EX-99.18 19 a9918-transactioninownsh.htm EX-99.18 a9918-transactioninownsh
RNS Transaction in Own Shares TRANSACTION IN OWN SHARES UNILEVER PLC Released 07:00:11 22 April 2025 RNS Number : 5477F Unilever PLC 22 April 2025 TRANSACTIONS IN OWN SECURITIES 22 April 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: 17 April 2025 Number of ordinary shares purchased: 50,000 Highest price paid per share: GBP 48.0700 Lowest price paid per share: GBP 47.1900 Volume weighted average price paid per share: GBP 47.6068 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 67,046,885 of its ordinary sha and has 2,501,500,934 ordinary shares in issue (excluding treasury shares). Aggregated information Trading venue Volume weighted average price (GBP) Aggregated volum LSE 47.6068 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 250 47.32 XLON 08 464 47.32 XLON 08 250 47.33 XLON 08 256 47.33 XLON 08 335 47.34 XLON 08 95 47.34 XLON 08 140 47.34 XLON 08 261 47.33 XLON 08 251 47.38 XLON 08 252 47.36 XLON 08 223 47.38 XLON 08 227 47.37 XLON 08 224 47.41 XLON 09 225 47.39 XLON 09 230 47.41 XLON 09 229 47.43 XLON 09 225 47.33 XLON 09 226 47.39 XLON 09 224 47.40 XLON 09 226 47.34 XLON 09 223 47.34 XLON 09 223 47.33 XLON 09 11 47.32 XLON 09 2 47.32 XLON 09 217 47.32 XLON 09 231 47.28 XLON 09 231 47.27 XLON 09 227 47.21 XLON 10 224 47.21 XLON 10 226 47.21 XLON 10 358 47.21 XLON 10 369 47.19 XLON 10 464 47.26 XLON 10 137 47.26 XLON 10 432 47.24 XLON 10 40 47.25 XLON 10 459 47.25 XLON 10 364 47.24 XLON 10 485 47.24 XLON 10 152 47.29 XLON 10 71 47.29 XLON 10 230 47.29 XLON 10 109 47.29 XLON 10 873 47.28 XLON 10 181 47.28 XLON 10 701 47.28 XLON 10 868 47.26 XLON 10 743 47.26 XLON 10 719 47.24 XLON 10 304 47.24 XLON 10 24 47.24 XLON 10 255 47.26 XLON 10 232 47.24 XLON 10 82 47.25 XLON 10 293 47.29 XLON 10 240 47.30 XLON 10 223 47.30 XLON 10 89 47.26 XLON 10 89 47.28 XLON 10 142 47.28 XLON 10 326 47.34 XLON 10 281 47.34 XLON 10 89 47.36 XLON 10 25 47.36 XLON 10 7 47.36 XLON 10 89 47.36 XLON 10 89 47.36 XLON 10 27 47.36 XLON 10 339 47.35 XLON 11 269 47.37 XLON 11 246 47.39 XLON 11 226 47.37 XLON 11 240 47.33 XLON 11 242 47.31 XLON 11 226 47.29 XLON 11 227 47.35 XLON 11 227 47.35 XLON 11 114 47.33 XLON 11 114 47.33 XLON 11 223 47.33 XLON 11 2 47.33 XLON 11 221 47.33 XLON 11 232 47.37 XLON 11 226 47.34 XLON 11 230 47.29 XLON 12 226 47.27 XLON 12 229 47.27 XLON 12 223 47.27 XLON 12 224 47.24 XLON 12 7 47.23 XLON 12 218 47.23 XLON 12


 
43 47.25 XLON 12 298 47.20 XLON 12 273 47.23 XLON 12 258 47.23 XLON 12 195 47.32 XLON 12 43 47.32 XLON 12 234 47.36 XLON 12 224 47.47 XLON 13 224 47.48 XLON 13 228 47.52 XLON 13 223 47.47 XLON 13 230 47.48 XLON 13 200 47.56 XLON 13 25 47.56 XLON 13 224 47.62 XLON 13 224 47.65 XLON 13 223 47.65 XLON 13 225 47.67 XLON 13 225 47.75 XLON 13 223 47.71 XLON 13 226 47.63 XLON 13 223 47.58 XLON 14 226 47.60 XLON 14 226 47.65 XLON 14 224 47.67 XLON 14 224 47.71 XLON 14 232 47.76 XLON 14 223 47.76 XLON 14 229 47.73 XLON 14 231 47.75 XLON 14 224 47.74 XLON 14 258 47.77 XLON 14 243 47.79 XLON 14 235 47.78 XLON 14 237 47.84 XLON 14 235 47.82 XLON 14 132 47.82 XLON 14 305 47.88 XLON 14 269 47.89 XLON 14 265 47.92 XLON 14 252 47.92 XLON 14 245 47.88 XLON 14 101 47.86 XLON 14 139 47.86 XLON 14 239 47.88 XLON 14 238 47.86 XLON 14 34 47.89 XLON 14 208 47.89 XLON 14 241 47.89 XLON 14 241 47.91 XLON 14 208 47.88 XLON 14 30 47.88 XLON 14 238 47.89 XLON 14 234 47.89 XLON 14 232 47.87 XLON 14 48 47.87 XLON 14 326 47.94 XLON 14 286 47.94 XLON 14 260 47.96 XLON 14 246 47.97 XLON 14 238 47.99 XLON 14 238 47.97 XLON 14 224 48.00 XLON 14 238 48.03 XLON 14 231 47.99 XLON 14 223 47.96 XLON 14 231 47.95 XLON 14 234 48.00 XLON 14 231 48.02 XLON 15 9 47.97 XLON 15 42 47.97 XLON 15 240 47.97 XLON 15 229 48.00 XLON 15 230 48.00 XLON 15 295 47.93 XLON 15 325 47.89 XLON 15 242 47.95 XLON 15 255 47.96 XLON 15 262 47.96 XLON 15 255 47.94 XLON 15 355 47.98 XLON 15 358 47.97 XLON 15 8 47.97 XLON 15 335 47.97 XLON 15 345 48.00 XLON 15 306 47.93 XLON 15 37 47.93 XLON 15 341 47.90 XLON 15 359 47.90 XLON 15 351 47.83 XLON 15 340 47.81 XLON 15 108 47.89 XLON 15 248 47.89 XLON 15 267 47.86 XLON 15 260 47.88 XLON 15 350 47.90 XLON 15 341 47.91 XLON 15 351 47.89 XLON 16 375 47.90 XLON 16 347 47.93 XLON 16 345 47.96 XLON 16 260 48.01 XLON 16 280 48.01 XLON 16 99 47.97 XLON 16 169 47.97 XLON 16 262 47.98 XLON 16 355 48.00 XLON 16 365 48.00 XLON 16 152 48.06 XLON 16 17 48.06 XLON 16 4 48.06 XLON 16 8 48.06 XLON 16 27 48.06 XLON 16 27 48.06 XLON 16 27 48.06 XLON 16 6 48.06 XLON 16 264 48.06 XLON 16 314 48.07 XLON 16 339 48.03 XLON 16 323 48.02 XLON 16 21 48.02 XLON 16 176 48.01 XLON 16 103 48.01 XLON 16 617 48.01 XLON 16 91 48.02 XLON 16 320 48.02 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.


 
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