US Stock MarketDetailed Quotes

RDN Radian Group

Watchlist
  • 34.000
  • +0.100+0.29%
Close Aug 14 16:00 ET
5.11BMarket Cap8.85P/E (TTM)

Radian Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Total investments
5.93%6.28B
5.89%6.3B
7.83%6.26B
7.83%6.26B
2.93%5.9B
-0.98%5.93B
-7.48%5.95B
-12.32%5.8B
-12.32%5.8B
-15.67%5.73B
-Equity investments
0.92%5.23B
-0.30%155.41M
-40.22%89.06M
-40.22%89.06M
3,372.40%5.04B
3,433.81%5.18B
-16.11%155.87M
-19.15%148.97M
-19.15%148.97M
-24.98%145.16M
-Trading assets
-13.22%91.93M
-4.66%103.26M
-7.99%106.42M
-7.99%106.42M
-28.69%99.77M
-44.08%105.93M
-50.32%108.31M
-54.91%115.67M
-54.91%115.67M
-46.88%139.9M
-Security agree to be resell
64.70%148.1M
-8.08%119.84M
81.64%203.69M
81.64%203.69M
8.93%149.54M
13.72%89.92M
36.82%130.37M
7.83%112.14M
7.83%112.14M
1.65%137.28M
-Short term investments
47.35%803.46M
6.55%5.91B
7.92%5.85B
7.92%5.85B
-88.71%598.74M
-90.20%545.28M
-6.38%5.55B
-10.69%5.42B
-10.69%5.42B
-14.46%5.3B
-Other invested assets
28.81%7.42M
54.00%8.85M
56.51%8.63M
56.51%8.63M
67.20%8.49M
13.38%5.76M
44.92%5.75M
32.32%5.51M
32.32%5.51M
30.26%5.08M
Cash and cash equivalents
-77.44%13.79M
-46.19%26.99M
-66.18%19M
-66.18%19M
1.44%55.49M
-54.80%61.14M
-61.95%50.17M
-62.83%56.18M
-62.83%56.18M
-64.64%54.7M
Restricted cash and cash equivalents
51.33%1.99M
217.50%1.83M
182.76%1.07M
182.76%1.07M
17.89%1.31M
134.76%1.32M
-65.05%577K
-74.44%377K
-74.44%377K
-40.68%1.11M
Receivables
4.60%168.84M
2.78%158.25M
2.96%149.77M
2.96%149.77M
-17.52%168.76M
-21.74%161.41M
-22.08%153.96M
-24.20%145.47M
-24.20%145.47M
-15.72%204.61M
-Accounts receivable
4.60%168.84M
2.78%158.25M
2.96%149.77M
2.96%149.77M
-17.52%168.76M
-21.74%161.41M
-22.08%153.96M
-24.20%145.47M
-24.20%145.47M
-15.72%204.61M
Accrued investment income
11.62%47.61M
8.85%46.33M
14.19%45.78M
14.19%45.78M
18.21%45.62M
19.22%42.65M
19.80%42.57M
22.19%40.09M
22.19%40.09M
16.05%38.6M
Prepaid assets
18.64%923.17M
16.05%842.61M
15.32%850.76M
15.32%850.76M
18.23%803M
22.97%778.13M
35.58%726.06M
32.74%737.77M
32.74%737.77M
29.89%679.2M
Deferred policy acquisition costs
-3.66%18.57M
1.78%18.56M
1.40%18.72M
1.40%18.72M
5.01%18.82M
13.48%19.27M
11.31%18.24M
13.13%18.46M
13.13%18.46M
6.52%17.92M
Net PPE
-23.86%70.39M
-17.69%75.67M
-13.00%80.11M
-13.00%80.11M
-13.64%91.88M
-10.98%92.44M
-12.64%91.93M
-13.91%92.08M
-13.91%92.08M
-0.44%106.39M
Goodwill and other intangible assets
----
----
--0
--0
-33.79%11.17M
-29.92%12.54M
-25.78%13.91M
-21.99%15.29M
-21.99%15.29M
-17.52%16.87M
-Goodwill
----
----
--0
--0
-0.02%9.8M
-0.02%9.8M
-0.02%9.8M
0.00%9.8M
0.00%9.8M
0.00%9.8M
-Other intangible assets
----
----
----
----
-80.61%1.37M
-66.13%2.74M
-54.01%4.11M
-44.00%5.48M
-44.00%5.48M
-33.63%7.07M
Assets of discontinued operations
673.13%458.1M
680.31%147.03M
822.94%32.76M
822.94%32.76M
--138.29M
--59.25M
--18.84M
--3.55M
--3.55M
----
Other assets
-1.85%149.04M
2.83%142.66M
-8.54%139.38M
-8.54%139.38M
7.40%147.44M
8.68%151.84M
-2.98%138.73M
4.64%152.38M
4.64%152.38M
-7.50%137.29M
Total assets
11.27%8.13B
7.71%7.76B
7.51%7.59B
7.51%7.59B
5.62%7.38B
0.44%7.31B
-5.40%7.2B
-9.89%7.06B
-9.89%7.06B
-13.13%6.99B
Liabilities
Policy holders liabilities reserve
-9.99%563.56M
-13.03%576.96M
-14.72%595.54M
-14.72%595.54M
-21.46%603.97M
-29.95%626.1M
-36.17%663.39M
-39.68%698.32M
-39.68%698.32M
-38.06%768.95M
Short term debt and capital lease obligation
-11.88%489.8M
--506.23M
----
----
--545.84M
--555.82M
----
----
----
----
-Current debt
-11.88%489.8M
--506.23M
----
----
--545.84M
--555.82M
----
----
----
----
Long term debt and capital lease obligation
45.26%1.51B
-20.96%1.21B
-2.04%1.54B
-2.04%1.54B
-28.95%1.11B
-34.92%1.04B
-1.49%1.54B
0.57%1.57B
0.57%1.57B
-0.96%1.57B
-Long term debt
45.26%1.51B
-20.96%1.21B
-2.04%1.54B
-2.04%1.54B
-28.95%1.11B
-34.92%1.04B
-1.49%1.54B
0.57%1.57B
0.57%1.57B
-0.96%1.57B
Non current deferred liabilities
36.76%656.11M
37.50%626.35M
50.75%589.56M
50.75%589.56M
48.36%497.56M
47.68%479.75M
40.59%455.52M
15.87%391.08M
15.87%391.08M
16.87%335.37M
Total deposits
-11.99%135.85M
-12.83%133.46M
-14.14%130.56M
-14.14%130.56M
-28.64%156.11M
-30.98%154.35M
-32.07%153.1M
-33.33%152.07M
-33.33%152.07M
-24.69%218.78M
Other liabilities
4.35%293.35M
-9.26%262.9M
2.88%343.2M
2.88%343.2M
-13.65%309.7M
-7.91%281.13M
-9.49%289.73M
12.47%333.6M
12.47%333.6M
-6.50%358.67M
Total liabilities
16.32%3.65B
7.17%3.32B
1.65%3.2B
1.65%3.2B
-0.68%3.23B
-6.21%3.14B
-10.68%3.1B
-12.18%3.14B
-12.18%3.14B
-14.16%3.25B
Shareholders'equity
Share capital
-2.82%172K
-2.84%171K
-1.70%173K
-1.70%173K
-0.57%175K
-4.84%177K
-8.81%176K
-9.28%176K
-9.28%176K
-12.00%176K
-common stock
-2.82%172K
-2.84%171K
-1.70%173K
-1.70%173K
-0.57%175K
-4.84%177K
-8.81%176K
-9.28%176K
-9.28%176K
-12.00%176K
Paid-in capital
-10.94%1.36B
-8.27%1.39B
-5.86%1.43B
-5.86%1.43B
-2.04%1.48B
-10.34%1.52B
-19.01%1.52B
-19.10%1.52B
-19.10%1.52B
-24.80%1.51B
Retained earnings
11.30%4.47B
11.50%4.36B
12.06%4.24B
12.06%4.24B
13.12%4.14B
15.03%4.02B
17.51%3.91B
19.05%3.79B
19.05%3.79B
21.37%3.66B
Gains losses not affecting retained earnings
10.95%-377.31M
6.24%-362.5M
27.57%-330.85M
27.57%-330.85M
-3.76%-521.08M
-28.74%-423.69M
-198.44%-386.63M
-480.37%-456.8M
-480.37%-456.8M
-429.92%-502.22M
Less: Treasury stock
2.35%967.22M
1.60%946.2M
1.64%945.87M
1.64%945.87M
1.62%945.5M
1.59%945.03M
1.12%931.31M
1.07%930.64M
1.07%930.64M
1.09%930.4M
Total stockholders'equity
7.47%4.48B
8.12%4.44B
12.21%4.4B
12.21%4.4B
11.10%4.15B
6.10%4.17B
-0.99%4.11B
-7.97%3.92B
-7.97%3.92B
-12.21%3.74B
Total equity
7.47%4.48B
8.12%4.44B
12.21%4.4B
12.21%4.4B
11.10%4.15B
6.10%4.17B
-0.99%4.11B
-7.97%3.92B
-7.97%3.92B
-12.21%3.74B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Total investments 5.93%6.28B5.89%6.3B7.83%6.26B7.83%6.26B2.93%5.9B-0.98%5.93B-7.48%5.95B-12.32%5.8B-12.32%5.8B-15.67%5.73B
-Equity investments 0.92%5.23B-0.30%155.41M-40.22%89.06M-40.22%89.06M3,372.40%5.04B3,433.81%5.18B-16.11%155.87M-19.15%148.97M-19.15%148.97M-24.98%145.16M
-Trading assets -13.22%91.93M-4.66%103.26M-7.99%106.42M-7.99%106.42M-28.69%99.77M-44.08%105.93M-50.32%108.31M-54.91%115.67M-54.91%115.67M-46.88%139.9M
-Security agree to be resell 64.70%148.1M-8.08%119.84M81.64%203.69M81.64%203.69M8.93%149.54M13.72%89.92M36.82%130.37M7.83%112.14M7.83%112.14M1.65%137.28M
-Short term investments 47.35%803.46M6.55%5.91B7.92%5.85B7.92%5.85B-88.71%598.74M-90.20%545.28M-6.38%5.55B-10.69%5.42B-10.69%5.42B-14.46%5.3B
-Other invested assets 28.81%7.42M54.00%8.85M56.51%8.63M56.51%8.63M67.20%8.49M13.38%5.76M44.92%5.75M32.32%5.51M32.32%5.51M30.26%5.08M
Cash and cash equivalents -77.44%13.79M-46.19%26.99M-66.18%19M-66.18%19M1.44%55.49M-54.80%61.14M-61.95%50.17M-62.83%56.18M-62.83%56.18M-64.64%54.7M
Restricted cash and cash equivalents 51.33%1.99M217.50%1.83M182.76%1.07M182.76%1.07M17.89%1.31M134.76%1.32M-65.05%577K-74.44%377K-74.44%377K-40.68%1.11M
Receivables 4.60%168.84M2.78%158.25M2.96%149.77M2.96%149.77M-17.52%168.76M-21.74%161.41M-22.08%153.96M-24.20%145.47M-24.20%145.47M-15.72%204.61M
-Accounts receivable 4.60%168.84M2.78%158.25M2.96%149.77M2.96%149.77M-17.52%168.76M-21.74%161.41M-22.08%153.96M-24.20%145.47M-24.20%145.47M-15.72%204.61M
Accrued investment income 11.62%47.61M8.85%46.33M14.19%45.78M14.19%45.78M18.21%45.62M19.22%42.65M19.80%42.57M22.19%40.09M22.19%40.09M16.05%38.6M
Prepaid assets 18.64%923.17M16.05%842.61M15.32%850.76M15.32%850.76M18.23%803M22.97%778.13M35.58%726.06M32.74%737.77M32.74%737.77M29.89%679.2M
Deferred policy acquisition costs -3.66%18.57M1.78%18.56M1.40%18.72M1.40%18.72M5.01%18.82M13.48%19.27M11.31%18.24M13.13%18.46M13.13%18.46M6.52%17.92M
Net PPE -23.86%70.39M-17.69%75.67M-13.00%80.11M-13.00%80.11M-13.64%91.88M-10.98%92.44M-12.64%91.93M-13.91%92.08M-13.91%92.08M-0.44%106.39M
Goodwill and other intangible assets ----------0--0-33.79%11.17M-29.92%12.54M-25.78%13.91M-21.99%15.29M-21.99%15.29M-17.52%16.87M
-Goodwill ----------0--0-0.02%9.8M-0.02%9.8M-0.02%9.8M0.00%9.8M0.00%9.8M0.00%9.8M
-Other intangible assets -----------------80.61%1.37M-66.13%2.74M-54.01%4.11M-44.00%5.48M-44.00%5.48M-33.63%7.07M
Assets of discontinued operations 673.13%458.1M680.31%147.03M822.94%32.76M822.94%32.76M--138.29M--59.25M--18.84M--3.55M--3.55M----
Other assets -1.85%149.04M2.83%142.66M-8.54%139.38M-8.54%139.38M7.40%147.44M8.68%151.84M-2.98%138.73M4.64%152.38M4.64%152.38M-7.50%137.29M
Total assets 11.27%8.13B7.71%7.76B7.51%7.59B7.51%7.59B5.62%7.38B0.44%7.31B-5.40%7.2B-9.89%7.06B-9.89%7.06B-13.13%6.99B
Liabilities
Policy holders liabilities reserve -9.99%563.56M-13.03%576.96M-14.72%595.54M-14.72%595.54M-21.46%603.97M-29.95%626.1M-36.17%663.39M-39.68%698.32M-39.68%698.32M-38.06%768.95M
Short term debt and capital lease obligation -11.88%489.8M--506.23M----------545.84M--555.82M----------------
-Current debt -11.88%489.8M--506.23M----------545.84M--555.82M----------------
Long term debt and capital lease obligation 45.26%1.51B-20.96%1.21B-2.04%1.54B-2.04%1.54B-28.95%1.11B-34.92%1.04B-1.49%1.54B0.57%1.57B0.57%1.57B-0.96%1.57B
-Long term debt 45.26%1.51B-20.96%1.21B-2.04%1.54B-2.04%1.54B-28.95%1.11B-34.92%1.04B-1.49%1.54B0.57%1.57B0.57%1.57B-0.96%1.57B
Non current deferred liabilities 36.76%656.11M37.50%626.35M50.75%589.56M50.75%589.56M48.36%497.56M47.68%479.75M40.59%455.52M15.87%391.08M15.87%391.08M16.87%335.37M
Total deposits -11.99%135.85M-12.83%133.46M-14.14%130.56M-14.14%130.56M-28.64%156.11M-30.98%154.35M-32.07%153.1M-33.33%152.07M-33.33%152.07M-24.69%218.78M
Other liabilities 4.35%293.35M-9.26%262.9M2.88%343.2M2.88%343.2M-13.65%309.7M-7.91%281.13M-9.49%289.73M12.47%333.6M12.47%333.6M-6.50%358.67M
Total liabilities 16.32%3.65B7.17%3.32B1.65%3.2B1.65%3.2B-0.68%3.23B-6.21%3.14B-10.68%3.1B-12.18%3.14B-12.18%3.14B-14.16%3.25B
Shareholders'equity
Share capital -2.82%172K-2.84%171K-1.70%173K-1.70%173K-0.57%175K-4.84%177K-8.81%176K-9.28%176K-9.28%176K-12.00%176K
-common stock -2.82%172K-2.84%171K-1.70%173K-1.70%173K-0.57%175K-4.84%177K-8.81%176K-9.28%176K-9.28%176K-12.00%176K
Paid-in capital -10.94%1.36B-8.27%1.39B-5.86%1.43B-5.86%1.43B-2.04%1.48B-10.34%1.52B-19.01%1.52B-19.10%1.52B-19.10%1.52B-24.80%1.51B
Retained earnings 11.30%4.47B11.50%4.36B12.06%4.24B12.06%4.24B13.12%4.14B15.03%4.02B17.51%3.91B19.05%3.79B19.05%3.79B21.37%3.66B
Gains losses not affecting retained earnings 10.95%-377.31M6.24%-362.5M27.57%-330.85M27.57%-330.85M-3.76%-521.08M-28.74%-423.69M-198.44%-386.63M-480.37%-456.8M-480.37%-456.8M-429.92%-502.22M
Less: Treasury stock 2.35%967.22M1.60%946.2M1.64%945.87M1.64%945.87M1.62%945.5M1.59%945.03M1.12%931.31M1.07%930.64M1.07%930.64M1.09%930.4M
Total stockholders'equity 7.47%4.48B8.12%4.44B12.21%4.4B12.21%4.4B11.10%4.15B6.10%4.17B-0.99%4.11B-7.97%3.92B-7.97%3.92B-12.21%3.74B
Total equity 7.47%4.48B8.12%4.44B12.21%4.4B12.21%4.4B11.10%4.15B6.10%4.17B-0.99%4.11B-7.97%3.92B-7.97%3.92B-12.21%3.74B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --------------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
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