STOCK TITAN

[6-K] UNILEVER PLC Current Report (Foreign Issuer)

Filing Impact
(Low)
Filing Sentiment
(Neutral)
Form Type
6-K
Rhea-AI Filing Summary

Unilever PLC reported the availability of final terms for two euro-denominated senior notes issued by Unilever Capital Corporation under its $25,000,000,000 Debt Issuance Programme. The series comprise EUR 850,000,000 2.875% Notes due 31 October 2032 and EUR 800,000,000 3.500% Notes due 31 October 2037.

Both series are guaranteed by Unilever PLC and Unilever United States, Inc. The final terms must be read with the Information Memorandum dated 16 May 2025, as supplemented on 31 July 2025 and 24 October 2025. The documents are available via Unilever’s website and will be submitted to the UK National Storage Mechanism. This announcement is not an offer to sell or a solicitation to buy the securities.

Unilever PLC ha comunicato la disponibilità dei termini finali per due note senior in euro emesse da Unilever Capital Corporation nell'ambito del suo Debt Issuance Programme da 25.000.000.000 $. La serie comprende EUR 850.000.000 2,875% Note in scadenza 31 ottobre 2032 e EUR 800.000.000 3,500% Note in scadenza 31 ottobre 2037.

Entrambe le serie sono garantite da Unilever PLC e Unilever United States, Inc. I termini finali devono essere letti con le Informazioni Memorandum datato 16 maggio 2025, come integrato il 31 luglio 2025 e il 24 ottobre 2025. I documenti sono disponibili sul sito di Unilever e saranno presentati al UK National Storage Mechanism. Questo comunicato non è un'offerta di vendita né una sollecitazione all'acquisto dei titoli.

Unilever PLC anunció la disponibilidad de los términos finales para dos notas senior denominadas en euros emitidas por Unilever Capital Corporation bajo su Programa de Emisión de Deuda de 25.000.000.000 $. La serie comprende EUR 850.000.000 2,875% Notes vencen el 31 de octubre de 2032 y EUR 800.000.000 3,500% Notes vencen el 31 de octubre de 2037.

Ambas series están garantizadas por Unilever PLC y Unilever United States, Inc. Los términos finales deben leerse junto con el Memorando de Información datado el 16 de mayo de 2025, según se complementó el 31 de julio de 2025 y el 24 de octubre de 2025. Los documentos están disponibles en el sitio web de Unilever y se presentarán al UK National Storage Mechanism. Este anuncio no constituye una oferta de venta ni una solicitud de compra de los valores.

유니레버 PLC는 Unilever Capital Corporation이 발행한 250억 달러 규모의 채무 발행 프로그램 아래의 유로화 표시 우선주 채권 두 종의 최종 조건 가용성을 발표했습니다. 시리즈는 EUR 850,000,000 2.875% 만료 2032년 10월 31일EUR 800,000,000 3.500% 만료 2037년 10월 31일로 구성됩니다.

두 시리즈는 유니레버 PLC 및 Unilever United States, Inc.의 보증을 받습니다. 최종 조건은 2025년 5월 16일 자 정보 메모와 2025년 7월 31일 및 2025년 10월 24일에 보완된 내용과 함께 읽어야 합니다. 문서는 유니레버의 웹사이트에서 확인할 수 있으며 UK National Storage Mechanism에 제출될 예정입니다. 이 공고는 증권의 매매를 제안하거나 매수 요청이 아닙니다.

Unilever PLC a annoncé la disponibilité des conditions finales pour deux obligations senior libellées en euros émis par Unilever Capital Corporation dans le cadre de son programme d'émission de dette de 25 000 000 000 $. La série comprend EUR 850 000 000 2,875% des obligations arrivant à échéance le 31 octobre 2032 et EUR 800 000 000 3,500% des obligations arrivant à échéance le 31 octobre 2037.

Les deux séries sont garanties par Unilever PLC et Unilever United States, Inc. Les conditions finales doivent être lues avec le Mémorandum d'information daté du 16 mai 2025, tel que complété le 31 juillet 2025 et le 24 octobre 2025. Les documents sont disponibles sur le site Web d'Unilever et seront soumis au UK National Storage Mechanism. Cette annonce ne constitue pas une offre de vendre ni une sollicitation à acheter les valeurs.

Unilever PLC hat die Verfügbarkeit der Endbedingungen für zwei euro-denominierte Senior Notes bekannt gegeben, ausgegeben von Unilever Capital Corporation im Rahmen ihres Debt Issuance Programme über 25.000.000.000 $. Die Serie umfasst EUR 850.000.000 2,875% Schuldverschreibungen mit Fälligkeit am 31. Oktober 2032 und EUR 800.000.000 3,500% Schuldverschreibungen mit Fälligkeit am 31. Oktober 2037.

Beide Serien sind von Unilever PLC und Unilever United States, Inc. garantiert. Die Endbedingungen sind im Informations memorandum vom 16. Mai 2025, wie am 31. Juli 2025 und 24. Oktober 2025 ergänzt, zu lesen. Die Dokumente sind über die Website von Unilever verfügbar und werden dem UK National Storage Mechanism vorgelegt. Diese Bekanntmachung stellt kein Angebot zum Verkauf oder eine Aufforderung zum Kauf der Wertpapiere dar.

Unilever PLC أبلغت عن توافر الشروط النهائية لسندين senior مقوّمين باليورو والصادرين عن Unilever Capital Corporation بموجب برنامج إصدار الدين الخاص بها بقيمة 25,000,000,000 دولار. تتكوّن السلسلة من EUR 850,000,000 2.875% سندات مستحقة في 31 أكتوبر 2032 و EUR 800,000,000 3.500% سندات مستحقة في 31 أكتوبر 2037.

كلا السلسلتين مضمونة من قبل Unilever PLC وUnilever United States, Inc. يجب قراءة الشروط النهائية مع مذكرة المعلومات المؤرخة 16 مايو 2025، كما تم تعديلها في 31 يوليو 2025 و24 أكتوبر 2025. تتوفر الوثائق عبر موقع Unilever على الويب وسيتم تقديمها إلى UK National Storage Mechanism. هذا الإعلان ليس عرضاً لبيع الأوراق المالية ولا طلباً لشرائها.

Positive
  • None.
Negative
  • None.

Unilever PLC ha comunicato la disponibilità dei termini finali per due note senior in euro emesse da Unilever Capital Corporation nell'ambito del suo Debt Issuance Programme da 25.000.000.000 $. La serie comprende EUR 850.000.000 2,875% Note in scadenza 31 ottobre 2032 e EUR 800.000.000 3,500% Note in scadenza 31 ottobre 2037.

Entrambe le serie sono garantite da Unilever PLC e Unilever United States, Inc. I termini finali devono essere letti con le Informazioni Memorandum datato 16 maggio 2025, come integrato il 31 luglio 2025 e il 24 ottobre 2025. I documenti sono disponibili sul sito di Unilever e saranno presentati al UK National Storage Mechanism. Questo comunicato non è un'offerta di vendita né una sollecitazione all'acquisto dei titoli.

Unilever PLC anunció la disponibilidad de los términos finales para dos notas senior denominadas en euros emitidas por Unilever Capital Corporation bajo su Programa de Emisión de Deuda de 25.000.000.000 $. La serie comprende EUR 850.000.000 2,875% Notes vencen el 31 de octubre de 2032 y EUR 800.000.000 3,500% Notes vencen el 31 de octubre de 2037.

Ambas series están garantizadas por Unilever PLC y Unilever United States, Inc. Los términos finales deben leerse junto con el Memorando de Información datado el 16 de mayo de 2025, según se complementó el 31 de julio de 2025 y el 24 de octubre de 2025. Los documentos están disponibles en el sitio web de Unilever y se presentarán al UK National Storage Mechanism. Este anuncio no constituye una oferta de venta ni una solicitud de compra de los valores.

유니레버 PLC는 Unilever Capital Corporation이 발행한 250억 달러 규모의 채무 발행 프로그램 아래의 유로화 표시 우선주 채권 두 종의 최종 조건 가용성을 발표했습니다. 시리즈는 EUR 850,000,000 2.875% 만료 2032년 10월 31일EUR 800,000,000 3.500% 만료 2037년 10월 31일로 구성됩니다.

두 시리즈는 유니레버 PLC 및 Unilever United States, Inc.의 보증을 받습니다. 최종 조건은 2025년 5월 16일 자 정보 메모와 2025년 7월 31일 및 2025년 10월 24일에 보완된 내용과 함께 읽어야 합니다. 문서는 유니레버의 웹사이트에서 확인할 수 있으며 UK National Storage Mechanism에 제출될 예정입니다. 이 공고는 증권의 매매를 제안하거나 매수 요청이 아닙니다.

Unilever PLC a annoncé la disponibilité des conditions finales pour deux obligations senior libellées en euros émis par Unilever Capital Corporation dans le cadre de son programme d'émission de dette de 25 000 000 000 $. La série comprend EUR 850 000 000 2,875% des obligations arrivant à échéance le 31 octobre 2032 et EUR 800 000 000 3,500% des obligations arrivant à échéance le 31 octobre 2037.

Les deux séries sont garanties par Unilever PLC et Unilever United States, Inc. Les conditions finales doivent être lues avec le Mémorandum d'information daté du 16 mai 2025, tel que complété le 31 juillet 2025 et le 24 octobre 2025. Les documents sont disponibles sur le site Web d'Unilever et seront soumis au UK National Storage Mechanism. Cette annonce ne constitue pas une offre de vendre ni une sollicitation à acheter les valeurs.

Unilever PLC hat die Verfügbarkeit der Endbedingungen für zwei euro-denominierte Senior Notes bekannt gegeben, ausgegeben von Unilever Capital Corporation im Rahmen ihres Debt Issuance Programme über 25.000.000.000 $. Die Serie umfasst EUR 850.000.000 2,875% Schuldverschreibungen mit Fälligkeit am 31. Oktober 2032 und EUR 800.000.000 3,500% Schuldverschreibungen mit Fälligkeit am 31. Oktober 2037.

Beide Serien sind von Unilever PLC und Unilever United States, Inc. garantiert. Die Endbedingungen sind im Informations memorandum vom 16. Mai 2025, wie am 31. Juli 2025 und 24. Oktober 2025 ergänzt, zu lesen. Die Dokumente sind über die Website von Unilever verfügbar und werden dem UK National Storage Mechanism vorgelegt. Diese Bekanntmachung stellt kein Angebot zum Verkauf oder eine Aufforderung zum Kauf der Wertpapiere dar.

Unilever PLC أبلغت عن توافر الشروط النهائية لسندين senior مقوّمين باليورو والصادرين عن Unilever Capital Corporation بموجب برنامج إصدار الدين الخاص بها بقيمة 25,000,000,000 دولار. تتكوّن السلسلة من EUR 850,000,000 2.875% سندات مستحقة في 31 أكتوبر 2032 و EUR 800,000,000 3.500% سندات مستحقة في 31 أكتوبر 2037.

كلا السلسلتين مضمونة من قبل Unilever PLC وUnilever United States, Inc. يجب قراءة الشروط النهائية مع مذكرة المعلومات المؤرخة 16 مايو 2025، كما تم تعديلها في 31 يوليو 2025 و24 أكتوبر 2025. تتوفر الوثائق عبر موقع Unilever على الويب وسيتم تقديمها إلى UK National Storage Mechanism. هذا الإعلان ليس عرضاً لبيع الأوراق المالية ولا طلباً لشرائها.

 
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
 
October 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 ☐
 
 
Unilever PLC
PUBLICATION OF FINAL TERMS
 
 
 
London, 30 October 2025.
 
The following final terms (the "Final Terms") are available for viewing:
 
(i)   the Final Terms dated 29 October 2025 for Unilever Capital Corporation1 EUR 850,000,000 2.875 per cent. Notes due 31 October 2032 (the "2032 Notes"); and
 
(ii)  the Final Terms dated 29 October 2025 for Unilever Capital Corporation EUR 800,000,000 3.500 per cent. Notes due 31 October 2037 (together with the 2032 Notes, the "Notes"),
 
each guaranteed by Unilever PLC2 and Unilever United States, Inc.3 and issued under the $25,000,000,000 Debt Issuance Programme of Unilever Finance Netherlands B.V., Unilever PLC and Unilever Capital Corporation (the "Programme").
 
The Final Terms for the Notes contain the final terms of the relevant series of Notes. The Final Terms of the Notes must be read in conjunction with the Information Memorandum prepared in connection with the Programme dated 16 May 2025, as supplemented by the supplements dated 31 July 2025 and 24 October 2025 (together, the "Information Memorandum"), which together constitute a base prospectus for the purposes of Regulation (EU) 2017/1129 as it forms part of domestic law by virtue of the European Union (Withdrawal) Act 2018.
 
To view the full documents, please paste the following URL into the address bar of your browser:
 
https://www.unilever.com/files/unilever-capital-corporation-eur-850000000-2032-notes.pdf
 
https://www.unilever.com/files/unilever-capital-corporation-eur-800000000-2037-notes.pdf
 
A copy of the Final Terms in respect of each series will be submitted to the National Storage Mechanism and will be available for inspection at https://data.fca.org.uk/#/nsm/nationalstoragemechanism
 
 
For further information, please contact:
 
Investor Relations: Investor.Relations@unilever.com
 
Unilever Press Office: Press-Office.London@unilever.com
 
This announcement does not constitute an offer to sell or a solicitation of an offer to buy the securities described herein, nor shall there be any sale of these securities in any state or other jurisdiction in which such an offer, solicitation or sale would be unlawful prior to registration or qualification under the securities laws of any such jurisdiction.
 
DISCLAIMER - INTENDED ADDRESSEES
 
Please note that the information contained in the Final Terms (when read together with the Information Memorandum) may be addressed to and/or targeted at persons who are residents of particular countries (specified in the Information Memorandum) only and is not intended for use and should not be relied upon by any person outside these countries and/or to whom the offer contained in the Final Terms and the Information Memorandum is not addressed. Prior to relying on the information contained in the Final Terms or the Information Memorandum, you must ascertain from the Information Memorandum whether or not you are one of the intended addressees of 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 within the meaning of the securities laws of certain jurisdictions, including 'forward-looking statements' within the meaning of the United States Private Securities Litigation Reform Act of 1995. All statements other than statements of historical fact are, or may be deemed to be, forward-looking statements. Words and terminology such as 'will', 'aim', 'expects', 'anticipates', 'intends', 'looks', 'believes', 'vision', 'ambition', 'target', 'goal', 'plan', 'potential', 'work towards', 'may', 'milestone', 'objectives', 'outlook', 'probably', 'project', 'risk', 'continue', 'should', 'would be', 'seeks', or the negative of these terms and other similar expressions of future performance, results, actions or events, and their negatives, are intended to identify such forward-looking statements.
 
These forward-looking statements are based upon current expectations and assumptions regarding anticipated developments and other factors affecting the Unilever Group (the "Group"). They are not historical facts, nor are they guarantees of future performance or outcomes. All forward-looking statements contained in this announcement are expressly qualified in their entirety by the cautionary statements contained in this 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 which may be beyond the Group's control, there are important factors that could cause actual results to differ materially from those expressed or implied by these forward-looking statements.
 
The forward-looking statements are based on our beliefs, assumptions and expectations of our future performance, taking into account all information currently available to us. Forward-looking statements are not predictions of future events. These beliefs, assumptions and expectations can change as a result of many possible events or factors, not all of which are known to us. If a change occurs, our business, financial condition, liquidity and results of operations may vary materially from those expressed in our forward-looking statements.
 
The forward-looking statements speak only as of the date of this announcement. Except as required by any applicable law or regulation, the Group expressly disclaims any intention, obligation or undertaking to release publicly any updates or revisions to any forward-looking statements contained herein to reflect any change in the Group's expectations with regard thereto or any change in events, conditions or circumstances on which any such statement is based. New risks and uncertainties arise over time, and it is not possible for us to predict those events or how they may affect us. In addition, we cannot assess the impact of each factor on our business or the extent to which any factor, or combination of factors, may cause actual events, to 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 with the London Stock Exchange plc, Euronext Amsterdam and the US Securities and Exchange Commission, including in the Annual Report on Form 20-F 2024 and the Unilever Annual Report and Accounts 2024.
 
1Unilever Capital Corporation - LEI MYF1DAS6G5WY7PRWCU78
 
2Unilever PLC - LEI 549300MKFYEKVRWML317
 
3Unilever United States, Inc. - LEI 549300H6H8BAYLUOGZ71
 
 
 
 
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 30 October 2025

FAQ

What did Unilever PLC (UL) announce in this Form 6-K?

It published final terms for two euro notes: EUR 850,000,000 2.875% due 2032 and EUR 800,000,000 3.500% due 2037, under its debt programme.

What are the coupons and maturities of the new Unilever notes?

The 2032 Notes carry a 2.875% coupon and mature on 31 October 2032; the 2037 Notes carry a 3.500% coupon and mature on 31 October 2037.

Who guarantees these Unilever notes?

Both series are guaranteed by Unilever PLC and Unilever United States, Inc.

Under which programme were the notes issued?

They were issued under the $25,000,000,000 Debt Issuance Programme of Unilever Finance Netherlands B.V., Unilever PLC and Unilever Capital Corporation.

Where can investors access the final terms documents?

Via the links provided on Unilever’s website and through the UK National Storage Mechanism at data.fca.org.uk.

Does this announcement constitute an offer to sell the notes?

No. The announcement states it is not an offer to sell or a solicitation to buy the securities.

Which base documents should be read with the final terms?

The Information Memorandum dated 16 May 2025 and its supplements dated 31 July 2025 and 24 October 2025.
Unilever

NYSE:UL

UL Rankings

UL Latest News

UL Latest SEC Filings

UL Stock Data

149.25B
2.45B
0%
9.54%
0.14%
Household & Personal Products
Consumer Defensive
Link
United Kingdom
London