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Fontes e metodologiaUnitedHealth Group Incorporated (UNH) operates as a comprehensive healthcare enterprise across the United States, structuring its diverse services into four key divisions: UnitedHealthcare, Optum Health, Optum Insight, and Optum Rx. The UnitedHealthcare segment provides a wide array of health benefit plans and consumer…
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Market data provider figures for the latest published period. Informational, not investment advice.
| 2022 | 2023 | 2024 | 2025 | |
|---|---|---|---|---|
| Receita | 324.16B | 371.62B | 400.28B | 447.57B |
| Custo dos produtos | -33.7B | -38.77B | -46.69B | -50.66B |
| Despesas com vendas e administrativas | -47.78B | -54.63B | -53.01B | -59.59B |
| Resultado operacional | 28.44B |
The problem is concentrated in UnitedHealth’s commercial health plans rather than spread across the whole business. Arbitration awards and heavier coding are keeping medical costs high, so the planned margin improvement is arriving later than management expected. The key test is whether commercial cost growth moderates in the third-quarter 2026 results. The article also notes that the shares recovered ahead of margins: the operating margin was 4.8% over the last twelve months versus a 7.1% three-year average.
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Open Compound| 32.36B |
| 32.29B |
| 18.96B |
| Despesa financeira | -2.09B | -3.25B | -3.91B | -4B |
| Lucro antes do imposto | 26.34B | 29.11B | 20.07B | 14.7B |
| Imposto de renda | -5.7B | -5.97B | -4.83B | -1.89B |
| Lucro líquido | 20.12B | 22.38B | 14.41B | 12.06B |
| Depreciação e amortização | 3.4B | 3.97B | 4.1B | 4.36B |
| Remuneração em ações | 925M | 1.06B | 1.02B | 971M |
| 2022 | 2023 | 2024 | 2025 | |
|---|---|---|---|---|
| Ativo total | 245.71B | 273.72B | 298.28B | 309.58B |
| Ativo circulante | 69.07B | 78.44B | 85.78B | 90.58B |
| Caixa e equivalentes | 23.37B | 25.43B | 25.31B | 24.37B |
| Contas a receber | 17.68B | 21.28B | 22.37B | 23.02B |
| Estoques | 3.5B | 2.8B | 3.8B | 3.3B |
| Imobilizado | 10.13B | 11.45B | 10.55B | 10.76B |
| Passivo total | 159.36B | 174.8B | 195.69B | 207.88B |
| Passivo circulante | 89.24B | 99.05B | 103.77B | 114.9B |
| Dívida de longo prazo | 54.51B | 58.26B | 72.36B | 72.32B |
| Patrimônio líquido | 81.45B | 94.42B | 98.27B | 100.09B |
Source: SEC EDGAR · original document