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RDN

Radian Group Inc.

Price Chart
Latest Quote

$34.70

-0.18 (-0.52%)
Current Price
Previous Close $34.88
Open $35.03
Day High $35.09
Day Low $34.58
Volume 814,705
Fetched: 2026-06-19T22:59:01
Stock Information
Quarterly Dividend / Yield $1.02 / 2.94%
Shares Outstanding 132.98M
Quarterly Dividend Yield 2.94%
Quarterly Dividend $1.02
Total Debt $1.38B
Cash Equivalents $648.99M
Revenue $1.37B
Net Income $595.56M
Sector Financial Services
Industry Insurance - Specialty
Market Cap $4.61B
P/E Ratio 8.09
EPS (TTM) $4.29
Exchange NYQ
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📊 Comprehensive Analysis
Company Data
Enterprise Value$5.34B
Sales$1.37B
Income$595.56M
Book/sh$35.66
Cash/sh$4.88
Employees900
Financial Ratios
Quick Ratio0.62
Current Ratio1.57
Debt/Eq28.68
EPS Growth TTM-14.20%
Returns & Margins
ROA5.69%
ROE12.68%
Gross Margin82.48%
Operating Margin46.59%
Profit Margin41.02%
Ownership
Insider Ownership1.53%
Institutional Ownership96.98%
Insider & Institutional transactions data not available
Valuation Ratios
Forward P/E6.29
PEG0.76
P/S3.37
P/B0.97
Analyst Data
Recommendationnone
Target Price$43.17
Technical Indicators
SMA20$34.54
SMA50$35.27
SMA200$34.23
RSI58.31
ATR0.8466
Shares Float130.52M
Short Float3.47%
Short Ratio2.85
Volatility0.74
Rel Volume2.00
Performance History
Week+1.64%
Month-6.24%
Quarter+6.37%
6 Months-2.62%
YTD-1.91%
Year+5.51%
3 Years+49.58%
5 Years+77.23%
10 Years+315.51%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-06-18 $34.70 2,807,000
2026-06-17 $34.88 960,000
2026-06-16 $35.23 1,392,900
2026-06-15 $34.54 1,167,100
2026-06-12 $34.66 774,300
2026-06-11 $34.14 1,096,700
2026-06-10 $34.73 1,138,100
2026-06-09 $34.25 1,466,500
2026-06-08 $33.56 975,300
2026-06-05 $33.80 1,378,100
2026-06-04 $33.60 1,493,100
2026-06-03 $33.67 1,661,800
2026-06-02 $33.79 1,849,600
2026-06-01 $33.53 1,384,700
2026-05-29 $33.89 1,542,300
2026-05-28 $34.40 1,068,400
2026-05-27 $35.04 1,832,200
2026-05-26 $35.45 1,048,400
2026-05-22 $36.06 1,440,800
2026-05-21 $36.93 1,569,500
2026-05-20 $37.32 1,136,100
2026-05-19 $37.01 1,018,400
About Radian Group Inc.

Radian Group Inc., together with its subsidiaries, provides mortgage insurance in the United States. It aggregates, manages, and distributes mortgage credit risk for the benefit of mortgage lending institutions and mortgage credit investors through private mortgage insurance on residential first-lien mortgage loans. The company also offers private mortgage insurance, specialty insurance, and reinsurance lines. It serves mortgage originators, such as mortgage banks, commercial banks, savings institutions, credit unions, and community banks. The company was formerly known as CMAC Investment Corp. and changed its name to Radian Group Inc. in June 1999. Radian Group Inc. was founded in 1977 and is headquartered in Wayne, Pennsylvania.

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Income Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Revenue
Total Revenue $1,197,084,000 $1,206,299,000 $1,177,302,000 $1,190,726,000
Operating Revenue $1,197,084,000 $1,206,299,000 $1,177,302,000 $1,190,726,000
Expenses
Interest Expense $67,777,000 $83,731,000 $86,188,000 $84,454,000
Total Expenses $405,856,000 $360,692,000 $313,423,000 $237,947,000
Other Income Expense $6,479,000 $6,595,000 $6,441,000 $2,454,000
Net Non Operating Interest Income Expense $-67,777,000 $-83,731,000 $-86,188,000 $-84,454,000
Interest Expense Non Operating $67,777,000 $83,731,000 $86,188,000 $84,454,000
Other Operating Expenses $245,759,000 $247,618,000 $244,793,000 $381,148,000
Loss Adjustment Expense $66,768,000 $-2,248,000 $-42,136,000 $-338,239,000
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $618,179,000 $660,315,000 $675,860,000 $742,934,000
Net Interest Income $-67,777,000 $-83,731,000 $-86,188,000 $-84,454,000
Normalized Income $618,579,653 $663,653,775 $675,860,000 $742,934,000
Net Income From Continuing And Discontinued Operation $582,640,000 $604,440,000 $603,119,000 $742,934,000
Net Income Common Stockholders $582,640,000 $604,440,000 $603,119,000 $742,934,000
Net Income $582,640,000 $604,440,000 $603,119,000 $742,934,000
Net Income Including Noncontrolling Interests $582,640,000 $604,440,000 $603,119,000 $742,934,000
Net Income Discontinuous Operations $-35,539,000 $-55,875,000 $-72,741,000 -
Net Income Continuous Operations $618,179,000 $660,315,000 $675,860,000 $742,934,000
Pretax Income $791,228,000 $845,607,000 $863,879,000 $952,779,000
Special Income Charges $-513,000 $-4,275,000 $0 $0
Depreciation And Amortization In Income Statement - $0 $5,483,000 $4,308,000
Interest Income - - - -
Interest Income Non Operating - - - -
Per Share
Diluted EPS $4.14 $3.92 $3.77 $4.35
Basic EPS $4.18 $3.96 $3.81 $4.42
Other
Tax Effect Of Unusual Items $-112,347 $-936,225 $0 $0
Tax Rate For Calcs $0 $0 $0 $0
Total Unusual Items $-513,000 $-4,275,000 $0 $0
Total Unusual Items Excluding Goodwill $-513,000 $-4,275,000 $0 $0
Reconciled Depreciation $46,434,000 $61,747,000 $57,885,000 $76,575,000
EBIT $859,005,000 $929,338,000 $950,067,000 $1,037,233,000
Diluted Average Shares $140,811,000 $154,191,000 $160,133,000 $170,664,000
Basic Average Shares $139,445,000 $152,465,000 $158,140,000 $167,930,000
Diluted NI Availto Com Stockholders $582,640,000 $604,440,000 $603,119,000 $742,934,000
Tax Provision $173,049,000 $185,292,000 $188,019,000 $209,845,000
Other Special Charges $513,000 $4,275,000 - -
Net Policyholder Benefits And Claims $66,768,000 $-2,248,000 $-42,136,000 $-338,239,000
Impairment Of Capital Assets - $0 $9,802,000 $0
Amortization - $0 $5,483,000 $4,308,000
Fetched: 2026-06-18
Balance Sheet (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Assets
Net Tangible Assets $4,781,514,000 $4,623,858,000 $4,397,805,000 $3,904,042,000
Total Assets $8,122,397,000 $8,689,535,000 $7,593,933,000 $7,063,729,000
Prepaid Assets $1,109,660,000 $993,552,000 $850,763,000 $737,770,000
Receivables $169,003,000 $155,549,000 $149,766,000 $145,467,000
Accounts Receivable $169,003,000 $155,549,000 $149,766,000 $145,467,000
Cash Cash Equivalents And Short Term Investments $5,837,526,000 $5,366,545,000 $5,718,429,000 $5,376,249,000
Cash And Cash Equivalents $24,829,000 $19,220,000 $18,999,000 $56,183,000
Goodwill And Other Intangible Assets - - $0 $15,285,000
Other Intangible Assets - - - $5,483,000
Debt
Net Debt $1,084,286,000 $1,091,982,000 $1,518,258,000 $1,513,143,000
Total Debt $1,131,235,000 $1,140,963,000 $1,581,950,000 $1,569,326,000
Long Term Debt And Capital Lease Obligation $1,131,235,000 $1,140,963,000 $1,060,042,000 $1,464,431,000
Long Term Debt $1,109,115,000 $1,111,202,000 $1,015,349,000 $1,464,431,000
Current Debt And Capital Lease Obligation - $36,143,000 $521,908,000 $104,895,000
Current Debt - $36,143,000 $521,908,000 $104,895,000
Other Current Borrowings - $36,143,000 $72,871,000 $104,895,000
Liabilities
Total Liabilities Net Minority Interest $3,340,883,000 $4,065,677,000 $3,196,128,000 $3,144,402,000
Non Current Deferred Liabilities $942,193,000 $772,232,000 $609,526,000 $391,083,000
Non Current Deferred Taxes Liabilities $942,193,000 $772,232,000 $589,564,000 $391,083,000
Payables And Accrued Expenses $34,772,000 $23,290,000 $20,761,000 -
Payables $34,772,000 $23,290,000 $20,761,000 -
Total Tax Payable $34,772,000 $23,290,000 $20,761,000 -
Income Tax Payable $34,772,000 $23,290,000 $20,761,000 -
Current Notes Payable - $0 $449,037,000 $447,805,000
Equity
Common Stock Equity $4,781,514,000 $4,623,858,000 $4,397,805,000 $3,919,327,000
Total Equity Gross Minority Interest $4,781,514,000 $4,623,858,000 $4,397,805,000 $3,919,327,000
Stockholders Equity $4,781,514,000 $4,623,858,000 $4,397,805,000 $3,919,327,000
Gains Losses Not Affecting Retained Earnings $-222,159,000 $-350,238,000 $-330,851,000 $-456,799,000
Other Equity Adjustments $-222,159,000 $-350,238,000 $-330,851,000 $-456,799,000
Retained Earnings $5,132,050,000 $4,695,348,000 $4,243,759,000 $3,786,952,000
Other
Treasury Shares Number $21,415,000 $20,782,000 $20,068,000 $19,453,000
Ordinary Shares Number $135,498,000 $147,569,000 $153,179,000 $157,056,000
Share Issued $156,913,000 $168,351,000 $173,247,000 $176,509,000
Tangible Book Value $4,781,514,000 $4,623,858,000 $4,397,805,000 $3,904,042,000
Invested Capital $5,890,629,000 $5,735,060,000 $5,935,062,000 $5,488,653,000
Capital Lease Obligations $22,120,000 $29,761,000 $44,693,000 -
Total Capitalization $5,890,629,000 $5,735,060,000 $5,413,154,000 $5,383,758,000
Treasury Stock $989,745,000 $968,246,000 $945,870,000 $930,643,000
Additional Paid In Capital $861,211,000 $1,246,826,000 $1,430,594,000 $1,519,641,000
Capital Stock $157,000 $168,000 $173,000 $176,000
Common Stock $157,000 $168,000 $173,000 $176,000
Employee Benefits $48,257,000 $41,198,000 $47,771,000 -
Long Term Capital Lease Obligation $22,120,000 $29,761,000 $44,693,000 -
Investments And Advances $5,914,990,000 $5,568,166,000 $5,894,910,000 $5,584,696,000
Net PPE $17,165,000 $23,369,000 $80,114,000 $92,080,000
Other Short Term Investments $5,812,697,000 $5,347,325,000 $5,699,430,000 $5,320,066,000
Non Current Deferred Revenue - $14,437,000 $19,962,000 -
Goodwill - - $0 $9,802,000
Fetched: 2026-06-18
Cash Flow Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Free Cash Flow
Free Cash Flow $115,656,000 $-665,135,000 $520,900,000 $370,626,000
Operating Activities
Operating Cash Flow $119,862,000 $-663,572,000 $529,434,000 $388,298,000
Cash From Discontinued Operating Activities $-600,125,000 $-1,318,518,000 $-83,357,000 -
Cash Flow From Continuing Operating Activities $1,439,974,000 $1,309,892,000 $1,225,582,000 $388,298,000
Operating Gains Losses $24,000 $4,347,000 $-9,405,000 $80,733,000
Investing Activities
Capital Expenditure $-4,206,000 $-1,563,000 $-8,534,000 $-17,672,000
Investing Cash Flow $127,286,000 $327,746,000 $-300,842,000 $-5,175,000
Cash From Discontinued Investing Activities $222,325,000 $48,657,000 $-70,380,000 -
Cash Flow From Continuing Investing Activities $-95,039,000 $279,089,000 $-230,462,000 $-5,175,000
Net Other Investing Changes $-8,782,000 $1,115,000 $-45,000 $-6,887,000
Financing Activities
Repurchase Of Capital Stock $-431,909,000 $-225,059,000 $-133,314,000 $-400,195,000
Issuance Of Capital Stock $1,043,000 $928,000 $1,755,000 $1,341,000
Financing Cash Flow $-243,098,000 $357,233,000 $-265,087,000 $-479,183,000
Cash From Discontinued Financing Activities $405,556,000 $1,167,524,000 $22,063,000 -
Cash Flow From Continuing Financing Activities $-648,654,000 $-810,291,000 $-287,150,000 $-479,183,000
Net Other Financing Charges $-4,005,000 $-812,000 $-904,000 $-814,000
Cash Dividends Paid $-145,615,000 $-151,961,000 $-145,908,000 $-135,437,000
Common Stock Dividend Paid $-145,615,000 $-151,961,000 $-145,908,000 $-135,437,000
Net Common Stock Issuance $-430,866,000 $-224,131,000 $-131,559,000 $-398,854,000
Common Stock Issuance $1,043,000 $928,000 $1,755,000 $1,341,000
Other
Repayment Of Debt $-99,928,000 $-1,032,991,000 $-64,394,000 $-377,048,000
Issuance Of Debt $95,271,000 $623,245,000 $5,986,000 $381,887,000
Interest Paid Supplemental Data $91,224,000 $107,692,000 $86,532,000 $79,062,000
Income Tax Paid Supplemental Data $137,133,000 $172,708,000 $153,974,000 $243,500,000
End Cash Position $45,522,000 $41,472,000 $20,065,000 $56,560,000
Beginning Cash Position $41,472,000 $20,065,000 $56,560,000 $152,620,000
Changes In Cash $4,050,000 $21,407,000 $-36,495,000 $-96,060,000
Common Stock Payments $-431,909,000 $-225,059,000 $-133,314,000 $-400,195,000
Net Issuance Payments Of Debt $-4,657,000 $-409,746,000 $-58,408,000 $4,839,000
Net Long Term Debt Issuance $-4,657,000 $-409,746,000 $-58,408,000 $4,839,000
Long Term Debt Payments $-99,928,000 $-1,032,991,000 $-64,394,000 $-377,048,000
Long Term Debt Issuance $95,271,000 $623,245,000 $5,986,000 $381,887,000
Net Investment Purchase And Sale $-82,051,000 $279,537,000 $-221,883,000 $19,384,000
Sale Of Investment $1,962,596,000 $1,644,221,000 $895,805,000 $1,458,987,000
Purchase Of Investment $-2,044,647,000 $-1,364,684,000 $-1,117,688,000 $-1,439,603,000
Net PPE Purchase And Sale $-4,206,000 $-1,563,000 $-8,534,000 $-17,672,000
Purchase Of PPE $-4,206,000 $-1,563,000 $-8,534,000 $-17,672,000
Change In Working Capital $-83,780,000 $-241,657,000 $-284,302,000 $-715,372,000
Change In Other Current Liabilities $8,264,000 $-32,806,000 $-28,353,000 $-40,499,000
Change In Other Current Assets $35,506,000 $27,606,000 $38,554,000 $65,744,000
Change In Prepaid Assets $-135,249,000 $-170,760,000 $-153,952,000 $-242,245,000
Change In Receivables $-13,454,000 $-11,248,000 $-11,538,000 $46,473,000
Changes In Account Receivables $-13,454,000 $-11,248,000 $-11,538,000 $46,473,000
Other Non Cash Items $513,000 $4,275,000 $-31,248,000 $-3,497,000
Deferred Tax $138,617,000 $165,919,000 $172,753,000 $206,925,000
Deferred Income Tax $138,617,000 $165,919,000 $172,753,000 $206,925,000
Depreciation And Amortization $46,434,000 $61,747,000 $57,885,000 $76,575,000
Depreciation $46,434,000 $61,747,000 $57,885,000 $72,267,000
Gain Loss On Investment Securities $24,000 $4,347,000 $-9,405,000 $80,733,000
Net Income From Continuing Operations $618,179,000 $660,315,000 $675,860,000 $742,934,000
Amortization Cash Flow - $0 $5,483,000 $4,308,000
Amortization Of Intangibles - $0 $5,483,000 $4,308,000
Earnings Losses From Equity Investments - $1,169,000 $0 $0
Net Short Term Debt Issuance - - $38,229,000 $102,983,000
Short Term Debt Issuance - - $38,229,000 -
Asset Impairment Charge - - $9,802,000 $0
Net Business Purchase And Sale - - - $0
Sale Of Business - - - $0
Effect Of Exchange Rate Changes - - - -
Fetched: 2026-06-18