RADIAN GROUP INC (RDN)

↓ Download CSV

CIK 0000890926 · NYSE · Surety Insurance

  • Sector Finance & Real Estate
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, RADIAN GROUP INC reported revenue of $1.20B, down 0.8% from the prior year. The company was profitable, with a net margin of 48.7%. It held $8.12B in total assets against $3.34B in total liabilities.

Key ratios (FY2025)

48.7%
Net margin
12.2%
Return on equity
-0.8%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$1.20B$1.21B$1.18B$1.19B$1.33B$1.44B$1.53B$1.27B$1.22B$1.24B
Cost of Revenue$38.27M$38.49M$82.36M$103.71M$86.07M$108.32M$98.12M$104.60M$114.17M
Net Income$582.64M$604.44M$603.12M$742.93M$600.67M$393.63M$672.31M$606.01M$121.09M$308.25M
EPS (Diluted)$4.14$3.92$3.77$4.35$3.16$2.00$3.20$2.77$0.55$1.37
Total Assets$8.12B$8.69B$7.59B$7.06B$7.84B$7.95B$6.81B$6.31B$5.90B$5.86B
Total Liabilities$3.34B$4.07B$3.20B$3.14B$3.58B$3.66B$2.76B$2.83B$2.90B$2.99B
Shareholders' Equity$4.78B$4.62B$4.40B$3.92B$4.26B$4.28B$4.05B$3.49B$3.00B$2.87B
Cash & Equivalents$24.83M$19.22M$19.00M$56.18M$151.15M$87.92M$92.73M$95.39M$80.57M$52.15M
Operating Cash Flow$119.86M-$663.57M$529.43M$388.30M$557.11M$658.43M$694.43M$677.79M$360.57M$381.72M
Capital Expenditures$4.21M$1.56M$8.53M$17.67M$12.60M
Shares Outstanding140.81M154.19M160.13M170.66M190.26M196.64M210.34M218.55M220.41M229.26M
Dividends Per Share$1.02$0.98$0.90$0.80$0.55$0.01$0.01