US Stock MarketDetailed Quotes

UNH UnitedHealth

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  • 567.115
  • -2.605-0.46%
Trading Jul 29 11:57 ET
521.96BMarket Cap37.53P/E (TTM)

UnitedHealth Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-38.85%6.75B
-92.99%1.14B
10.92%29.07B
-14.56%-5.19B
-62.79%6.9B
60.56%11.03B
206.96%16.33B
17.29%26.21B
-240.86%-4.53B
144.71%18.55B
Net income from continuing operations
-21.85%4.42B
-121.15%-1.22B
12.14%23.14B
15.63%5.68B
12.15%6.04B
8.81%5.66B
12.16%5.77B
16.39%20.64B
17.11%4.91B
28.47%5.38B
Operating gains losses
--1.23B
--7.09B
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Depreciation and amortization
-0.10%1.02B
2.78%997M
16.82%3.97B
-0.81%974M
21.62%1.01B
27.31%1.02B
23.10%970M
9.57%3.4B
27.37%982M
4.02%828M
Deferred tax
185.33%128M
91.87%-27M
63.60%-245M
400.00%249M
97.91%-12M
14.77%-150M
-306.21%-332M
-617.69%-673M
65.84%-83M
-1,350.00%-575M
Other non cash items
----
159.42%179M
-52.57%-505M
---446M
--32M
-180.81%-160M
305.88%69M
64.94%-331M
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Change In working capital
-102.06%-91M
-165.82%-6.24B
-26.85%1.64B
-15.54%-11.85B
-103.16%-410M
587.71%4.42B
966.91%9.48B
47.57%2.25B
-967.53%-10.26B
448.29%12.96B
-Change in receivables
----
-43.10%-6.16B
-23.42%-3.11B
-1,450.00%-540M
-268.86%-2.77B
1,320.50%4.5B
4.76%-4.31B
-152.30%-2.52B
126.14%40M
342.32%1.64B
-Change in payables and accrued expense
----
-56.88%1.84B
16.30%7B
93.40%791M
191.71%2.25B
-177.39%-308M
-3.94%4.26B
55.76%6.02B
133.17%409M
-54.91%772M
-Change in other current assets
----
-2.77%-1.93B
-77.87%-2.44B
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----
----
---1.88B
-33.27%-1.37B
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-Change in other current liabilities
----
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-264.29%-357M
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---98M
-Change in other working capital
----
-99.92%9M
61.11%203M
-19.29%-12.02B
-95.62%466M
168.15%353M
14,517.95%11.4B
140.65%126M
-48,076.19%-10.08B
5,442.19%10.64B
Cash from discontinued investing activities
Operating cash flow
-38.85%6.75B
-92.99%1.14B
10.92%29.07B
-14.56%-5.19B
-62.79%6.9B
60.56%11.03B
206.96%16.33B
17.29%26.21B
-240.86%-4.53B
144.71%18.55B
Investing cash flow
Cash flow from continuing investing activities
-918.82%-7.42B
42.47%-6.34B
45.31%-15.57B
92.28%-1.19B
-211.57%-2.64B
91.52%-728M
-200.03%-11.02B
-174.55%-28.48B
-2,246.51%-15.37B
54.92%-847M
Net PPE purchase and sale
-2.90%-853M
2.24%-743M
-20.84%-3.39B
-10.74%-959M
-15.75%-838M
-26.18%-829M
-36.94%-760M
-14.18%-2.8B
-24.60%-866M
-15.10%-724M
Net business purchase and sale
92.54%-25M
61.59%-3.01B
52.76%-10.14B
87.79%-1.75B
-5,600.00%-228M
94.34%-335M
-535.74%-7.83B
-345.09%-21.46B
-15,117.02%-14.3B
95.29%-4M
Net investment purchase and sale
-195.70%-713M
121.22%492M
74.01%-1.78B
138.74%1.07B
-82.03%-1.28B
142.96%745M
-42.10%-2.32B
-270.97%-6.84B
-249.00%-2.77B
23.22%-701M
Net other investing changes
-1,785.44%-5.83B
-2,580.87%-3.08B
-110.49%-275M
-82.65%446M
-151.03%-297M
-11.55%-309M
54.90%-115M
309.01%2.62B
826.27%2.57B
330.95%582M
Cash from discontinued investing activities
Investing cash flow
-918.82%-7.42B
42.47%-6.34B
45.31%-15.57B
92.28%-1.19B
-211.57%-2.64B
91.52%-728M
-200.03%-11.02B
-174.55%-28.48B
-2,246.51%-15.37B
54.92%-847M
Financing cash flow
Cash flow from continuing financing activities
88.56%-1.2B
-37.60%8.23B
-372.81%-11.53B
-262.93%-7.16B
-107.96%-7.1B
-1,205.60%-10.46B
472.48%13.19B
156.69%4.23B
221.09%4.39B
22.31%-3.42B
Net issuance payments of debt
130.47%1.43B
-8.17%11.36B
-65.86%4.28B
-117.96%-1.57B
21.60%-1.85B
-213.76%-4.68B
504.25%12.38B
405.28%12.54B
797.28%8.73B
-109.42%-2.36B
Net common stock issuance
82.11%-486M
-56.16%-2.59B
-15.66%-6.65B
-42.72%-1.19B
-62.05%-1.09B
-18.34%-2.72B
15.03%-1.66B
-57.67%-5.75B
-7.64%-831M
8.82%-672M
Cash dividends paid
-10.76%-1.94B
-12.49%-1.73B
-12.85%-6.76B
-12.78%-1.74B
-12.78%-1.74B
-13.07%-1.75B
-12.77%-1.54B
-13.47%-5.99B
-12.89%-1.54B
-12.80%-1.54B
Net other financing activities
84.73%-201M
-70.51%1.18B
-170.04%-2.4B
-35.50%-2.66B
-310.49%-2.43B
-295.83%-1.32B
12.33%4.01B
439.07%3.43B
-726.05%-1.97B
198.80%1.15B
Cash from discontinued financing activities
Financing cash flow
88.56%-1.2B
-37.60%8.23B
-372.81%-11.53B
-262.93%-7.16B
-107.96%-7.1B
-1,205.60%-10.46B
472.48%13.19B
156.69%4.23B
221.09%4.39B
22.31%-3.42B
Net cash flow
Beginning cash position
-32.21%28.41B
8.83%25.43B
9.31%23.37B
0.18%38.92B
69.89%41.81B
64.48%41.91B
9.31%23.37B
26.32%21.38B
84.23%38.85B
24.10%24.61B
Current changes in cash
-1,104.52%-1.87B
-83.59%3.04B
0.46%1.97B
12.73%-13.54B
-119.89%-2.84B
79.87%-155M
368.28%18.5B
-56.69%1.96B
-5,152.12%-15.51B
995.55%14.29B
Effect of exchange rate changes
-92.73%4M
-194.12%-48M
185.29%97M
60.00%48M
-7.55%-57M
155.00%55M
-67.52%51M
154.84%34M
276.47%30M
-3.92%-53M
End cash Position
-37.13%26.29B
-32.21%28.41B
8.83%25.43B
8.83%25.43B
0.18%38.92B
69.89%41.81B
64.48%41.91B
9.31%23.37B
9.31%23.37B
84.23%38.85B
Free cash flow
-42.24%5.89B
-97.42%401M
9.73%25.68B
-13.95%-6.15B
-65.98%6.06B
64.19%10.2B
226.76%15.57B
17.67%23.4B
-313.99%-5.4B
156.44%17.83B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -38.85%6.75B-92.99%1.14B10.92%29.07B-14.56%-5.19B-62.79%6.9B60.56%11.03B206.96%16.33B17.29%26.21B-240.86%-4.53B144.71%18.55B
Net income from continuing operations -21.85%4.42B-121.15%-1.22B12.14%23.14B15.63%5.68B12.15%6.04B8.81%5.66B12.16%5.77B16.39%20.64B17.11%4.91B28.47%5.38B
Operating gains losses --1.23B--7.09B--------------------------------
Depreciation and amortization -0.10%1.02B2.78%997M16.82%3.97B-0.81%974M21.62%1.01B27.31%1.02B23.10%970M9.57%3.4B27.37%982M4.02%828M
Deferred tax 185.33%128M91.87%-27M63.60%-245M400.00%249M97.91%-12M14.77%-150M-306.21%-332M-617.69%-673M65.84%-83M-1,350.00%-575M
Other non cash items ----159.42%179M-52.57%-505M---446M--32M-180.81%-160M305.88%69M64.94%-331M--------
Change In working capital -102.06%-91M-165.82%-6.24B-26.85%1.64B-15.54%-11.85B-103.16%-410M587.71%4.42B966.91%9.48B47.57%2.25B-967.53%-10.26B448.29%12.96B
-Change in receivables -----43.10%-6.16B-23.42%-3.11B-1,450.00%-540M-268.86%-2.77B1,320.50%4.5B4.76%-4.31B-152.30%-2.52B126.14%40M342.32%1.64B
-Change in payables and accrued expense -----56.88%1.84B16.30%7B93.40%791M191.71%2.25B-177.39%-308M-3.94%4.26B55.76%6.02B133.17%409M-54.91%772M
-Change in other current assets -----2.77%-1.93B-77.87%-2.44B---------------1.88B-33.27%-1.37B--------
-Change in other current liabilities -----------------264.29%-357M-------------------98M
-Change in other working capital -----99.92%9M61.11%203M-19.29%-12.02B-95.62%466M168.15%353M14,517.95%11.4B140.65%126M-48,076.19%-10.08B5,442.19%10.64B
Cash from discontinued investing activities
Operating cash flow -38.85%6.75B-92.99%1.14B10.92%29.07B-14.56%-5.19B-62.79%6.9B60.56%11.03B206.96%16.33B17.29%26.21B-240.86%-4.53B144.71%18.55B
Investing cash flow
Cash flow from continuing investing activities -918.82%-7.42B42.47%-6.34B45.31%-15.57B92.28%-1.19B-211.57%-2.64B91.52%-728M-200.03%-11.02B-174.55%-28.48B-2,246.51%-15.37B54.92%-847M
Net PPE purchase and sale -2.90%-853M2.24%-743M-20.84%-3.39B-10.74%-959M-15.75%-838M-26.18%-829M-36.94%-760M-14.18%-2.8B-24.60%-866M-15.10%-724M
Net business purchase and sale 92.54%-25M61.59%-3.01B52.76%-10.14B87.79%-1.75B-5,600.00%-228M94.34%-335M-535.74%-7.83B-345.09%-21.46B-15,117.02%-14.3B95.29%-4M
Net investment purchase and sale -195.70%-713M121.22%492M74.01%-1.78B138.74%1.07B-82.03%-1.28B142.96%745M-42.10%-2.32B-270.97%-6.84B-249.00%-2.77B23.22%-701M
Net other investing changes -1,785.44%-5.83B-2,580.87%-3.08B-110.49%-275M-82.65%446M-151.03%-297M-11.55%-309M54.90%-115M309.01%2.62B826.27%2.57B330.95%582M
Cash from discontinued investing activities
Investing cash flow -918.82%-7.42B42.47%-6.34B45.31%-15.57B92.28%-1.19B-211.57%-2.64B91.52%-728M-200.03%-11.02B-174.55%-28.48B-2,246.51%-15.37B54.92%-847M
Financing cash flow
Cash flow from continuing financing activities 88.56%-1.2B-37.60%8.23B-372.81%-11.53B-262.93%-7.16B-107.96%-7.1B-1,205.60%-10.46B472.48%13.19B156.69%4.23B221.09%4.39B22.31%-3.42B
Net issuance payments of debt 130.47%1.43B-8.17%11.36B-65.86%4.28B-117.96%-1.57B21.60%-1.85B-213.76%-4.68B504.25%12.38B405.28%12.54B797.28%8.73B-109.42%-2.36B
Net common stock issuance 82.11%-486M-56.16%-2.59B-15.66%-6.65B-42.72%-1.19B-62.05%-1.09B-18.34%-2.72B15.03%-1.66B-57.67%-5.75B-7.64%-831M8.82%-672M
Cash dividends paid -10.76%-1.94B-12.49%-1.73B-12.85%-6.76B-12.78%-1.74B-12.78%-1.74B-13.07%-1.75B-12.77%-1.54B-13.47%-5.99B-12.89%-1.54B-12.80%-1.54B
Net other financing activities 84.73%-201M-70.51%1.18B-170.04%-2.4B-35.50%-2.66B-310.49%-2.43B-295.83%-1.32B12.33%4.01B439.07%3.43B-726.05%-1.97B198.80%1.15B
Cash from discontinued financing activities
Financing cash flow 88.56%-1.2B-37.60%8.23B-372.81%-11.53B-262.93%-7.16B-107.96%-7.1B-1,205.60%-10.46B472.48%13.19B156.69%4.23B221.09%4.39B22.31%-3.42B
Net cash flow
Beginning cash position -32.21%28.41B8.83%25.43B9.31%23.37B0.18%38.92B69.89%41.81B64.48%41.91B9.31%23.37B26.32%21.38B84.23%38.85B24.10%24.61B
Current changes in cash -1,104.52%-1.87B-83.59%3.04B0.46%1.97B12.73%-13.54B-119.89%-2.84B79.87%-155M368.28%18.5B-56.69%1.96B-5,152.12%-15.51B995.55%14.29B
Effect of exchange rate changes -92.73%4M-194.12%-48M185.29%97M60.00%48M-7.55%-57M155.00%55M-67.52%51M154.84%34M276.47%30M-3.92%-53M
End cash Position -37.13%26.29B-32.21%28.41B8.83%25.43B8.83%25.43B0.18%38.92B69.89%41.81B64.48%41.91B9.31%23.37B9.31%23.37B84.23%38.85B
Free cash flow -42.24%5.89B-97.42%401M9.73%25.68B-13.95%-6.15B-65.98%6.06B64.19%10.2B226.76%15.57B17.67%23.4B-313.99%-5.4B156.44%17.83B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

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