UnitedHealth Group Financial Ratios for Analysis 2009-2024 | UNH

Fifteen years of historical annual and quarterly financial ratios and margins for UnitedHealth Group (UNH).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
0.790.770.790.740.690.730.730.690.740.770.730.780.850.780.82
0.380.400.360.360.380.390.370.400.430.330.320.310.270.250.28
0.660.710.610.640.670.670.640.860.950.540.520.540.410.430.47
24.4824.5624.2226.0623.7923.8023.3723.4723.5725.3024.4425.1924.6924.6423.05
8.718.778.338.718.137.677.567.007.027.877.868.378.318.357.30
8.718.778.338.718.137.677.567.007.027.877.868.378.318.357.30
9.789.829.419.849.258.748.688.118.099.018.989.559.419.488.43
7.838.137.768.077.437.056.976.426.517.407.287.797.817.846.67
6.026.216.015.995.715.305.253.803.704.314.595.005.054.924.39
1.361.321.361.301.391.491.451.511.411.511.501.371.501.491.48
---------------
17.4718.3310.2410.1211.2812.4012.7111.8111.7913.3817.3719.7622.3925.4222.98
20.9019.9135.6436.0632.3529.4428.7230.9130.9627.2821.0118.4716.3014.3615.88
24.5125.3423.6323.0823.5622.8021.7218.5317.4017.3117.6517.7218.1717.9416.19
-94.45-78.47-164.28-113.73-91.44-88.98-81.92-39.41-30.69-135.23-171.96-115.373382,726767
8.468.408.367.998.198.137.785.765.276.506.936.837.577.356.47
15.1615.1815.1014.7414.6413.9313.7611.069.9411.5912.0612.2213.2013.4411.72
10287.2179.7572.2363.7556.5851.4340.1035.3934.0232.5430.6027.2323.7820.58
30.9927.5923.3723.0719.1115.9813.8010.1210.078.176.836.846.415.554.77
27.3824.6420.8020.9416.9713.8911.758.368.466.625.565.825.474.774.14

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.910.880.850.790.800.800.810.770.820.770.780.790.770.770.740.740.820.840.750.690.700.670.730.730.690.750.710.730.700.720.710.690.700.700.730.740.750.770.770.770.740.740.730.730.760.780.840.780.820.820.830.850.860.840.810.780.750.820.800.820.880.800.82
0.430.400.410.380.390.400.410.400.370.380.350.360.370.380.350.360.370.380.370.380.400.380.390.390.380.390.360.370.340.370.370.400.410.430.440.430.440.320.330.330.310.310.310.320.320.330.330.310.270.280.280.270.260.260.260.250.240.240.250.280.320.330.34
0.780.790.800.660.710.750.820.710.620.670.620.610.640.670.670.640.640.690.860.670.780.760.700.670.640.690.710.640.620.700.770.860.880.910.960.950.960.550.580.540.540.510.520.520.520.530.570.540.430.430.450.410.430.410.440.430.430.430.430.470.490.540.55
22.8422.3123.0523.3025.3224.6424.6725.2224.6724.4523.8823.8523.8224.0025.2424.0823.8732.1224.4224.8224.3322.8023.1923.6924.1923.5123.8123.7723.9523.2122.5124.2624.0422.6022.9521.8223.2524.8524.7625.6426.5924.9323.9923.8925.6324.8823.3725.4626.3924.3224.5925.7424.7724.1824.0225.8425.1023.6823.8924.0823.4221.8222.86
8.647.977.958.149.238.678.808.329.228.888.677.517.908.389.605.377.1414.877.768.378.317.838.017.708.127.507.347.648.127.457.006.707.736.896.655.667.277.987.388.278.867.836.487.888.597.907.057.309.568.168.498.008.198.328.737.509.068.178.697.237.736.657.58
8.647.977.958.149.238.678.808.329.228.888.677.517.908.389.605.377.1414.877.768.378.317.838.017.708.127.507.347.648.127.457.006.707.736.896.655.667.277.987.388.278.867.836.487.888.597.907.057.309.568.168.498.008.198.328.737.509.068.178.697.237.736.657.58
---------------------------------------------------------------
7.555.730.007.268.337.787.987.518.598.308.136.937.317.819.034.766.5414.187.087.657.567.147.357.067.496.886.757.057.546.856.426.147.156.316.075.066.727.576.967.828.407.365.977.318.017.326.466.708.987.607.957.477.687.858.277.018.567.668.156.577.096.016.99
6.014.26-1.415.786.325.896.105.756.506.316.275.525.655.986.933.384.8710.685.255.815.865.435.755.205.645.215.146.954.944.564.463.544.253.773.622.793.854.373.954.524.894.323.474.595.134.723.934.325.704.905.094.855.035.025.294.345.404.835.144.334.773.974.47
0.340.350.350.350.330.330.320.340.330.350.360.350.340.340.340.330.340.320.340.350.350.360.370.380.370.360.350.370.360.360.360.390.370.390.380.390.380.400.400.390.380.380.370.380.370.380.370.360.380.370.380.380.360.380.390.380.380.390.390.370.380.390.39
---------------------------------------------------------------
2.121.982.152.422.402.732.484.682.632.582.602.632.562.622.552.582.562.592.592.842.863.332.953.203.103.183.023.293.252.823.013.043.122.783.043.272.882.973.443.433.633.464.054.414.624.545.235.146.006.015.855.705.785.245.886.496.245.085.845.746.075.125.25
42.3945.4141.9237.1437.4433.0236.3319.2234.1934.9134.6634.2735.1334.3535.2934.9235.1134.7334.7731.7231.4926.9930.5328.1229.0628.3229.8327.3727.6631.9529.9329.6328.8732.3429.6027.5031.2830.2626.1426.2524.7726.0422.2120.3919.4719.8117.2017.5114.9914.9715.3915.8015.5817.1615.2913.8714.4117.7015.4215.6714.8317.5617.13
6.274.67-1.326.016.746.476.736.036.906.826.765.585.726.077.183.444.7810.075.796.076.286.066.535.826.245.935.847.475.415.184.984.475.274.854.643.714.894.804.434.654.914.283.384.444.904.583.903.995.154.554.814.454.564.635.074.044.994.524.904.004.523.994.60
-21.08-17.344.23-23.16-22.09-18.89-18.78-18.66-32.39-27.02-45.40-38.83-33.23-29.92-36.36-16.96-31.44-56.23-22.16-23.56-20.19-20.97-25.10-22.74-21.04-21.25-18.45-28.16-17.60-15.16-12.89-9.52-10.78-9.04-8.10-6.55-8.53-35.62-32.52-36.34-48.08-42.44-31.69-43.26-41.82-34.81-28.43-25.971863,109-138,800.0082.6598.22119472614-506.7570.7699.92190502-70.99-98.11
2.091.55-0.432.072.142.022.042.002.222.262.331.981.972.082.431.191.713.481.832.112.092.022.212.082.171.951.882.681.821.701.601.391.601.471.381.131.491.731.571.751.881.651.301.741.921.791.491.542.171.821.911.851.791.922.061.652.031.862.001.601.801.541.75
3.602.79-0.783.724.093.863.943.614.364.264.403.573.593.764.662.203.016.293.623.773.773.754.003.563.883.633.744.733.563.293.122.673.112.792.612.122.743.272.983.123.392.962.333.033.353.062.622.753.763.303.483.233.403.443.753.023.793.423.692.893.082.663.02
10810310010296.8394.2592.0887.2183.4981.5081.0779.7577.7776.3873.4272.2371.7670.0263.2163.7560.9958.9257.1456.5854.6752.7952.0151.4348.8246.9845.5940.1039.4538.1636.7635.3934.7634.6833.4934.0233.8933.8533.0832.5431.4231.1931.3530.6029.8628.6927.9327.2326.4425.6024.6723.7823.3022.2721.4620.5819.8618.7218.10
23.488.501.2430.9936.6029.1117.3127.5932.4312.835.5823.3720.0312.086.2723.0716.7113.493.0619.1112.739.453.3215.9813.5512.608.4813.8016.358.766.6210.1211.564.142.4010.076.443.552.348.175.732.441.416.835.782.461.026.845.275.503.386.416.822.211.115.554.301.701.044.773.731.360.92
20.706.780.4327.3834.0127.4116.5124.6430.3811.564.9920.8018.1810.895.6820.9415.1712.532.5716.9711.258.432.7413.8912.0211.638.0011.7514.957.826.108.3610.303.301.968.465.332.811.966.624.581.721.065.564.962.000.715.824.515.063.135.476.071.740.924.773.811.400.934.143.321.100.79