Radian Group
NYSE:RDN
$ 32,47
$-0,40 (-1,22%)
32,47 $
$-0,40 (-1,22%)
End-of-day quote: 03/20/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$4,20
Earnings Per Share
$9,48
Revenue Per Share
92,33%
Gross Margin %
$4,43 B
Market Cap
$1,11 B
Long-Term Debt
Earnings Per Share
$4,20
Revenue Per Share
$9,48
Gross Margin %
92,33%
Market Cap
$4,43 B
Long-Term Debt
$1,11 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $4,20 $4,11 $3,88 $4,87 $3,15 $1,74 $3,21 $2,69 $1,82 $1,56 $1,40 $1,49 $-0,01 $-3,09 $-4,05 $-10,25 $-3,73 $-5,12 $-17,03 $6,88
Earnings Earnings $572,33M $596,20M $587,82M $765,52M $552,92M $333,54M $637,63M $574,75M $393,17M $335,52M $276,50M $284,80M $-1,73M $-413,26M $-539,82M $-1,36B $-309,37M $-416,87M $-1,37B $549,92M
RPS Revenue Per Share $9,48 $8,89 $8,19 $7,58 $7,58 $7,50 $7,69 $5,96 $5,65 $5,76 $6,04 $5,61 $4,38 $6,17 $14,61 $7,61 $12,71 $22,21 $16,90 $16,61
Revenue Revenue $1,29B $1,29B $1,24B $1,19B $1,33B $1,44B $1,53B $1,27B $1,22B $1,24B $1,19B $1,07B $758,99M $825,41M $1,95B $1,01B $1,05B $1,81B $1,36B $1,33B
OCF Operating Cash Flow $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $-136,17M $-664,94M $-510,50M $-897,78M $0,00M $0,00M $0,00M $0,00M $0,00M
FCF Free Cash Flow $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 72,67% 70,27% 71,10% 88,86% 64,12% 38,81% 62,48% 59,18% 55,53% 51,71% 52,22% 46,59% -13,17% -24,44% 21,99% 0,00% -17,72% -35,50% 0,00% 45,52%
GM % Gross Margin % 92,33% 95,11% 98,34% 119,48% 88,45% 58,14% 82,60% 82,09% 78,39% 72,51% 73,62% 70,62% 21,16% -5,86% 30,98% 0,00% -2,77% -22,17% 0,00% 63,79%
FCFS Free Cash Flow Per Share $0,00 $-4,37 $3,24 $2,21 $2,89 $3,28 $3,19 $3,04 $1,54 $1,63 $-0,07 $-0,89 $-4,03 $-3,87 $-6,80 $-7,54 $0,28 $-4,18 $3,75 $5,82
LT Debt Long-Term Debt $1,11B $2,27B $1,02B $1,46B $1,49B $1,51B $942,98M $894,01M $1,03B $1,05B $1,22B $1,19B $930,07M $692,98M $1,05B $1,32B $994,30M $1,02B $953,52M $747,77M
Sha. Stocks 136,27M 145,06M 151,5M 157,19M 175,53M 191,69M 198,64M 213,66M 216,03M 215,08M 197,5M 191,14M 173,14M 133,74M 133,29M 133,11M 82,94M 81,42M 80,46M 79,93M
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