Radian Group Inc. (RDN) Financial Statements & Historical Data

Radian Group Inc. (RDN) — Price $33.00 — Financial Services — Insurance - Specialty — NYSE

Latest reported results:

Detailed financial statements for Radian Group Inc. (RDN): income statement, balance sheet and cash-flow summary. Track margins, debt, liquidity and profitability trends year over year: ten fiscal years free and up to 20 with Premium.

Operating across the United States, Radian Group Inc. and its various subsidiaries are key players in the mortgage and real estate services sector. Through its Mortgage segment, the company delivers crucial credit-related insurance, predominantly private mortgage insurance for primary residential loans. This division also furnishes a suite of credit risk management, contract underwriting, and fulfillment services.

Analysis Summary

Radian Group Inc. reported revenue of $1.25B in the most recent fiscal year, growing at a 5-year CAGR of -2.8%. Net income reached $582.8M, with a 8.2% 5-year CAGR.

Trailing-twelve-month margins: gross margin 79.4%, operating margin 43.8%, net margin 32.5%. Free cash flow grew at -29.0% CAGR over 5 years.

At the current price of $33.00, RDN trades at a P/E of 8.22 and an ROE of 12.19%. Market capitalisation stands at $4.4B.

Balance sheet quality for RDN: current ratio of 4.3, net cash position of $4.77B. A debt-to-equity below 1.0 typically signals conservative capital structure, while a current ratio above 1.5 indicates comfortable short-term liquidity.

Cash flow quality is below average: free cash flow of $115.7M represents 20% conversion of reported net income. High conversion (above 90%) suggests earnings translate cleanly into cash; lower conversion may indicate working capital tightness or accounting timing differences.

Income Statement (10y)

Year2016201720182019202020212022202320242025
Revenue$1.24B$1.22B$1.27B$1.53B$1.44B$1.33B$1.19B$1.24B$1.29B$1.25B
Cost of Revenue$340.4M$264.0M$228.0M$265.7M$602.2M$153.6M-$232.0M$20.5M$63.1M$96.1M
Gross Profit$898.0M$957.6M$1.04B$1.26B$837.7M$1.18B$1.42B$1.22B$1.23B$1.15B
Research & Development0000000000
Selling, General & Admin000000000$156.3M
Operating Expenses$414.3M$610.9M$360.8M$412.3M$358.3M$410.6M$469.9M$452.6M$456.3M$387.5M
Operating Income$483.7M$346.7M$684.2M$849.0M$479.4M$764.8M$952.8M$767.5M$771.3M$763.1M
EBITDA$635.8M$495.3M$814.8M$978.0M$622.3M$924.8M$1.11B$946.1M$953.8M$872.4M
Interest Expense$81.1M$62.8M$61.5M$56.3M$71.2M$84.5M$84.5M$89.7M$103.7M$65.6M
Pre-tax Income$483.7M$346.7M$684.2M$849.0M$479.4M$764.8M$952.8M$767.5M$771.3M$763.1M
Income Tax$175.4M$225.6M$78.2M$176.7M$85.8M$164.2M$209.8M$164.4M$166.8M$165.0M
Net Income$308.3M$121.1M$606.0M$672.3M$393.6M$600.7M$742.9M$603.1M$604.4M$582.8M
EPS$1.46$0.56$2.83$3.22$2.01$3.19$4.42$3.81$3.96$4.18
EPS (Diluted)$1.37$0.55$2.77$3.20$2.00$3.16$4.35$3.77$3.92$4.14
Shares Outstanding (Diluted)$229.3M$220.4M$218.6M$210.3M$196.6M$190.3M$170.7M$160.1M$154.2M$138.0M

Income Statement (Quarterly)

Year2025-Q32025-Q42026-Q12026-Q2
Revenue$310.7M$301.0M$466.3M$575.0M
Gross Profit$285.7M$288.0M$358.4M$380.0M
Operating Income$198.7M$201.0M$173.7M$150.7M
EBITDA$218.5M$201.0M$198.2M$178.9M
Net Income$141.4M$155.0M$124.1M$115.9M
EPS$1.04$1.15$0.91$0.86
EPS (Diluted)$1.03$1.15$0.90$0.85

Balance Sheet (10y)

Year2016201720182019202020212022202320242025
Cash & Equivalents$52.1M$80.6M$95.4M$92.7M$87.9M$151.1M$56.2M$19.0M$38.8M$24.8M
Short-term Investments$3.58B$3.87B$4.55B$5.21B$6.34B$6.07B$5.42B$5.85B$5.60B$5.88B
Receivables$85.0M$81.0M$137.6M$110.6M$194.5M$191.9M$145.5M$149.8M$164.5M$351.2M
Inventory0000000000
Total Current Assets$3.95B$4.42B$5.20B$5.91B$7.10B$6.97B$6.36B$6.87B$6.79B$7.43B
Property, Plant & Equipment$70.7M$38.3M$37.1M$125.7M$113.4M$107.0M$92.1M$63.8M$27.6M$17.2M
Goodwill$195.2M$10.9M$14.1M$9.8M$9.8M$9.8M$9.8M000
Intangible Assets$81.1M$102.0M$96.3M$18.4M$13.2M$9.8M$5.5M0$38.2M$19.0M
Total Assets$5.86B$5.90B$6.31B$6.81B$7.95B$7.84B$7.06B$7.59B$8.66B$8.12B
Accounts Payable$6.9M000000000
Short-term Debt000$98.0M$128.6M$124.0M$585.1M$1.06B$36.1M0
Total Current Liabilities$164.9M$288.4M$321.2M$389.8M$407.1M$352.1M$737.1M$1.19B$158.1M$1.74B
Long-term Debt$1.07B$1.03B$1.11B$924.0M$1.45B$1.44B$984.3M$480.3M$2.27B$1.11B
Total Liabilities$2.99B$2.90B$2.83B$2.76B$3.66B$3.58B$3.14B$3.20B$4.04B$3.34B
Retained Earnings$997.9M$1.12B$1.72B$2.39B$2.68B$3.18B$3.79B$4.24B$4.70B$5.13B
Total Equity$2.87B$3.00B$3.49B$4.05B$4.28B$4.26B$3.92B$4.40B$4.62B$4.78B
Total Debt$1.07B$1.03B$1.11B$1.02B$1.58B$1.56B$1.57B$1.58B$2.34B$1.13B
Net Debt-$2.56B-$2.93B-$3.53B-$4.28B-$4.85B-$4.66B-$3.91B-$4.29B-$3.29B-$4.77B
Working Capital$3.78B$4.13B$4.88B$5.52B$6.70B$6.62B$5.62B$5.68B$6.64B$5.69B

Balance Sheet (Quarterly)

Year2025-Q32025-Q42026-Q12026-Q2
Cash & Equivalents$15.3M$24.8M$88.0M$119.0M
Total Assets$8.20B$8.12B$10.30B$10.66B
Total Liabilities$3.55B$3.34B$5.49B$5.85B
Total Equity$4.65B$4.78B$4.81B$4.81B
Total Debt$1.15B$1.13B$1.15B$1.23B

Cash Flow (10y)

Year2016201720182019202020212022202320242025
Net Income$308.3M$121.1M$606.0M$672.3M$393.6M$600.7M$742.9M$603.1M$660.3M$582.8M
Depreciation & Amortization$71.0M$85.8M$69.1M0$71.7M$75.5M$76.6M$79.1M$61.7M0
Stock-based Compensation000$21.4M$19.2M$28.4M$38.1M$41.1M00
Change in Working Capital-$212.8M-$245.1M-$160.4M-$183.6M$151.3M-$265.2M-$715.4M-$286.1M-$241.7M-$83.8M
Operating Cash Flow$381.7M$360.6M$677.8M$694.4M$658.4M$557.1M$388.3M$529.4M-$663.6M$119.9M
Capital Expenditure-$35.5M-$28.7M-$26.0M-$27.6M-$17.0M-$12.6M-$17.7M-$16.3M-$1.6M-$4.2M
Acquisitions-$150,000-$736,000-$8.0M0$16.5M00000
Stock Repurchased-$100.2M-$6,000-$50.1M-$300.2M-$226.3M-$399.1M-$400.2M-$133.3M-$225.1M-$431.9M
Dividends Paid-$2.1M-$2.2M-$2.1M-$2.1M-$97.5M-$103.3M-$135.4M-$145.9M-$152.0M-$145.6M
Free Cash Flow$346.2M$331.9M$651.8M$666.8M$641.4M$544.5M$370.6M$513.2M-$666.7M$115.7M

Cash Flow (Quarterly)

Year2025-Q32025-Q42026-Q12026-Q2
Operating Cash Flow$358.4M$407.0M$285.0M$628.0M
Capital Expenditure-$843,000-$870,000-$749,000-$974,000
Free Cash Flow$357.6M$406.1M$284.3M$627.0M
Dividends Paid-$34.8M-$34.9M-$35.3M-$72.6M
Stock-based Compensation0000

Growth & Margins (10y)

Year2016201720182019202020212022202320242025
Revenue Growth (YoY)-1.4%+4.2%+19.9%-5.7%-7.7%-10.4%+4.2%+4.0%-3.4%
Net Income Growth (YoY)-60.7%+400.5%+10.9%-41.5%+52.6%+23.7%-18.8%+0.2%-3.6%
EPS Growth (YoY)-61.6%+405.4%+13.8%-37.6%+58.7%+38.6%-13.8%+3.9%+5.6%
Shares Change (YoY)-3.9%-0.8%-3.8%-6.5%-3.2%-10.3%-6.2%-3.7%-10.5%
FCF Growth (YoY)-4.1%+96.4%+2.3%-3.8%-15.1%-31.9%+38.5%-229.9%+117.3%
Gross Margin72.5%78.4%82.1%82.6%58.2%88.4%119.5%98.3%95.1%92.3%
Operating Margin39.1%28.4%53.7%55.6%33.3%57.5%80.0%61.9%59.8%61.2%
EBITDA Margin51.3%40.5%64.0%64.1%43.2%69.6%93.5%76.3%73.9%69.9%
Net Margin24.9%9.9%47.6%44.0%27.3%45.2%62.4%48.6%46.8%46.7%
FCF Margin28.0%27.2%51.2%43.7%44.5%41.0%31.1%41.4%-51.7%9.3%
Effective Tax Rate36.3%65.1%11.4%20.8%17.9%21.5%22.0%21.4%21.6%21.6%

Per-Share Data (10y)

Year2016201720182019202020212022202320242025
FCF Per Share$1.51$1.51$2.98$3.17$3.26$2.86$2.17$3.20$-4.32$0.84
Dividends Per Share$0.01$0.01$0.01$0.01$0.50$0.54$0.79$0.91$0.99$1.06
Shares Outstanding (Basic)$211.8M$215.3M$214.3M$208.8M$195.4M$188.4M$167.9M$158.1M$152.5M$138.0M

What to look at in Insurance

Insurers earn in 2 ways: underwriting well (combined ratio) and investing the float. Buffett built Berkshire that way.

Profitability

Return on Equity12.19%
Return on Invested Capital9.37%
Return on Assets7.18%
Gross Margin79.38%
Operating Margin43.80%
Net Margin32.45%

Financial Health

Debt / Equity0.26
Current Ratio0.03

Key Ratios (10y)

Year2016201720182019202020212022202320242025
P/E12.3236.805.787.8110.076.624.317.498.018.61
P/B1.331.481.001.300.920.930.821.031.051.04
P/S3.073.632.753.442.752.992.693.643.753.98
Gross Margin72.5%78.4%82.1%82.6%58.2%88.4%119.5%98.3%95.1%92.3%
Operating Margin39.1%28.4%53.7%55.6%33.3%57.5%80.0%61.9%59.8%61.2%
Net Margin24.9%9.9%47.6%44.0%27.3%45.2%62.4%48.6%46.8%46.7%

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