$UnitedHealth(UNH)$ πŸ’ŠπŸ“ˆπŸ›‘οΈ $UNH Breakout With Value Compounding πŸ’ŠπŸ“ˆπŸ›‘οΈ

I see UnitedHealth breaking out as a value compounder hiding in plain sight. Despite people served falling (–4.08% YoY), Optum Health growth offsets declines, driving superior cash returns. At just 15.2x P/E and a 7.92% FCF yield, the setup is compelling.

Breakout over $350 now sets short-term target $370 and medium-term path toward $395–400. Support holds at $345–347, and history shows UNH breakouts of this structure deliver 12–15% measured moves.

Happy trading ahead, Cheers, BC πŸ“ˆπŸš€πŸ€πŸ€πŸ€

# UNH Breakout: Next Target $400?

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  • Lemontree2025
    Β·09-15
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    δΈ‹ε‘¨δΈ€εˆ†ηΊ’ζ—₯η»“ζŸοΌŒθ‚‘δ»·ζœ‰ζ²‘ε―θƒ½ε›žζ’€
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    • Barcode:Β 
      πŸ’ŠπŸ©ΊπŸ¦…πŸ…—πŸ…πŸ…ŸπŸ…ŸπŸ…¨ β“‰β“‘β“β““β“˜β“β“– πŸ…πŸ…—πŸ…”πŸ…πŸ…“! πŸ…’πŸ…—πŸ…”πŸ…”πŸ…‘πŸ…’ πŸ…‘πŸ…’ πŸ€πŸ€πŸ€πŸŸ’
      09-15
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    • Barcode:Β 
      Hold that zone and the breakout path to $370 remains intact. A close below $345 could invite a deeper check into $340–342 where recent 4H support and a volume shelf sit. Given 15.2x P/E and a 7.92% FCF yield, my base case is a brief ex-div pullback that gets bought.
      09-15
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    • Barcode:Β 
      After the ex-dividend date the stock typically opens lower by roughly the cash dividend, which is less than 1% at these prices, and that gap is often retraced quickly. I’m treating that as a shallow dip unless price loses the $345–347 shelf.
      09-15
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  • LawrenceSG
    Β·09-14
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    eagle eat medicine
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    • Barcode:Β 
      πŸ’ŠπŸ©ΊπŸ¦…πŸ…—πŸ…πŸ…ŸπŸ…ŸπŸ…¨ β“‰β“‘β“β““β“˜β“β“– πŸ…πŸ…—πŸ…”πŸ…πŸ…“! πŸ…’πŸ…—πŸ…”πŸ…”πŸ…‘πŸ…’ πŸ…‘πŸ…’ πŸ€πŸ€πŸ€πŸŸ’
      09-15
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    • Barcode:Β 
      πŸ¦…πŸ¦…πŸ¦…πŸ’ŠπŸ’ŠπŸ’Š UnitedHealth is very much in that space where scale and service depth let them dominate the healthcare ecosystem. Optum’s vertical expansion has been the real growth engine, and that’s what keeps cash compounding regardless of enrollment shifts.
      09-15
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    • Barcode:Β 
      LawrenceSG πŸ’‘Thanks for checking out my post, always good to have thoughtful eyes on the setups I’m tracking.
      09-15
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  • Cool Cat Winston
    Β·09-15
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    πŸ’ŠI like how you tied the 15.2x multiple with the 7.9% FCF yield, that combo screams undervalued defensive. Reminds me of how $JNJ held its ground while compounding when volumes slowed, quality balance sheets keep delivering.
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  • Tui Jude
    Β·09-15
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    πŸ“ˆThat 12–15% measured move stat caught my eye, lines up well with your $370 short-term target. I’ve been mapping $LLY in a similar way where technical rhythm matches long-term cash flows, both show why fundamentals still drive breakouts.
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  • Hen Solo
    Β·09-15
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    πŸ›‘οΈThe Optum Health offset is the real story, that’s why cash keeps expanding even as total people served dips. When I look at $PFE charts, I see how margin leverage matters more than volume, UNH is clearly positioned for another compounding run.
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  • Queengirlypops
    Β·09-15
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    Short-term $370 then pushing toward $400 is clean, you laid it out with no fluff and that’s why it hits. The fact UNH can flex like a growth stock while compounding cash like a defensive is wild, feels like one of those setups you can’t ignore.
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  • Kiwi Tigress
    Β·09-15
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    That $395–400 medium-term target feels spot on, the breakout setup has the same vibe I saw with $MSFT when it ripped off a compression zone. I love that you tied the fundamentals right into the chart, conviction plays like this are where the juice is πŸ§ƒfr
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  • Kiwi Tigress
    Β·09-15
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    That $395–400 medium-term target feels spot on, the breakout setup has the same vibe I saw with $MSFT when it ripped off a compression zone. I love that you tied the fundamentals right into the chart, conviction plays like this are where the juice is πŸ§ƒ
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  • kaiiya
    Β·09-15
    Great article, would you like to share it?
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  • LEESIMON
    Β·09-15
    🩷Good
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    • Barcode:Β 
      Thanks for your kind words LEESIMON 🌟 What makes this setup stand out to me is the way valuation and technicals align. Trading at 15.2x earnings with a 7.9% free cash flow yield gives the chart breakout extra conviction, especially with historical moves showing 12–15% upside follow-through.
      09-15
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    • Barcode:Β 
      πŸ’ŠπŸ©ΊπŸ¦…πŸ…—πŸ…πŸ…ŸπŸ…ŸπŸ…¨ β“‰β“‘β“β““β“˜β“β“– πŸ…πŸ…—πŸ…”πŸ…πŸ…“! πŸ…’πŸ…—πŸ…”πŸ…”πŸ…‘πŸ…’ πŸ…‘πŸ…’ πŸ€πŸ€πŸ€πŸŸ’
      09-15
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    • Barcode:Β 
      LEESIMON πŸ™ŒI really value you reading my post, it’s great connecting with people who follow the flow as closely as I do.
      09-15
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  • Brando741319
    Β·09-15
    Good
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    • Barcode:Β 
      Appreciate that Brando. I’m focused on how the short-term $370 target and medium-term $395–400 line up with both cash flow momentum and the measured move framework. That combination of fundamentals and technical rhythm is what defines true compounding setups.
      09-15
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    • Barcode:Β 
      πŸ’ŠπŸ©ΊπŸ¦…πŸ…—πŸ…πŸ…ŸπŸ…ŸπŸ…¨ β“‰β“‘β“β““β“˜β“β“– πŸ…πŸ…—πŸ…”πŸ…πŸ…“! πŸ…’πŸ…—πŸ…”πŸ…”πŸ…‘πŸ…’ πŸ…‘πŸ…’ πŸ€πŸ€πŸ€πŸŸ’
      09-15
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    • Barcode:Β 
      Brando741319 πŸ”₯Grateful you read my post, it keeps the conversation sharp and makes sharing these setups worthwhile.
      09-15
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