RADIAN GROUP INC (RDN) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2012: -$510.50M2013: -$664.94M2014: -$146.26M2015: $11.72M2016: $381.72M2017: $360.57M2018: $677.79M2019: $694.43M2020: $658.43M2021: $557.11M2022: $388.30M2023: $529.43M2024: -$663.57M2025: $119.86M$119.86M
2012Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$119.86M+118.1%
2024-$663.57M-225.3%
2023$529.43M+36.3%
2022$388.30M-30.3%
2021$557.11M-15.4%
2020$658.43M-5.2%
2019$694.43M+2.5%
2018$677.79M+88.0%
2017$360.57M-5.5%
2016$381.72M+3156.8%
2015$11.72M+108.0%
2014-$146.26M+78.0%
2013-$664.94M-30.3%
2012-$510.50M