Unilever NV (UN)

0.22 0.37
NYSE : Consumer Non-Durables
Prev Close 59.12
Open 59.42
Day Low/High 59.26 / 59.62
52 Wk Low/High 52.08 / 63.62
Volume 863.08K
Avg Volume 1.21M
Exchange NYSE
Shares Outstanding 1.71B
Market Cap 160.37B
EPS 4.10
P/E Ratio 32.48
Div & Yield 1.54 (2.58%)

Betting on the Turnaround

This company is positioning itself for strong share growth going forward.

Good News, Bad News

I'm sticking with my philosophy of trading around core positions.

Still Diversifying

I'm trading out of one position and adding to four more.

Taking the Good With the Bad

I am adding to a retail name on a downgrade.

Weekly Roundup

Sifting through the bank rubble.

Wall Street Confidential Podcast: January 14

Wall Street Confidential Podcast: January 14

Jim Cramer and Farnoosh Torabi discuss today's market

Making Some Moves

I am taking some profits in one name and spreading the wealth to add to a couple of bets.

One Clear Winner on the Dismal Retail Sales

This portfolio holding is in the right place at the right time.

Sticking to the Playbook

I'll trade around core positions, but I like my balance of defensive names and early-cycle holdings.

Weekly Roundup

This rough environment requires a balanced portfolio in different sectors.

Stick With Quality

Economic news (like today's jos number) will remain negative for some time, so stay diversified and focus on long-term winners.

Moving Around My Consumer Staples

I am taking profits in one consumer staples name and shifting them to another one.

Why the Market Is Down Today

Sentiment indicators are overbought, leadership is waning, oil is up, and we got some weak economic data.

Acting on a Cheap Valuation

I'm trimming one holding and adding to another here.

Weekly Roundup

2009 provides some hope, at least for one day.

Strong Finish to Miserable 2008

Frank Curzio looks back at the year that was with guests Stephanie Link, who will provide three top stock picks for 2009, and Editor Glenn Hall with 'Today's Outrage.'

Weekly Roundup

The holiday-shortened week brought less volatility but several trades in the portfolio.

Weekly Roundup

Fed rate cut, lower mortgage rates, auto bailout provide more grounding for the economy.

Weekly Roundup

Stocks hold up well despite auto-bailout drama and an alleged 'Ponzi scheme.'

Ugly Day Ahead, but I'm Ready

My portfolio weighting helps me on bad days.

Two Buys at the Open

I'm no longer restricted, so I'm stepping in.

Weekly Roundup

Looking past the doom and gloom.

Wall Street Confidential Podcast: December 4

Jim Cramer and Alix Steel discuss today's market

Adding to a Holding on Lower Inputs

Raw materials are cheaper, so margins should improve.

Waiting for My Spots

Stocks are down, but I bought these names even lower just a few weeks ago.

Wall Street Confidential Podcast: December 1

Wall Street Confidential Podcast: December 1

Jim Cramer and Farnoosh Torabi discuss today's market

Two Buys on Weakness

I'll use today's dip to add to two holdings.

Weekly Roundup

Bailout cash and the hope for Obama's stimulus finally get markets going.

Adding to a Defensive Position

In this uncertain environment, I'm looking for names without cyclical exposure.

Weekly Roundup

A Friday rebound serves as a tonic for a brutal week.