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Radian Group (RDN)
NYSE
$35.60+$0.49 (+1.40%)
Price as of Jun 23, 2026 5:39 PM EDT- $4.7BMarket Cap
- -0.28%1-Year Change
- Insurance - SpecialtyIndustry
Radian Group (RDN)
$35.60+$0.49 (+1.40%)
Annual
Quarterly
12/31/2025 | 12/31/2024 | 12/31/2023 | 12/31/2022 | ||
|---|---|---|---|---|---|
Income Statement | |||||
Total Operating Revenue | 1.2B -7.22% | 1.3B +4.01% | 1.2B +4.19% | 1.2B -10.47% | |
Cost of Revenue | N/A N/A | 38.3M -0.57% | 38.5M -53.26% | 82.4M -20.59% | |
Gross Profit | 1.2B -4.39% | 1.3B +4.15% | 1.2B +8.46% | 1.1B -9.61% | |
Sales and Marketing Expense | N/A N/A | N/A N/A | N/A N/A | N/A N/A | |
Research and Development Expense | N/A N/A | N/A N/A | N/A N/A | N/A N/A | |
Depreciation and Amortization Expense | 46.4M -41.04% | 78.8M +6.95% | 73.6M +1.89% | 72.3M +0.34% | |
Total Operating Expenses | 405.9M -21.80% | 519.0M +9.70% | 473.1M +98.83% | 237.9M -57.89% | |
Operating Profit | 791.2M +2.59% | 771.3M +0.50% | 767.5M -19.45% | 952.8M +24.57% | |
Interest Income | -5.1M -122.65% | 22.6M +16,020.71% | 140,000 +100.22% | -65.0M -480.30% | |
Interest Expense | -68.3M -36.78% | -108.0M +20.42% | -89.7M +6.21% | -84.5M +0.13% | |
Interest Income and Expense and Net | -73.4M -14.09% | -85.4M -4.59% | -89.6M -40.09% | -149.5M +122.29% | |
Total Nonoperating Income and Expense | 68.3M -36.78% | 108.0M +20.42% | 89.7M +6.21% | 84.5M +0.13% | |
Income before Taxes | 791.2M +2.59% | 771.3M +0.50% | 767.5M -19.45% | 952.8M +24.57% | |
Income Taxes | 173.0M +3.72% | 166.8M +1.51% | 164.4M -21.67% | 209.8M +27.83% | |
Extraordinary Items | N/A N/A | N/A N/A | N/A N/A | N/A N/A | |
Net Income | 582.6M -3.61% | 604.4M +0.22% | 603.1M -18.82% | 742.9M +23.68% | |
Net Income from Continuing Operations Applicable to Common | 618.2M -19.85% | 771.3M +0.50% | 767.5M +3.30% | 742.9M +23.68% | |
Basic EPS and Net Income | 4.18 +5.56% | 3.96 +3.94% | 3.81 -13.80% | 4.42 +38.56% | |
Diluted EPS and Net Income | 4.14 +5.61% | 3.92 +3.98% | 3.77 -13.33% | 4.35 +37.66% | |
Basic Weighted Average Shares | 139.4M -8.54% | 152.5M -3.59% | 158.1M -5.83% | 167.9M -10.85% | |
Diluted Weighted Average Shares | 140.8M -8.68% | 154.2M -3.71% | 160.1M -6.17% | 170.7M -10.30% | |
Balance Sheet | |||||
Cash and Cash Equivalents | 24.8M -36.05% | 38.8M +104.34% | 19.0M -66.18% | 56.2M -62.83% | |
Short-Term Investments | N/A N/A | N/A N/A | N/A N/A | N/A N/A | |
Cash and Cash Equivalents and Short-Term Investments | 24.8M -36.05% | 38.8M +104.34% | 19.0M -66.18% | 56.2M -62.83% | |
Total Current Assets | 334.2M -11.11% | 375.9M -18.24% | 459.8M +7.68% | 427.0M -49.00% | |
Accumulated Depreciation | 132.7M -44.90% | 240.8M +14.25% | 210.8M +9.59% | 192.4M +11.65% | |
Property and Plant and Equipment and Net | 17.2M -37.89% | 27.6M -56.70% | 63.8M -10.09% | 71.0M -5.47% | |
Total Long-Term Assets | 334.2M -11.11% | 375.9M -18.24% | 459.8M +7.68% | 427.0M -49.00% | |
Total Assets | 8.1B -6.25% | 8.7B +14.09% | 7.6B +7.51% | 7.1B -9.89% | |
Income Taxes Payable | 942.2M +26.18% | 746.7M +26.65% | 589.6M +50.75% | 391.1M +15.87% | |
Total Short-Term Debt | 324.0M N/A | N/A N/A | N/A N/A | N/A N/A | |
Total Current Liabilities | N/A N/A | N/A N/A | N/A N/A | N/A N/A | |
Total Long-Term Debt | 1.1B -30.84% | 1.6B +4.32% | 1.5B -2.04% | 1.6B +11.34% | |
Total Long-Term Liabilities | 1.9B +26.18% | 1.5B +26.65% | 1.2B +50.75% | 782.2M +15.87% | |
Total Liabilities | 3.3B -17.31% | 4.0B +26.41% | 3.2B +1.65% | 3.1B -12.18% | |
Retained Earnings | 5.1B +9.30% | 4.7B +10.64% | 4.2B +12.06% | 3.8B +19.05% | |
Total Stockholders Equity | 4.8B +3.41% | 4.6B +5.14% | 4.4B +12.21% | 3.9B -7.97% | |
Total Shares Outstanding | 135.5M -8.18% | 147.6M -3.66% | 153.2M -2.47% | 157.1M -10.47% | |
Cash Flow | |||||
Cash from Operating Activities | 119.9M +118.06% | -663.6M -225.34% | 529.4M +36.35% | 388.3M -30.30% | |
Capital Expenditures | 4.2M +32.56% | 3.2M -80.51% | 16.3M N/A | N/A N/A | |
Cash from Investing Activities | 127.3M -61.16% | 327.7M +208.94% | -300.8M +5,713.37% | -5.2M +177.93% | |
Dividends Paid | 145.6M -4.18% | 152.0M +4.15% | 145.9M +7.73% | 135.4M +31.11% | |
Cash from Financing Activities | -243.1M -168.05% | 357.2M +234.76% | -265.1M -44.68% | -479.2M -3.54% | |
Financials Ratio | |||||
Gross Margin | N/A N/A | 97.03% +0.14% | 96.90% +4.10% | 93.08% +0.96% | |
Operating Margin | 66.10% +10.57% | 59.78% -3.38% | 61.86% -22.69% | 80.02% +39.14% | |
Return on Assets | 6.94% -6.64% | 7.44% -9.65% | 8.23% -17.46% | 9.97% +31.02% | |
Return on Equity | 12.39% -7.54% | 13.40% -7.61% | 14.50% -20.18% | 18.17% +29.20% | |
Revenue Growth | -7.22% -280.32% | 4.01% -4.34% | 4.19% +140.01% | -10.47% +38.55% | |
Current Ratio | N/A N/A | N/A N/A | N/A N/A | N/A N/A | |
Cash Ratio | N/A N/A | N/A N/A | N/A N/A | N/A N/A | |
Debt-to-Equity Ratio | 0.30 N/A | N/A N/A | N/A N/A | N/A N/A | |
Debt-to-Assets Ratio | 0.18 N/A | N/A N/A | N/A N/A | N/A N/A | |
Earnings & Revenue History
Debt-to-Assets
Cash Flow