Radian Group Inc.

NYSE:RDN

31.6 (USD) • At close April 17, 2025
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

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Operationele Activiteiten:
Nettowinst 0603.119742.934600.671393.626672.309606.011121.088308.253281.5391,259.574-196.985-451.468302.15-1,805.867-147.879-410.579-1,290.299582.172522.854518.653385.901427.169360.419248.938148.1142.2377562.250.841.134.121.8
Afschrijvingen & Amortisatie 079.11576.57575.4771.729069.0985.83571.01681.62534.21369.72672.38963.1239.78920.0816.18819.33436.99634.0427.95617.310.7962.48654.62958.858.531.326.923.422.518.113.4
Uitgestelde Inkomstenbelasting 0165.001206.925161.793102.079157.162120.573166.527170.887156.17-825.843-31.8477.8176.758381.408-55.344-313.088-879.835145.297147.156135.02674.691138.181140.80462.94257.84949.8140.622-0.30.70.300
Aandelen Gebaseerde Vergoedingen 041.12938.06128.44319.19321.414000043.996.9000012.0038.793000000000000000
Verandering in Werkkapitaal 0-286.114-715.372-265.219151.277-183.614-160.364-245.097-212.756-551.084-660.456-357.71739.085-34.552117.792494.6931,635.7451,126.162-37.915392.03375.41439.606209.78998.165-119.501-146.871-128.593-88.79-61.531-32.9-20.7-25.2-6.6
Vorderingen 0-1.89446.47300003.628025.6560066.385000000157.42348.15587.416104.58362.40918.641-27.91.5-7.5000-21.6-16.1
Voorraden 000000000000000000000000000000000
Crediteuren 0000000000000008.403128.0321,056.154202.829116.28651.316167.57933.63490.9854.43790.5000-2.51.2912.8
Overig Werkkapitaal -232.34-284.22-761.845-265.219151.277-183.614-160.364-248.725-212.756-576.74-660.456-357.717-27.3-34.552117.792486.291,507.71370.008-240.744118.324-24.061184.61171.572-55.224-192.579-209.471-130.093-81.29-61.531-30.4-21.9-12.6-3.3
Overige Niet-Contante Posten 246.885-72.81639.175-44.046-79.4727.1642.476232.22244.32445.5052.35-245.014-178.323-1,235.251404.275-283.905-1,274.0851,317.64-238.059-525.697-430.046-382.524-189.127-120.72532.969143.79568.1129.96857.20817.15.412.53.3
Kasstroom uit Operationele Activiteiten 246.885529.434388.298557.112658.434694.431677.786360.575381.72413.755-146.262-664.937-510.5-897.775-862.60327.645-333.816301.795488.491570.386326.999534.984586.808481.149279.977261.673190.058148.184.47759.148.639.531.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa 0-16.281-17.672-12.601-17.016-27.626-26.008-28.676-35.542-25.466-18.495-6.004-2.199-2.976-2.516-4.3-3.569-3.764-15.407-8.26-19.06-34.564-41.573-8.538-9.419-12.509-0.1-6.3300000
Netto Overnames 0-00016.4810-7.964-0.736-0.15774.029-294.386000121,6270-72.3880038.552000-6.788000000000
Aankoop van Beleggingen 0-1,193.26-1,439.603-2,085.804-2,525.817-1,971.125-2,052.554-2,161.385-1,991.482-1,338.974-884.021-644.77541.039-5,457.938-6,212.374-3,163.995-1,403.584-1,526.721-1,384.778-1,227.841-1,865.065-202.958-2,725.334-1,729.376-885.785-440.316-200.458-227.2-98.876-83.9-101.4-125.8-199.5
Verkoop/verval van Beleggingen 0908.7441,458.9872,090.4171,733.6221,697.4411,394.5221,988.4231,848.627570.484696.186561.89106,533.5696,200.6063,251.7561,715.9561,238.3661,275.381,096.2611,521.47131.5941,992.2861,208.335592.713179.00669.723100.922.25327.856.967.560.5
Overige Investeringsactiviteiten 551.109-0.045-6.8876.126-90.45-0.7392.590.8822.48922.719163.084149.187622.2330-121,660.501072.388-56.408-70.075-38.75299.606-559.7591.68123.2662.6340.01-61.194-11.17-4.246-1.1-2.829.50.9
Kasstroom uit Investeringsactiviteiten 551.109-300.842-5.175-1.862-883.18-302.049-689.414-201.492-176.0582.792-337.63260.299661.0731,072.655-47.78583.461308.803-348.527-194.88-140.04-263.049-665.687-772.94-513.101-299.857-273.809-192.029-143.8-80.869-57.2-47.3-28.8-138.1
Financieringsactiviteiten:
Schuldaflossingen 757.77813.28455.9224.24547.12-102.27173.194-151.628-102.026187.162236.586298.411-153.261-160361.962-145.622-100200027.3870171.167215.93673.161000000000
Uitgifte van Gewone Aandelen 0.9281.7551.3411.3821.5532.4161.3857.1320.7171.285247.188299.4100525.8870025.2826.90523.00922.87523.21528.61139.68724.74717.12610.5474.21.5813.30.50.366.5
Terugkoop van Gewone Aandelen -225.059-133.314-400.195-399.1-226.305-300.201-50.053-0.006-100.188-2020000000-22.822-263.6-533.889-127.832-8.635-86.997-5.715-2.15900000000
Uitgekeerde Dividenden -151.961-145.908-135.437-103.298-97.458-2.061-2.14-2.154-2.105-1.996-1.865-1.632-1.335-1.33-1.202-0.827-3.666-6.43-6.531-6.831-7.575-7.491-9.608-10.052-7.791-6.86-6.019-6-5.646-5.5-5.5-5.6-4
Overige Financieringsactiviteiten -1,176.098-0.904-0.8140-2.292-0.989021.5720.33316.150.1070.75200.0040012.85.5174.77737.62613.112-2.353-43.003-7.39400-5.1730000044.2
Kasstroom uit Financieringsactiviteiten -794.412-265.087-479.183-496.776222.618-403.10622.386-125.084-203.2690.601482.016596.941-154.596-161.326886.647-146.449-90.866201.545-238.449-452.698-100.439175.903147.94289.68714.79710.266-0.645-1.8-4.065-2.2-5-5.3106.7
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000-0.00400.431-0.481-0.133-0.0680-0.0111.7012.5011.088-5.86-11.927-5.108-0.481000000000-1.9-1.3-10.70
Netto Kasstroomverandering 21.407-36.495-96.0658.474-2.128-10.72810.75834.431.91615.402-2.353-6.528-4.03415.255-21.24-34.255-121.739142.88650.054-22.833-36.48945.2-38.1957.735-5.083-1.87-0.1732.4-0.457-2.2-5-5.3-1.9
Kaspositie aan het Einde van de Periode 41.47220.06556.56152.6294.14696.274107.00296.24461.81459.89844.49622.8829.40835.58920.33477.18179.048200.78757.9017.84730.6867.16921.96960.1592.4247.5072.1916.83.1891.72.6-3108.6