CA Stock MarketDetailed Quotes

UNH UnitedHealth CDR (CAD Hedged)

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  • 24.600
  • -0.980-3.83%
15min DelayMarket Closed Apr 4 15:59 ET
645.41BMarket Cap31.62P/E (TTM)

UnitedHealth CDR (CAD Hedged) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-1.74%29.11B
-1.74%29.11B
-15.79%37.13B
-32.32%31.32B
-29.65%32.71B
6.15%29.63B
6.15%29.63B
3.69%44.1B
65.49%46.28B
63.74%46.5B
-Cash and cash equivalents
-0.45%25.31B
-0.45%25.31B
-16.74%32.4B
-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
-Short term investments
-9.52%3.8B
-9.52%3.8B
-8.65%4.73B
12.79%5.04B
-6.28%4.3B
-7.59%4.2B
-7.59%4.2B
40.74%5.18B
33.23%4.47B
57.31%4.58B
Receivables
24.34%48.45B
24.34%48.45B
23.58%47.49B
46.34%49.88B
25.25%46.48B
27.98%38.97B
27.98%38.97B
25.04%38.43B
9.39%34.08B
20.23%37.11B
-Accounts receivable
5.12%22.37B
5.12%22.37B
-3.14%20.02B
28.76%23.12B
21.34%27.2B
20.33%21.28B
20.33%21.28B
21.27%20.67B
-4.09%17.95B
18.77%22.41B
-Other receivables
47.45%26.09B
47.45%26.09B
54.69%27.46B
65.90%26.76B
31.22%19.28B
38.57%17.69B
38.57%17.69B
29.73%17.75B
29.68%16.13B
22.53%14.7B
Other current assets
-16.54%8.21B
-16.54%8.21B
-18.59%7.64B
14.00%10.84B
-5.22%9.75B
-8.12%9.84B
-8.12%9.84B
-3.06%9.38B
2.95%9.51B
5.32%10.29B
Total current assets
9.36%85.78B
9.36%85.78B
0.38%92.26B
2.41%92.04B
-5.28%88.94B
13.56%78.44B
13.56%78.44B
10.81%91.91B
31.47%89.87B
36.02%93.9B
Non current assets
Net PPE
-7.83%10.55B
-7.83%10.55B
-8.41%10.14B
-10.30%9.8B
-1.96%10.43B
13.05%11.45B
13.05%11.45B
16.91%11.07B
15.97%10.93B
15.83%10.64B
-Gross PPE
-5.22%17.52B
-5.22%17.52B
----
----
----
8.39%18.49B
8.39%18.49B
----
----
----
-Accumulated depreciation
0.97%-6.97B
0.97%-6.97B
----
----
----
-1.57%-7.04B
-1.57%-7.04B
----
----
----
Investments and advances
9.97%52.35B
9.97%52.35B
7.07%48.69B
0.27%46.11B
-2.04%45.93B
8.88%47.61B
8.88%47.61B
9.43%45.47B
8.39%45.99B
10.70%46.88B
Goodwill and other intangible assets
9.31%130B
9.31%130B
10.84%129.57B
2.43%120.17B
3.98%121.21B
10.37%118.93B
10.37%118.93B
23.46%116.9B
22.91%117.31B
33.28%116.57B
-Goodwill
2.89%106.73B
2.89%106.73B
4.20%105.98B
3.71%105.44B
5.24%105.66B
11.12%103.73B
11.12%103.73B
21.21%101.7B
20.81%101.67B
29.48%100.41B
-Other intangible assets
53.14%23.27B
53.14%23.27B
55.22%23.59B
-5.84%14.73B
-3.85%15.54B
5.51%15.19B
5.51%15.19B
40.94%15.2B
38.62%15.64B
62.99%16.17B
Other non current assets
13.25%19.59B
13.25%19.59B
11.61%18.65B
11.64%17.94B
12.82%17.7B
15.11%17.3B
15.11%17.3B
15.95%16.71B
10.64%16.07B
18.82%15.69B
Total non current assets
8.82%212.5B
8.82%212.5B
8.88%207.05B
1.96%194.02B
2.89%195.27B
10.56%195.28B
10.56%195.28B
18.75%190.16B
17.60%190.3B
24.69%189.78B
Total assets
8.97%298.28B
8.97%298.28B
6.11%299.31B
2.10%286.06B
0.19%284.21B
11.40%273.72B
11.40%273.72B
16.04%282.06B
21.72%280.16B
28.22%283.68B
Liabilities
Current liabilities
Current debt and capital lease obligation
6.34%4.55B
6.34%4.55B
-26.11%3.91B
79.89%11.37B
-1.45%9.79B
37.43%4.27B
37.43%4.27B
63.83%5.29B
13.04%6.32B
48.29%9.93B
-Current debt
6.34%4.55B
6.34%4.55B
-26.11%3.91B
79.89%11.37B
-1.45%9.79B
37.43%4.27B
37.43%4.27B
63.83%5.29B
13.04%6.32B
48.29%9.93B
Payables
6.54%68.56B
6.54%68.56B
4.81%67.03B
3.21%63.43B
5.04%64.77B
13.36%64.35B
13.36%64.35B
13.61%63.96B
13.56%61.46B
14.76%61.67B
-accounts payable
6.54%68.56B
6.54%68.56B
4.81%67.03B
3.21%63.43B
5.04%64.77B
13.36%64.35B
13.36%64.35B
13.61%63.96B
13.56%61.46B
14.76%61.67B
Current deferred liabilities
-1.13%3.32B
-1.13%3.32B
-78.32%3.32B
-82.68%2.57B
-77.87%3.21B
9.11%3.36B
9.11%3.36B
19.18%15.31B
571.43%14.85B
441.57%14.49B
Other current liabilities
1.01%27.35B
1.01%27.35B
-7.82%27.31B
-10.05%27.29B
-12.27%26.67B
3.01%27.07B
3.01%27.07B
3.71%29.62B
13.35%30.35B
21.29%30.4B
Current liabilities
4.76%103.77B
4.76%103.77B
-11.05%101.57B
-7.36%104.67B
-10.35%104.43B
11.00%99.05B
11.00%99.05B
13.12%114.18B
27.38%112.98B
32.11%116.48B
Non current liabilities
Long term debt and capital lease obligation
24.19%72.36B
24.19%72.36B
27.59%74.1B
7.52%63.73B
5.26%63.85B
6.88%58.26B
6.88%58.26B
27.82%58.08B
29.41%59.27B
48.68%60.66B
-Long term debt
24.19%72.36B
24.19%72.36B
27.59%74.1B
7.52%63.73B
5.26%63.85B
6.88%58.26B
6.88%58.26B
27.82%58.08B
29.41%59.27B
48.68%60.66B
Non current deferred liabilities
19.83%3.62B
19.83%3.62B
81.63%4.01B
45.36%3.63B
47.04%4.17B
9.10%3.02B
9.10%3.02B
33.21%2.21B
-3.22%2.5B
-4.06%2.83B
Other non current liabilities
10.21%15.94B
10.21%15.94B
11.45%15.17B
11.56%14.79B
13.45%14.84B
12.65%14.46B
12.65%14.46B
12.42%13.62B
10.81%13.26B
12.11%13.08B
Total non current liabilities
21.35%91.92B
21.35%91.92B
26.23%93.29B
9.50%82.15B
8.21%82.86B
8.02%75.75B
8.02%75.75B
24.82%73.9B
24.33%75.03B
38.17%76.58B
Total liabilities
11.95%195.69B
11.95%195.69B
3.60%194.85B
-0.63%186.82B
-2.99%187.29B
9.69%174.8B
9.69%174.8B
17.45%188.08B
26.14%188.01B
34.45%193.06B
Shareholders'equity
Share capital
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
-10.00%9M
-10.00%9M
-10.00%9M
-common stock
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
-10.00%9M
-10.00%9M
-10.00%9M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Additional paid-in capital
----
----
--461M
--373M
----
----
----
----
----
----
Retained earnings
0.27%96.04B
0.27%96.04B
3.59%96.52B
2.67%92.4B
1.42%90.12B
11.16%95.77B
11.16%95.77B
11.29%93.17B
11.74%89.99B
12.78%88.85B
Gains losses not affecting retained earnings
51.80%-3.39B
51.80%-3.39B
71.77%-2.45B
55.25%-3.42B
54.44%-3.44B
16.28%-7.03B
16.28%-7.03B
4.38%-8.69B
1.03%-7.65B
-25.27%-7.55B
Total stockholders'equity
4.40%92.66B
4.40%92.66B
11.88%94.54B
8.51%89.36B
6.61%86.69B
14.12%88.76B
14.12%88.76B
13.19%84.49B
13.09%82.35B
11.74%81.31B
Noncontrolling interests
-2.26%9.93B
-2.26%9.93B
4.58%9.92B
0.73%9.88B
9.88%10.23B
18.52%10.16B
18.52%10.16B
14.63%9.49B
18.01%9.8B
90.74%9.31B
Total equity
3.71%102.59B
3.71%102.59B
11.15%104.46B
7.68%99.23B
6.95%96.92B
14.56%98.92B
14.56%98.92B
13.34%93.98B
13.59%92.16B
16.71%90.62B
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
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments -1.74%29.11B-1.74%29.11B-15.79%37.13B-32.32%31.32B-29.65%32.71B6.15%29.63B6.15%29.63B3.69%44.1B65.49%46.28B63.74%46.5B
-Cash and cash equivalents -0.45%25.31B-0.45%25.31B-16.74%32.4B-37.13%26.29B-32.21%28.41B8.83%25.43B8.83%25.43B0.18%38.92B69.89%41.81B64.48%41.91B
-Short term investments -9.52%3.8B-9.52%3.8B-8.65%4.73B12.79%5.04B-6.28%4.3B-7.59%4.2B-7.59%4.2B40.74%5.18B33.23%4.47B57.31%4.58B
Receivables 24.34%48.45B24.34%48.45B23.58%47.49B46.34%49.88B25.25%46.48B27.98%38.97B27.98%38.97B25.04%38.43B9.39%34.08B20.23%37.11B
-Accounts receivable 5.12%22.37B5.12%22.37B-3.14%20.02B28.76%23.12B21.34%27.2B20.33%21.28B20.33%21.28B21.27%20.67B-4.09%17.95B18.77%22.41B
-Other receivables 47.45%26.09B47.45%26.09B54.69%27.46B65.90%26.76B31.22%19.28B38.57%17.69B38.57%17.69B29.73%17.75B29.68%16.13B22.53%14.7B
Other current assets -16.54%8.21B-16.54%8.21B-18.59%7.64B14.00%10.84B-5.22%9.75B-8.12%9.84B-8.12%9.84B-3.06%9.38B2.95%9.51B5.32%10.29B
Total current assets 9.36%85.78B9.36%85.78B0.38%92.26B2.41%92.04B-5.28%88.94B13.56%78.44B13.56%78.44B10.81%91.91B31.47%89.87B36.02%93.9B
Non current assets
Net PPE -7.83%10.55B-7.83%10.55B-8.41%10.14B-10.30%9.8B-1.96%10.43B13.05%11.45B13.05%11.45B16.91%11.07B15.97%10.93B15.83%10.64B
-Gross PPE -5.22%17.52B-5.22%17.52B------------8.39%18.49B8.39%18.49B------------
-Accumulated depreciation 0.97%-6.97B0.97%-6.97B-------------1.57%-7.04B-1.57%-7.04B------------
Investments and advances 9.97%52.35B9.97%52.35B7.07%48.69B0.27%46.11B-2.04%45.93B8.88%47.61B8.88%47.61B9.43%45.47B8.39%45.99B10.70%46.88B
Goodwill and other intangible assets 9.31%130B9.31%130B10.84%129.57B2.43%120.17B3.98%121.21B10.37%118.93B10.37%118.93B23.46%116.9B22.91%117.31B33.28%116.57B
-Goodwill 2.89%106.73B2.89%106.73B4.20%105.98B3.71%105.44B5.24%105.66B11.12%103.73B11.12%103.73B21.21%101.7B20.81%101.67B29.48%100.41B
-Other intangible assets 53.14%23.27B53.14%23.27B55.22%23.59B-5.84%14.73B-3.85%15.54B5.51%15.19B5.51%15.19B40.94%15.2B38.62%15.64B62.99%16.17B
Other non current assets 13.25%19.59B13.25%19.59B11.61%18.65B11.64%17.94B12.82%17.7B15.11%17.3B15.11%17.3B15.95%16.71B10.64%16.07B18.82%15.69B
Total non current assets 8.82%212.5B8.82%212.5B8.88%207.05B1.96%194.02B2.89%195.27B10.56%195.28B10.56%195.28B18.75%190.16B17.60%190.3B24.69%189.78B
Total assets 8.97%298.28B8.97%298.28B6.11%299.31B2.10%286.06B0.19%284.21B11.40%273.72B11.40%273.72B16.04%282.06B21.72%280.16B28.22%283.68B
Liabilities
Current liabilities
Current debt and capital lease obligation 6.34%4.55B6.34%4.55B-26.11%3.91B79.89%11.37B-1.45%9.79B37.43%4.27B37.43%4.27B63.83%5.29B13.04%6.32B48.29%9.93B
-Current debt 6.34%4.55B6.34%4.55B-26.11%3.91B79.89%11.37B-1.45%9.79B37.43%4.27B37.43%4.27B63.83%5.29B13.04%6.32B48.29%9.93B
Payables 6.54%68.56B6.54%68.56B4.81%67.03B3.21%63.43B5.04%64.77B13.36%64.35B13.36%64.35B13.61%63.96B13.56%61.46B14.76%61.67B
-accounts payable 6.54%68.56B6.54%68.56B4.81%67.03B3.21%63.43B5.04%64.77B13.36%64.35B13.36%64.35B13.61%63.96B13.56%61.46B14.76%61.67B
Current deferred liabilities -1.13%3.32B-1.13%3.32B-78.32%3.32B-82.68%2.57B-77.87%3.21B9.11%3.36B9.11%3.36B19.18%15.31B571.43%14.85B441.57%14.49B
Other current liabilities 1.01%27.35B1.01%27.35B-7.82%27.31B-10.05%27.29B-12.27%26.67B3.01%27.07B3.01%27.07B3.71%29.62B13.35%30.35B21.29%30.4B
Current liabilities 4.76%103.77B4.76%103.77B-11.05%101.57B-7.36%104.67B-10.35%104.43B11.00%99.05B11.00%99.05B13.12%114.18B27.38%112.98B32.11%116.48B
Non current liabilities
Long term debt and capital lease obligation 24.19%72.36B24.19%72.36B27.59%74.1B7.52%63.73B5.26%63.85B6.88%58.26B6.88%58.26B27.82%58.08B29.41%59.27B48.68%60.66B
-Long term debt 24.19%72.36B24.19%72.36B27.59%74.1B7.52%63.73B5.26%63.85B6.88%58.26B6.88%58.26B27.82%58.08B29.41%59.27B48.68%60.66B
Non current deferred liabilities 19.83%3.62B19.83%3.62B81.63%4.01B45.36%3.63B47.04%4.17B9.10%3.02B9.10%3.02B33.21%2.21B-3.22%2.5B-4.06%2.83B
Other non current liabilities 10.21%15.94B10.21%15.94B11.45%15.17B11.56%14.79B13.45%14.84B12.65%14.46B12.65%14.46B12.42%13.62B10.81%13.26B12.11%13.08B
Total non current liabilities 21.35%91.92B21.35%91.92B26.23%93.29B9.50%82.15B8.21%82.86B8.02%75.75B8.02%75.75B24.82%73.9B24.33%75.03B38.17%76.58B
Total liabilities 11.95%195.69B11.95%195.69B3.60%194.85B-0.63%186.82B-2.99%187.29B9.69%174.8B9.69%174.8B17.45%188.08B26.14%188.01B34.45%193.06B
Shareholders'equity
Share capital 0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M-10.00%9M-10.00%9M-10.00%9M
-common stock 0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M-10.00%9M-10.00%9M-10.00%9M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Additional paid-in capital ----------461M--373M------------------------
Retained earnings 0.27%96.04B0.27%96.04B3.59%96.52B2.67%92.4B1.42%90.12B11.16%95.77B11.16%95.77B11.29%93.17B11.74%89.99B12.78%88.85B
Gains losses not affecting retained earnings 51.80%-3.39B51.80%-3.39B71.77%-2.45B55.25%-3.42B54.44%-3.44B16.28%-7.03B16.28%-7.03B4.38%-8.69B1.03%-7.65B-25.27%-7.55B
Total stockholders'equity 4.40%92.66B4.40%92.66B11.88%94.54B8.51%89.36B6.61%86.69B14.12%88.76B14.12%88.76B13.19%84.49B13.09%82.35B11.74%81.31B
Noncontrolling interests -2.26%9.93B-2.26%9.93B4.58%9.92B0.73%9.88B9.88%10.23B18.52%10.16B18.52%10.16B14.63%9.49B18.01%9.8B90.74%9.31B
Total equity 3.71%102.59B3.71%102.59B11.15%104.46B7.68%99.23B6.95%96.92B14.56%98.92B14.56%98.92B13.34%93.98B13.59%92.16B16.71%90.62B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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