HOME NEWS EARNINGS RESULTS PICKS STRATEGY BLOG CONTACT SUBSCRIBE LOGIN SUBSCRIBE JOIN FREE
LOADING
Price Investing Group
← Back to Research Watchlist
UNH
Unitedhealth Group Inc
Healthcare Healthcare Plans · Minnesota, USA · Reports in usd
Market Cap: $344.90B
Market Cap
$344.90B
Enterprise Val
$391.59B
P/E Ratio
28.64
P/B Ratio
3.52
Trailing PEG (1Y)
98.80
As Of
May 7, 2026

Overview & Key Metrics

Reporting period: Mar 31, 2026 · Q1 2026
Book Value$105.32B
Gross Margin22.74%
Profit Margin22.74%
Return on Equity12.59%
Return on Assets3.87%
Current Ratio0.80
Debt/Equity0.80
LT Debt/Equity0.73
Revenue Per Share123.08

Income Statement

Mar 31, 2026
Revenue$111.72B
Cost of Revenue$86.31B
Gross Profit$25.41B
R&D$0.00
SG&A$15.39B
Operating Expenses$16.42B
Operating Income$8.99B
Interest Expense$955.0M
Tax Expense$1.48B
Net Income$6.28B
EPS (Basic)$6.92
EPS (Diluted)$6.90
EBIT$8.72B
EBITDA$9.75B
Consolidated Income$6.48B
Non-Controlling Interests$201.0M

Balance Sheet

Mar 31, 2026
Cash & Equivalents$28.00B
Accounts Receivable$51.18B
Inventory$0.00
Current Assets$91.13B
LT Investments$56.79B
Property, Plant & Equipment$10.67B
Intangibles$130.61B
Non-Current Assets$221.52B
Total Assets$312.64B
Accounts Payable$78.29B
Current Debt$6.48B
Current Liabilities$114.12B
LT Debt$71.44B
Non-Current Liabilities$93.20B
Total Liabilities$207.33B
Total Debt$77.92B
Retained Earnings$99.88B
Shareholder Equity$97.88B
Shares Outstanding907,675,839

Cash Flow Statement

Mar 31, 2026
Operating Cash Flow$8.91B
Investing Cash Flow-$2.45B
Financing Cash Flow-$2.99B
CapEx-$763.0M
Free Cash Flow$8.15B
Depreciation & Amort.$1.03B
Stock-Based Comp$348.0M
Acquisitions / Disposals$1.16B
Investment Activity-$2.87B
Debt Issued/Repaid-$400.0M
Equity Issued/Repaid$231.0M
Dividends Paid-$2.01B
Net Change in Cash$3.64B
Data cached · Meta live · Daily live · Statements live · TTL 24h