:45:12 765 47.24 XLON 09:45:12 626 47.24 CHIX 09:45:12 322 47.24 XLON 09:47:59 77 47.24 XLON 09:48:17 99 47.24 XLON 09:48:17 106 47.24 XLON 09:48:17 51 47.24 XLON 09:48:17 195 47.24 XLON 09:48:17 73 47.24 XLON 09:48:17 119 47.26 XLON 09:48:49 17 47.26 XLON 09:48:49 100 47.26 XLON 09:48:49 551 47.26 XLON 09:48:55 358 47.26 XLON 09:50:07 79 47.26 XLON 09:50:07 80 47.26 XLON 09:50:07 751 47.25 XLON 09:50:11 766 47.25 CHIX 09:50:11 762 47.24 XLON 09:50:58 780 47.24 CHIX 09:50:58 788 47.25 XLON 09:51:37 659 47.24 XLON 09:51:37 128 47.24 XLON 09:51:37 687 47.25 CHIX 09:51:37 14 47.24 XLON 09:51:51 298 47.24 CHIX 09:51:51 109 47.24 CHIX 09:52:47 783 47.26 XLON 09:56:28 458 47.25 XLON 09:56:28 192 47.28 XLON 09:58:37 358 47.28 XLON 09:58:37 358 47.28 XLON 10:00:42 111 47.28 XLON 10:00:42 358 47.30 XLON 10:01:46


 
192 47.30 XLON 10:01:46 134 47.30 XLON 10:01:46 192 47.30 XLON 10:01:46 76 47.30 CHIX 10:01:46 140 47.31 XLON 10:03:01 136 47.31 XLON 10:03:02 138 47.31 XLON 10:03:03 142 47.31 XLON 10:03:04 139 47.31 XLON 10:03:05 799 47.30 XLON 10:03:10 131 47.31 XLON 10:03:10 39 47.31 XLON 10:03:10 192 47.31 XLON 10:03:10 794 47.30 CHIX 10:03:10 358 47.30 XLON 10:03:24 192 47.30 XLON 10:03:24 94 47.31 XLON 10:03:55 358 47.31 XLON 10:03:55 42 47.31 XLON 10:03:55 45 47.31 XLON 10:03:56 273 47.31 XLON 10:03:56 99 47.31 XLON 10:04:03 99 47.31 XLON 10:04:10 358 47.31 XLON 10:04:10 137 47.31 XLON 10:04:18 132 47.31 XLON 10:04:22 101 47.31 XLON 10:04:22 57 47.31 XLON 10:04:25 358 47.31 XLON 10:04:25 239 47.31 XLON 10:04:25 67 47.31 XLON 10:04:47 173 47.31 XLON 10:04:47 358 47.31 XLON 10:05:39 248 47.31 XLON 10:05:40 28 47.31 XLON 10:05:57 42 47.31 XLON 10:05:57 132 47.31 XLON 10:05:57 16 47.31 XLON 10:06:17 21 47.31 XLON 10:06:17 38 47.31 XLON 10:06:18


 
8 47.31 XLON 10:06:37 38 47.31 XLON 10:06:38 54 47.31 XLON 10:06:38 42 47.31 XLON 10:06:38 798 47.32 XLON 10:06:38 104 47.32 XLON 10:07:37 73 47.32 XLON 10:07:47 322 47.32 XLON 10:07:57 500 47.32 XLON 10:08:17 400 47.32 XLON 10:08:17 88 47.31 XLON 10:08:32 700 47.31 XLON 10:08:32 795 47.31 CHIX 10:08:32 26 47.31 CHIX 10:08:32 783 47.32 XLON 10:10:15 338 47.33 XLON 10:12:02 277 47.33 XLON 10:12:17 380 47.33 XLON 10:12:47 86 47.33 XLON 10:12:47 585 47.33 XLON 10:13:27 44 47.33 XLON 10:13:27 502 47.33 CHIX 10:13:27 288 47.33 CHIX 10:13:27 805 47.33 XLON 10:15:10 325 47.33 CHIX 10:15:10 123 47.33 CHIX 10:15:10 30 47.33 CHIX 10:15:10 58 47.33 XLON 10:15:11 325 47.33 CHIX 10:15:11 804 47.33 CHIX 10:15:11 414 47.34 XLON 10:16:14 202 47.34 XLON 10:16:18 65 47.34 XLON 10:16:47 4 47.34 XLON 10:16:47 143 47.34 XLON 10:16:47 151 47.34 XLON 10:16:47 20 47.36 CHIX 10:17:18 280 47.38 XLON 10:18:28 506 47.38 XLON 10:18:28 800 47.38 CHIX 10:18:28


 
325 47.38 CHIX 10:18:28 161 47.37 CHIX 10:18:29 797 47.37 XLON 10:18:30 41 47.37 CHIX 10:18:31 554 47.37 CHIX 10:19:00 75 47.36 CHIX 10:19:53 137 47.38 XLON 10:21:07 127 47.38 XLON 10:22:21 625 47.38 XLON 10:22:25 448 47.38 XLON 10:22:25 596 47.38 XLON 10:22:25 192 47.38 XLON 10:22:25 26 47.38 XLON 10:22:25 752 47.38 CHIX 10:22:25 802 47.37 XLON 10:22:31 781 47.37 CHIX 10:22:31 100 47.36 XLON 10:23:38 676 47.36 XLON 10:23:58 699 47.36 CHIX 10:23:58 127 47.35 CHIX 10:24:17 795 47.35 XLON 10:24:22 672 47.35 CHIX 10:24:22 589 47.34 XLON 10:24:54 792 47.34 CHIX 10:24:54 744 47.33 XLON 10:26:51 20 47.32 XLON 10:26:51 217 47.32 XLON 10:26:51 575 47.33 CHIX 10:26:51 219 47.32 CHIX 10:26:51 747 47.36 XLON 10:32:16 70 47.36 CHIX 10:32:16 565 47.39 XLON 10:32:20 242 47.39 XLON 10:32:20 726 47.38 XLON 10:32:20 44 47.38 XLON 10:32:20 766 47.37 XLON 10:32:23 410 47.38 CHIX 10:32:23 450 47.37 CHIX 10:32:23 110 47.36 XLON 10:34:03 561 47.36 XLON 10:34:05


 
395 47.36 CHIX 10:34:15 329 47.38 XLON 10:37:18 304 47.38 XLON 10:37:18 87 47.38 XLON 10:37:18 290 47.38 CHIX 10:37:18 490 47.37 XLON 10:38:18 305 47.37 CHIX 10:38:18 21 47.36 XLON 10:39:31 551 47.36 XLON 10:39:31 282 47.36 CHIX 10:40:08 13 47.36 CHIX 10:40:29 234 47.35 CHIX 10:43:46 16 47.35 XLON 10:45:03 34 47.35 XLON 10:45:28 18 47.35 XLON 10:45:49 371 47.35 XLON 10:45:49 406 47.34 XLON 10:46:40 203 47.34 CHIX 10:46:40 152 47.34 XLON 10:48:17 310 47.34 XLON 10:48:17 143 47.34 XLON 10:48:17 135 47.34 XLON 10:48:17 211 47.34 XLON 10:48:17 5 47.34 XLON 10:48:17 37 47.34 XLON 10:48:17 487 47.33 XLON 10:48:19 221 47.33 CHIX 10:48:31 768 47.33 XLON 10:50:03 16 47.37 XLON 10:54:00 87 47.38 XLON 10:54:23 99 47.38 XLON 10:55:00 94 47.38 XLON 10:55:00 336 47.38 XLON 10:55:20 336 47.38 XLON 10:55:20 102 47.38 XLON 10:55:20 124 47.38 XLON 10:55:20 178 47.38 XLON 10:55:20 20 47.37 XLON 10:55:23 732 47.37 XLON 10:55:23 775 47.36 XLON 10:55:23


 
748 47.37 CHIX 10:55:23 284 47.36 CHIX 10:55:23 225 47.36 CHIX 10:55:23 254 47.36 CHIX 10:55:24 796 47.35 XLON 10:56:46 806 47.35 CHIX 10:56:46 25 47.34 XLON 10:57:18 138 47.35 XLON 10:58:45 626 47.35 XLON 10:58:45 723 47.34 XLON 11:00:09 448 47.35 CHIX 11:00:09 577 47.34 CHIX 11:00:09 29 47.33 XLON 11:00:39 143 47.37 XLON 11:06:07 140 47.37 XLON 11:06:09 336 47.37 XLON 11:06:20 93 47.37 XLON 11:06:21 336 47.37 XLON 11:06:21 93 47.37 XLON 11:06:22 336 47.37 XLON 11:06:22 94 47.37 XLON 11:06:23 336 47.37 XLON 11:06:23 94 47.37 XLON 11:06:26 108 47.37 XLON 11:06:26 205 47.37 XLON 11:06:26 748 47.36 XLON 11:07:04 760 47.35 XLON 11:07:04 485 47.35 CHIX 11:07:04 748 47.34 XLON 11:07:14 33 47.33 XLON 11:08:21 725 47.33 XLON 11:08:21 473 47.34 CHIX 11:08:21 105 47.33 CHIX 11:08:21 176 47.33 CHIX 11:08:27 304 47.32 XLON 11:10:05 491 47.32 XLON 11:10:05 546 47.32 CHIX 11:10:05 272 47.31 XLON 11:12:08 162 47.31 XLON 11:12:08 508 47.31 CHIX 11:12:08


 
704 47.30 XLON 11:13:47 226 47.30 CHIX 11:13:47 252 47.30 XLON 11:15:17 278 47.30 XLON 11:15:47 58 47.30 XLON 11:15:47 44 47.30 XLON 11:15:47 60 47.30 XLON 11:15:47 336 47.30 XLON 11:15:47 50 47.30 XLON 11:15:47 351 47.29 CHIX 11:16:01 280 47.30 XLON 11:17:07 58 47.30 XLON 11:17:07 44 47.30 XLON 11:17:07 15 47.30 XLON 11:17:07 134 47.33 XLON 11:19:10 75 47.34 XLON 11:19:10 688 47.34 XLON 11:19:10 50 47.34 CHIX 11:19:11 146 47.37 XLON 11:21:42 607 47.37 XLON 11:22:18 760 47.36 XLON 11:22:18 758 47.37 CHIX 11:22:18 272 47.37 CHIX 11:23:37 798 47.37 XLON 11:23:40 336 47.37 XLON 11:23:40 134 47.37 XLON 11:23:40 461 47.37 CHIX 11:23:40 203 47.36 XLON 11:23:50 568 47.36 XLON 11:23:50 805 47.36 CHIX 11:23:50 380 47.37 XLON 11:25:57 36 47.37 XLON 11:25:57 525 47.37 XLON 11:25:57 232 47.36 CHIX 11:25:59 500 47.36 XLON 11:26:19 287 47.36 XLON 11:26:19 755 47.35 XLON 11:26:20 757 47.35 CHIX 11:26:41 11 47.34 XLON 11:26:44 753 47.34 XLON 11:27:41


 
296 47.33 XLON 11:27:41 95 47.33 XLON 11:27:41 256 47.34 CHIX 11:27:41 245 47.32 XLON 11:27:42 203 47.33 CHIX 11:27:42 232 47.31 XLON 11:31:34 202 47.31 CHIX 11:31:37 803 47.32 XLON 11:33:42 449 47.32 CHIX 11:33:42 750 47.31 XLON 11:33:43 399 47.31 CHIX 11:33:43 466 47.32 XLON 11:33:56 442 47.33 XLON 11:38:55 378 47.33 XLON 11:38:55 483 47.32 XLON 11:39:21 255 47.32 CHIX 11:39:21 428 47.31 XLON 11:40:37 243 47.31 CHIX 11:40:37 342 47.30 XLON 11:41:05 465 47.30 XLON 11:41:05 212 47.30 CHIX 11:41:05 14 47.30 CHIX 11:41:05 626 47.29 XLON 11:41:06 94 47.29 CHIX 11:41:14 753 47.28 XLON 11:41:46 398 47.29 CHIX 11:41:46 366 47.28 CHIX 11:41:46 226 47.27 XLON 11:41:48 26 47.27 XLON 11:41:48 234 47.27 CHIX 11:41:56 232 47.25 XLON 11:46:12 229 47.25 CHIX 11:46:28 134 47.25 XLON 11:47:47 74 47.25 XLON 11:47:57 932 47.25 XLON 11:48:49 161 47.25 XLON 11:49:57 78 47.24 XLON 11:50:04 145 47.24 XLON 11:50:04 229 47.24 CHIX 11:50:04 304 47.24 XLON 11:53:55


 
468 47.24 XLON 11:53:55 41 47.24 XLON 11:53:55 320 47.24 XLON 11:53:55 76 47.24 XLON 11:53:55 144 47.24 XLON 11:53:55 102 47.24 XLON 11:53:55 92 47.24 XLON 11:53:55 163 47.24 XLON 11:53:55 39 47.24 XLON 11:53:55 226 47.23 XLON 11:54:03 227 47.23 CHIX 11:54:20 718 47.22 XLON 11:54:24 74 47.22 CHIX 11:54:35 287 47.22 CHIX 11:54:35 86 47.22 XLON 11:56:07 150 47.22 XLON 11:56:07 11 47.22 XLON 11:56:07 28 47.22 XLON 11:56:37 42 47.22 XLON 11:56:37 58 47.22 XLON 11:56:37 110 47.22 XLON 11:56:37 77 47.22 XLON 11:57:08 46 47.22 XLON 11:57:17 52 47.22 XLON 11:57:22 335 47.23 XLON 11:57:36 740 47.24 XLON 11:57:40 29 47.23 CHIX 11:59:29 132 47.24 XLON 11:59:47 76 47.24 XLON 11:59:47 81 47.24 XLON 12:00:17 315 47.24 XLON 12:00:50 74 47.24 XLON 12:00:50 37 47.24 XLON 12:00:50 666 47.23 CHIX 12:01:04 221 47.24 XLON 12:01:17 81 47.24 XLON 12:01:17 20 47.24 XLON 12:01:17 701 47.24 CHIX 12:01:57 210 47.24 XLON 12:02:07 144 47.24 XLON 12:02:07


 
73 47.24 XLON 12:02:07 772 47.23 XLON 12:02:52 512 47.22 XLON 12:02:52 179 47.22 XLON 12:02:52 562 47.23 CHIX 12:02:52 720 47.22 CHIX 12:02:59 122 47.21 XLON 12:04:45 205 47.21 XLON 12:04:45 52 47.21 CHIX 12:04:45 205 47.21 CHIX 12:04:45 477 47.20 XLON 12:04:46 383 47.21 XLON 12:08:58 58 47.22 XLON 12:10:00 760 47.22 XLON 12:12:10 144 47.22 XLON 12:12:10 417 47.22 XLON 12:12:10 155 47.22 XLON 12:12:10 135 47.22 XLON 12:12:10 61 47.22 XLON 12:12:10 141 47.22 XLON 12:12:10 478 47.22 CHIX 12:12:10 95 47.22 XLON 12:12:27 100 47.22 XLON 12:12:27 127 47.22 XLON 12:12:27 137 47.22 XLON 12:12:27 137 47.23 XLON 12:12:49 111 47.23 XLON 12:12:49 20 47.23 XLON 12:12:50 36 47.24 XLON 12:13:57 84 47.24 XLON 12:13:57 139 47.24 XLON 12:13:57 174 47.24 XLON 12:14:27 85 47.24 XLON 12:14:27 157 47.24 XLON 12:14:27 294 47.24 XLON 12:15:27 79 47.24 XLON 12:15:27 620 47.25 XLON 12:16:28 368 47.24 XLON 12:16:28 162 47.24 XLON 12:16:28 461 47.23 XLON 12:16:28


 
192 47.22 XLON 12:16:28 96 47.22 XLON 12:16:28 192 47.23 XLON 12:16:28 91 47.23 XLON 12:16:28 583 47.25 CHIX 12:16:28 494 47.24 CHIX 12:16:28 345 47.23 CHIX 12:16:28 383 47.22 CHIX 12:16:28 41 47.22 CHIX 12:16:28 238 47.22 CHIX 12:20:20 41 47.22 XLON 12:20:59 304 47.22 XLON 12:20:59 16 47.22 XLON 12:20:59 167 47.22 XLON 12:20:59 86 47.22 XLON 12:22:11 131 47.22 XLON 12:22:11 99 47.22 XLON 12:22:11 484 47.21 XLON 12:22:21 239 47.21 CHIX 12:22:21 154 47.21 XLON 12:23:17 165 47.21 XLON 12:23:17 13 47.22 XLON 12:23:57 133 47.22 XLON 12:24:05 384 47.23 XLON 12:24:57 52 47.23 XLON 12:24:57 288 47.23 CHIX 12:25:03 48 47.23 XLON 12:25:07 239 47.23 XLON 12:25:07 315 47.23 XLON 12:25:37 38 47.23 XLON 12:25:37 524 47.22 XLON 12:25:59 294 47.22 CHIX 12:25:59 78 47.24 XLON 12:28:41 78 47.24 XLON 12:28:41 140 47.24 XLON 12:28:41 135 47.24 XLON 12:28:41 105 47.24 XLON 12:28:41 78 47.24 XLON 12:28:42 108 47.24 XLON 12:28:42 16 47.24 XLON 12:28:42


 
104 47.24 XLON 12:28:43 80 47.24 XLON 12:29:05 122 47.24 XLON 12:29:05 104 47.24 XLON 12:29:17 85 47.24 XLON 12:29:17 150 47.19 XLON 12:53:25 223 47.11 XLON 13:17:42 202 47.10 XLON 13:17:42 429 47.11 XLON 13:18:01 432 47.10 XLON 13:19:02 179 47.10 XLON 13:19:08 106 47.10 XLON 13:19:08 418 47.12 XLON 13:19:21 296 47.12 XLON 13:19:21 158 47.12 XLON 13:19:21 100 47.12 XLON 13:19:21 385 47.11 XLON 13:19:36 242 47.10 XLON 13:20:12 203 47.09 XLON 13:20:37 204 47.08 XLON 13:20:43 161 47.08 XLON 13:22:30 250 47.08 XLON 13:22:30 241 47.07 XLON 13:22:36 16 47.08 XLON 13:22:51 510 47.09 XLON 13:22:51 100 47.09 XLON 13:22:52 161 47.09 XLON 13:22:52 143 47.09 XLON 13:22:52 31 47.08 XLON 13:23:01 481 47.08 XLON 13:23:01 343 47.07 XLON 13:23:08 193 47.02 XLON 13:25:00 14 47.02 XLON 13:25:00 97 47.02 XLON 13:25:14 74 47.02 XLON 13:25:14 79 47.04 XLON 13:26:03 223 47.04 XLON 13:26:04 115 47.04 XLON 13:26:07 523 47.03 XLON 13:27:07 20 47.03 XLON 13:28:32


 
32 47.03 XLON 13:28:32 111 47.03 XLON 13:28:49 81 47.03 XLON 13:28:49 363 47.03 XLON 13:28:49 78 47.03 XLON 13:28:49 161 47.03 XLON 13:28:49 165 47.03 XLON 13:28:49 371 47.02 XLON 13:29:06 211 47.01 XLON 13:29:09 402 47.00 XLON 13:29:12 402 47.01 XLON 13:30:07 43 47.01 XLON 13:30:07 84 47.01 XLON 13:30:07 91 47.01 XLON 13:30:08 402 47.01 XLON 13:30:08 2 47.01 XLON 13:30:08 762 47.00 XLON 13:30:09 683 47.01 XLON 13:30:53 108 47.01 XLON 13:31:44 164 47.01 XLON 13:31:44 63 47.01 XLON 13:31:45 25 47.01 XLON 13:31:45 30 47.01 XLON 13:31:45 117 47.01 XLON 13:31:45 508 47.00 XLON 13:31:47 133 47.02 XLON 13:33:00 64 47.03 XLON 13:33:04 709 47.03 XLON 13:33:04 92 47.04 XLON 13:34:01 164 47.04 XLON 13:34:01 307 47.04 XLON 13:34:01 1,235 47.03 XLON 13:34:05 37 47.07 XLON 16:13:32 Media Enquiries: Please contact the Unilever Press Office at: Press-Office.London@Unilever.com


 
This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.


 
EX-99.27 28 a9927-completionof2025sh.htm EX-99.27 a9927-completionof2025sh
RNS Miscellaneous COMPLETION OF SHARE BUYBACK UNILEVER PLC Released 18:29:33 30 May 2025 RNS Number : 8879K Unilever PLC 30 May 2025 Completion of 2025 Share Buyback   London, 30 May 2025. Unilever PLC announces the completion of its share buyback of up to €1.5 bill initially announced on 13 February 2025 (the "Buyback").   Under the Buyback, a total of 27,815,955 ordinary Unilever PLC shares were purchased with an a market value equivalent of €1,499,999,964.   Please see the total voting rights announcement dated 1 May 2025 for Unilever PLC's latest to rights figure published under the UK Financial Conduct Authority's Disclosure Guidance and Tran Rule 5.   ENDS


 
  Enquiries   Media: Unilever Press Office press-office.london@unilever.com   Investors: Investor Relations Team investor.relations@unilever.com     About Unilever   Unilever is a global consumer goods business with a portfolio of Beauty & Wellbeing, Personal Care, Home C and Ice Cream brands. Our products are used by 3.4 billion consumers every day from household necessities t indulgences. We have around 120,000 employees and generated €60.8bn turnover in 2024.   For more information about Unilever and our brands, please visit www.unilever.com.     Safe Harbour This announcement may contain forward-looking statements, including 'forward-looking statements' within the meaning o States Private Securities Litigation Reform Act of 1995, including with relation to Unilever's share buyback programme, its p timetable. All statements other than statements of historical fact are, or may be deemed to be, forward-looking statements. W 'will', 'aim', 'expects', 'anticipates', 'intends', 'looks', 'believes', 'vision', 'ambition', 'target', 'goal', 'plan', 'potential', 'work tow 'milestone', 'objectives', 'outlook', 'probably', 'project', 'risk', 'seek', 'continue', 'projected', 'estimate', 'achieve' or the negative of and other similar expressions of future performance or results, and their negatives, are intended to identify such forw statements. These forward-looking statements are based upon current expectations and assumptions regarding developments and other factors affecting the Unilever Group (the 'Group'). They are not historical facts, nor are they guarant performance or outcomes. All forward-looking statements contained in this announcement are expressly qualified in their en cautionary statements contained or referred to in this section. Readers should not place undue reliance on forward-looking sta   Because these forward-looking statements involve known and unknown risks and uncertainties, a number of which may be Group's control, there are important factors that could cause actual results to differ materially from those expressed or impl forward-looking statements. The forward-looking statements are based on our beliefs, assumptions and expectations o performance, taking into account all information currently available to us. Forward-looking statements are not predictio events. These beliefs, assumptions and expectations can change as a result of many possible events or factors, not all of whic to us.   The forward-looking statements speak only as of the date of this announcement. Except as required by any applicable law o the Group expressly disclaims any obligation or undertaking to release publicly any updates or revisions to any forward-looking contained herein to reflect any change in the Group's expectations with regard thereto or any change in events, c circumstances on which any such statement is based. New risks and uncertainties arise over time, and it is not possible for those events or how they may affect us. In addition, we cannot assess the impact of each factor on our business or the extent factor, or combination of factors, may cause actual results to differ materially from those contained in any forward-looking sta   Further details of potential risks and uncertainties affecting the Group are described in the Group's filings with the London Stoc Euronext Amsterdam and the US Securities and Exchange Commission, including in the Unilever Annual Report on Form 20-F 2


 
Unilever Annual Report and Accounts 2024 available on our corporate website www.unilever.com.  This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.


 
EX-99.28 29 a9928-totalvotingrights.htm EX-99.28 a9928-totalvotingrights
RNS Total Voting Rights TOTAL VOTING RIGHTS UNILEVER PLC Released 14:18:57 02 June 2025 RNS Number : 0680L Unilever PLC 02 June 2025   02   Unilever PLC Voting Rights and Capital Update The following notification is made in accordance with the UK Financial Conduct Disclosure Guidance and Transparency Rule 5.6.1. Unilever PLC's issued share capital as at 30 May 2025 consisted of 2,524,997,338 ordin of 3 1/9p each. Of those ordinary shares, 70,412,502 were held as treasury shares and ordinary shares (including ordinary shares represented by Unilever PLC ADSs) were on behalf of companies in the Unilever group (the "Unilever Group Shares"). The vo attaching to the Unilever Group Shares are not exercisable. Accordingly, as at 30 there were 2,452,731,981 shares with voting rights. The figure of 2,452,731,981 may be used by shareholders as the denominato calculations by which they will determine if they are required to notify their intere change to their interest in, Unilever PLC under the UK Financial Conduct Authority's Guidance and Transparency Rules.     This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com. RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy. END London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply. © 2025 London Stock Exchange plc. All rights reserved.