I just allocated 80% my cash to UNH.
The company doesn’t rely on massive energy consumption unlike NVDA.
The company doesn’t rely on cyclic abusive financing unlike AMD-META.
The company doesn’t buy bitcoins unlike TSLA.
The company doesn’t sell shares to the US government unlike INTC.
The company doesn’t have all time high P/E unlike AAPL.
The company doesn’t have private loan exposure unlike GS.
What did I miss anything that can hurt UNH growth and long term stability?