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Radian Group Quarterly Balance Sheets Chart

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Radian Group Quarterly Balance Sheets Table

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Annual
 
Unit: USD2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2015-12-31 2015-09-30 2015-06-30 2015-03-31 2014-12-31 2009-03-31 2008-06-30 2008-03-31 2007-09-30 2007-06-30 2007-03-31 2006-09-30 2006-06-30 2006-03-31 2005-09-30 2005-06-30 2005-03-31 2004-09-30 2004-06-30 2004-03-31 
                                                            
  assets                                                          
  investments                                                          
  fixed maturities                                                          
  available for sale—at fair value5,108,278,000 5,112,192,000 5,074,920,000                                                        
  trading—at fair value74,317,000 77,012,000 82,652,000                                                        
  equity securities—at fair value92,991,000 110,614,000 138,189,000 145,717,000 143,314,000 155,405,000 89,057,000 108,911,000 133,106,000 155,870,000 148,965,000 145,155,000 146,574,000 185,803,000 184,245,000 193,498,000 175,147,000 141,412,000 151,240,000 91,317,000 104,513,000 74,853,000 130,221,000 121,759,000 149,954,000 125,025,000 130,565,000 121,865,000 122,977,000 111,032,000                 272,098,000 306,413,000 297,187,000 281,069,000 279,131,000 292,331,000 314,736,000 276,277,000     
  residential mortgage loans held for sale—at fair value698,367,000 279,097,000 519,885,000 529,517,000                                                       
  other long-term invested assets—at fair value8,238,000 8,214,000 7,942,000                                                        
  short-term investments—at fair value502,501,000 526,663,000 521,648,000 432,385,000 710,868,000 703,545,000 660,566,000 492,444,000 435,925,000 376,752,000 402,090,000 392,514,000 336,306,000 525,460,000 551,508,000 617,515,000 662,095,000 705,660,000 618,004,000 567,146,000 955,090,000 638,760,000 518,393,000 552,095,000 909,880,000 1,066,110,000 528,403,000 645,119,000 626,060,000 435,756,000 415,658,000 491,956,000 538,620,000 686,685,000 741,531,000 835,960,000 800,465,000 735,666,000 1,076,944,000 1,460,918,000 1,649,370,000 1,194,280,000 1,300,872,000                
  total investments6,484,692,000 6,113,792,000 6,345,236,000 6,497,180,000 6,588,149,000 6,327,114,000 6,085,654,000 5,885,652,000 5,895,871,000 5,837,892,000 5,693,491,000 5,591,881,000 5,906,147,000 6,334,950,000 6,513,542,000 6,658,487,000 6,681,659,000 6,671,874,000 6,788,442,000 6,584,577,000 6,431,350,000 5,608,627,000 5,658,747,000 5,533,724,000 5,513,319,000 5,475,770,000 5,153,029,000 5,028,235,000 4,873,919,000 4,668,217,000 4,643,942,000 4,546,664,000 4,583,842,000 4,437,716,000 4,462,430,000 4,565,748,000 4,636,914,000 4,470,172,000 4,298,686,000 4,376,771,000 4,309,148,000 3,621,646,000 3,629,299,000 6,420,771,000 6,387,069,000 6,559,947,000 6,512,997,000 5,919,977,000 5,945,968,000 5,715,694,000 5,536,443,000 5,638,161,000 5,480,413,000 5,556,007,000 5,223,217,000 5,273,760,000 5,070,199,000 5,130,163,000 
  cash22,090,000 24,182,000 38,823,000 28,061,000 13,791,000 26,993,000 18,999,000 55,489,000 61,142,000 50,167,000 56,183,000 54,701,000 135,262,000 131,853,000 151,145,000 154,709,000 134,939,000 102,776,000 87,915,000 82,020,000 68,387,000 54,108,000 92,729,000 49,393,000 74,111,000 118,668,000 95,393,000 104,413,000 95,573,000 122,481,000 80,569,000 61,917,000 56,918,000 73,701,000 52,149,000 46,356,000 55,062,000 64,844,000 46,898,000 69,030,000 51,381,000 57,204,000 30,465,000 77,444,000 148,328,000 181,038,000 62,800,000 108,838,000 132,605,000 46,218,000 61,725,000 16,916,000 27,776,000 24,571,000 22,484,000 30,186,000 45,510,000 67,903,000 
  restricted cash105,000 4,168,000 2,649,000 2,014,000 1,993,000 1,832,000 1,066,000 1,305,000 1,317,000 577,000 377,000 1,107,000 561,000 1,651,000 1,475,000 1,866,000 2,968,000 20,987,000 6,231,000 4,424,000 16,279,000 7,817,000 3,545,000 2,853,000 5,007,000 9,086,000 11,609,000 9,925,000 9,152,000 7,623,000 15,675,000 36,888,000 25,486,000 12,689,000 9,665,000 10,312,000 9,298,000 10,060,000 13,000,000 10,280,000 12,633,000 14,220,000 14,031,000                
  accrued investment income50,542,000 44,378,000 49,053,000 49,707,000 47,607,000 46,334,000 45,783,000 45,623,000 42,650,000 42,567,000 40,093,000 38,596,000 35,774,000 35,531,000 32,812,000 33,258,000 32,223,000 34,841,000 34,047,000                         60,436,000 68,254,000 70,909,000 64,804,000 63,020,000 62,003,000 60,926,000 62,705,000 59,438,000 57,943,000 59,102,000 57,792,000 57,964,000 58,860,000 55,701,000 
  accounts and notes receivable130,020,000 127,741,000 128,093,000 138,439,000 137,777,000 130,095,000 123,857,000 144,614,000 138,432,000 129,565,000 119,834,000 174,041,000 166,380,000 142,579,000 124,016,000 166,730,000 153,128,000 134,075,000 121,294,000 145,164,000 110,722,000 123,381,000 93,630,000 144,113,000 122,104,000 89,237,000 78,652,000 108,003,000 94,848,000 80,068,000 72,558,000 97,020,000 78,540,000 73,794,000 77,631,000 94,692,000 77,170,000 66,340,000 61,734,000 65,951,000 72,093,000 64,405,000 85,792,000 241,484,000 103,261,000 90,721,000 163,531,000 64,027,000 67,602,000 42,216,000 66,142,000 49,943,000 69,627,000 73,606,000 66,030,000 70,926,000 82,566,000 78,593,000 
  reinsurance recoverables43,652,000 40,227,000 36,433,000 34,015,000 31,064,000 28,151,000  24,148,000 22,979,000 24,396,000  30,569,000 39,876,000 55,015,000 67,896,000 76,048,000 75,411,000 76,664,000 73,202,000                         537,359,000               
  deferred policy acquisition costs17,248,000 17,855,000 17,746,000 18,430,000 18,566,000 18,561,000 18,718,000 18,817,000 19,272,000 18,236,000 18,460,000 17,920,000 16,983,000 16,383,000 16,317,000 16,823,000 17,873,000 15,652,000 18,305,000                         222,269,000 184,765,000 239,400,000 233,582,000 232,548,000 225,597,000 219,573,000 215,803,000 209,524,000 206,013,000 201,253,000 199,943,000 207,453,000 207,508,000 201,091,000 
  property and equipment23,516,000 25,576,000 27,637,000 41,892,000 56,360,000 60,521,000 63,822,000 74,558,000 73,885,000 72,111,000 70,981,000 75,740,000 74,874,000 75,275,000 75,086,000 74,170,000 74,288,000 78,309,000 80,457,000                                        
  prepaid federal income taxes997,805,000 921,080,000 921,080,000 870,336,000 837,736,000 750,320,000 750,320,000 696,820,000 663,320,000 596,368,000 596,368,000 526,123,000 466,123,000                               13,475,000 536,343,000 536,343,000 861,809,000 860,135,000 788,240,000 760,963,000 709,304,000 639,704,000 539,973,000 530,549,000 481,049,000 426,813,000 420,840,000 358,340,000 
  other assets408,675,000 381,846,000 375,931,000 384,666,000 396,600,000 369,944,000 459,805,000 420,483,000 375,132,000 418,609,000 427,024,000 458,292,000 414,412,000 803,765,000 837,303,000 839,061,000 815,261,000 763,502,000 447,447,000 640,830,000 585,866,000 513,187,000 567,619,000 513,647,000 430,236,000 373,678,000 367,700,000 415,272,000 430,077,000 426,773,000 407,849,000 439,016,000 377,355,000 357,435,000 343,835,000 422,123,000 332,372,000 325,129,000 354,420,000 349,657,000 349,371,000 356,713,000 375,491,000 347,110,000 593,986,000 203,140,000 194,790,000 200,123,000 282,080,000 274,943,000 303,959,000 300,352,000 235,035,000 197,974,000 198,426,000 178,418,000 202,229,000 222,718,000 
  consolidated vie assets                                                          
  securitized residential mortgage loans held for investment—at fair value1,394,700,000 1,058,736,000 717,227,000 353,078,000                                                       
  other vie assets7,612,000 5,805,000 4,080,000 1,953,000                                                       
  total assets9,580,657,000 8,765,386,000 8,663,988,000 8,419,771,000 8,129,643,000 7,759,865,000 7,593,933,000 7,378,682,000 7,306,543,000 7,204,402,000 7,063,729,000 6,985,843,000 7,274,287,000 7,615,746,000 7,839,185,000 8,041,608,000 8,009,068,000 7,920,861,000 7,948,021,000 7,777,345,000 7,569,309,000 6,690,432,000 6,808,313,000 6,670,602,000 6,592,126,000 6,599,569,000 6,314,652,000 6,269,484,000 6,139,488,000 6,010,249,000 5,900,881,000 5,844,273,000 5,817,106,000 5,827,760,000 5,863,174,000 6,049,827,000 6,067,263,000 5,969,391,000 5,642,100,000 5,760,916,000 5,736,504,000 6,813,855,000 6,859,963,000 8,703,610,000 8,409,417,000 8,254,025,000 8,214,860,000 8,118,085,000 8,124,908,000 7,737,321,000 7,507,347,000 7,410,594,000 7,098,297,000 7,168,203,000 6,722,597,000 6,700,020,000 6,530,712,000 6,541,093,000 
  liabilities and stockholders’ equity                                                          
  liabilities                                                          
  reserve for losses and lae383,103,000 374,945,000 360,326,000 363,225,000 357,470,000 361,833,000 370,148,000 367,568,000 379,434,000 405,651,000 426,843,000 483,664,000 594,808,000 727,247,000 828,642,000 893,155,000 885,498,000 887,355,000 848,413,000                                        
  unearned premiums171,901,000 178,931,000 188,337,000 198,007,000 206,094,000 215,124,000 225,396,000 236,400,000 246,666,000 257,735,000 271,479,000 285,290,000 298,991,000 312,013,000 329,090,000 348,322,000 373,031,000 406,689,000 448,791,000 501,787,000 561,280,000 605,045,000 626,822,000 647,856,000 666,354,000 720,159,000 739,357,000 747,921,000 741,296,000 723,100,000 723,938,000 717,589,000 702,210,000 684,797,000 681,222,000 680,973,000 677,599,000 673,887,000 680,300,000 676,938,000 665,947,000 657,555,000 644,504,000 1,152,552,000 1,048,064,000 1,074,589,000 1,045,267,000 987,788,000 974,768,000 914,422,000 913,879,000 874,733,000 838,042,000 789,878,000 735,768,000 742,691,000 726,689,000 656,309,000 
  senior notes1,066,603,000 1,065,965,000 1,065,337,000 1,064,718,000 1,513,782,000 1,512,860,000 1,417,781,000 1,416,687,000 1,415,610,000 1,414,549,000 1,413,504,000 1,412,473,000 1,411,458,000 1,410,458,000 1,409,473,000 1,408,502,000 1,407,545,000 1,406,603,000 1,405,674,000 1,404,759,000 1,403,857,000 887,584,000 887,110,000 886,643,000 982,890,000 1,031,197,000 1,030,348,000 1,029,511,000 1,028,687,000 1,027,875,000                             
  secured borrowings762,933,000 272,667,000 538,294,000 551,916,000 484,665,000 207,601,000 119,476,000 241,753,000 178,762,000                                                  
  net deferred tax liability841,376,000 804,149,000 746,685,000 737,605,000 656,113,000 626,353,000 589,564,000 497,560,000 479,754,000 455,517,000 391,083,000 335,374,000 324,866,000 324,004,000 337,509,000 286,957,000 266,330,000 210,571,000 213,897,000                                        
  other liabilities490,165,000 442,188,000 431,556,000 318,345,000 293,351,000 262,902,000 343,199,000 309,701,000 281,127,000 289,731,000 333,604,000 358,665,000 305,269,000 320,114,000 296,614,000 383,585,000 303,442,000 353,173,000 291,855,000 462,797,000 391,810,000 438,782,000 414,189,000 358,431,000 308,337,000 419,470,000 333,659,000 379,362,000 385,051,000 412,793,000 353,845,000 360,835,000 379,144,000 319,282,000 321,859,000 413,401,000 294,507,000 306,188,000 269,016,000 311,855,000 278,929,000 310,642,000 326,743,000                
  consolidated vie liabilities                                                          
  securitized nonrecourse debt—at fair value1,360,195,000 1,029,008,000 703,526,000 344,904,000                                                       
  other vie liabilities11,700,000 10,707,000 6,069,000 3,388,000                                                       
  total liabilities5,087,976,000 4,178,560,000 4,040,130,000 3,720,918,000 3,647,324,000 3,320,133,000 3,196,128,000 3,225,783,000 3,135,707,000 3,097,924,000 3,144,402,000 3,247,793,000 3,343,325,000 3,468,182,000 3,580,389,000 3,783,672,000 3,675,235,000 3,685,569,000 3,663,668,000 3,654,966,000 3,583,304,000 2,825,924,000 2,759,590,000 2,748,095,000 2,808,882,000 2,889,478,000 2,825,937,000 2,922,206,000 2,938,352,000 2,957,833,000 2,900,843,000 2,856,071,000 2,902,946,000 2,906,452,000 2,990,888,000 3,161,121,000 3,261,896,000 3,308,993,000 3,145,169,000 3,317,609,000 3,374,560,000 4,537,961,000 4,688,213,000 6,902,704,000 5,953,510,000 5,386,669,000 4,767,368,000 3,975,367,000 3,950,132,000 3,770,288,000 3,677,179,000 3,639,374,000 3,523,282,000 3,600,628,000 3,276,005,000 3,216,416,000 3,185,018,000 3,197,608,000 
  commitments and contingencies                                                          
  stockholders’ equity                                                          
  common stock157,000 162,000 168,000 171,000 172,000 171,000 173,000 175,000 177,000 176,000 176,000 176,000                                               
  treasury stock-988,764,000 -969,396,000 -968,246,000 -967,717,000 -967,218,000 -946,202,000 -945,870,000 -945,504,000 -945,032,000 -931,313,000 -930,643,000 -930,396,000 -930,284,000 -920,958,000 -920,798,000 -920,355,000 -920,225,000 -910,347,000 -910,115,000 -909,745,000 -909,738,000 -902,024,000 -901,657,000 -901,556,000 -901,419,000 -895,321,000 -894,870,000 -894,635,000 -894,610,000 -894,191,000 -893,888,000 -893,754,000 -893,531,000 -893,372,000 -893,332,000 -893,197,000 -893,176,000 -893,176,000 -893,176,000 -893,176,000 -893,176,000 -893,149,000 -892,961,000 -888,508,000 -890,052,000 -888,643,000 -889,108,000 -890,521,000 -893,645,000 -853,553,000 -795,117,000 -737,068,000 -669,752,000 -542,645,000 -469,882,000 -176,181,000 -103,817,000 -80,674,000 
  additional paid-in capital847,399,000 1,048,738,000 1,246,826,000 1,315,046,000 1,356,341,000 1,390,436,000 1,430,594,000 1,482,712,000 1,522,895,000 1,515,852,000 1,519,641,000 1,513,615,000 1,698,490,000 1,871,763,000 1,878,372,000 2,012,870,000 2,161,857,000 2,242,950,000 2,245,897,000 2,238,869,000 2,232,949,000 2,231,670,000 2,449,884,000 2,469,097,000 2,539,803,000 2,697,724,000 2,724,733,000 2,720,626,000 2,715,426,000 2,748,233,000 2,754,275,000 2,747,393,000 2,743,872,000 2,743,594,000 2,779,891,000 2,778,860,000 2,781,136,000 2,773,349,000 2,716,618,000 2,718,210,000 2,709,721,000 2,541,585,000 2,531,513,000 1,353,213,000 1,338,062,000 1,334,854,000 1,325,936,000 1,326,538,000 1,336,013,000 1,342,942,000 1,333,815,000 1,328,135,000 1,306,691,000 1,292,597,000 1,289,526,000 1,272,974,000 1,272,088,000 1,267,824,000 
  retained earnings4,906,830,000 4,802,038,000 4,695,348,000 4,584,453,000 4,470,335,000 4,357,823,000 4,243,759,000 4,136,598,000 4,016,482,000 3,908,396,000 3,786,952,000 3,656,870,000 3,491,675,000 3,326,119,000 3,180,935,000 3,012,997,000 2,913,138,000 2,785,744,000 2,684,636,000 2,561,076,000 2,450,423,000 2,504,853,000 2,389,789,000 2,229,107,000 2,056,175,000 1,889,964,000 1,719,541,000 1,580,296,000 1,438,032,000 1,229,616,000 1,116,333,000 1,110,057,000 1,045,453,000 1,073,333,000 997,890,000 937,338,000 855,070,000 757,202,000 691,742,000 617,731,000 548,161,000 498,593,000 406,814,000 1,511,719,000 1,981,046,000 2,375,189,000 2,903,798,000 3,609,259,000 3,590,712,000 3,332,517,000 3,222,189,000 3,075,683,000 2,810,853,000 2,649,991,000 2,511,469,000 2,243,400,000 2,123,201,000 2,004,673,000 
  accumulated other comprehensive income-272,941,000 -294,716,000 -350,238,000 -233,100,000 -377,311,000 -362,496,000 -330,851,000 -521,082,000 -423,686,000 -386,633,000 -456,799,000 -502,215,000 -329,105,000 -129,553,000 120,093,000 152,224,000 178,856,000 116,735,000 263,725,000 231,969,000 212,161,000 29,801,000 110,488,000 125,639,000 88,462,000 17,494,000 -60,920,000 -59,240,000 -57,943,000 -31,475,000 23,085,000 24,273,000 18,117,000 -3,363,000 -12,395,000 65,473,000 62,105,000 22,791,000 -18,477,000 -7,419,000 -11,534,000 59,674,000 51,485,000  26,753,000 45,858,000 106,769,000 97,345,000 141,599,000 145,030,000 69,184,000 104,373,000 129,164,000 169,282,000 115,382,000 143,315,000 54,126,000 151,566,000 
  total stockholders’ equity4,492,681,000 4,586,826,000 4,623,858,000 4,698,853,000 4,482,319,000 4,439,732,000 4,397,805,000 4,152,899,000 4,170,836,000 4,106,478,000 3,919,327,000 3,738,050,000 3,930,962,000 4,147,564,000 4,258,796,000 4,257,936,000 4,333,833,000 4,235,292,000 4,284,353,000 4,122,379,000 3,986,005,000 3,864,508,000 4,048,723,000 3,922,507,000 3,783,244,000 3,710,091,000 3,488,715,000 3,347,278,000 3,201,136,000 3,052,416,000 3,000,038,000 2,988,202,000 2,914,144,000 2,920,425,000 2,872,286,000 2,888,706,000 2,805,367,000 2,660,398,000 2,496,931,000 2,435,570,000 2,353,398,000 2,206,912,000 2,097,060,000 1,800,906,000 2,455,907,000 2,867,356,000 3,447,492,000 4,142,718,000 4,174,776,000 3,967,033,000 3,830,168,000 3,771,220,000 3,575,015,000 3,567,575,000 3,446,592,000 3,483,604,000 3,345,694,000 3,343,485,000 
  total liabilities and stockholders’ equity9,580,657,000 8,765,386,000 8,663,988,000 8,419,771,000 8,129,643,000 7,759,865,000 7,593,933,000 7,378,682,000 7,306,543,000 7,204,402,000 7,063,729,000 6,985,843,000 7,274,287,000 7,615,746,000 7,839,185,000 8,041,608,000 8,009,068,000 7,920,861,000 7,948,021,000 7,777,345,000 7,569,309,000 6,690,432,000 6,808,313,000 6,670,602,000 6,592,126,000 6,599,569,000 6,314,652,000 6,269,484,000 6,139,488,000 6,010,249,000 5,900,881,000 5,844,273,000 5,817,106,000 5,827,760,000 5,863,174,000 6,049,827,000 6,067,263,000 5,969,391,000 5,642,100,000 5,760,916,000 5,736,504,000 6,813,855,000 6,859,963,000 8,703,610,000 8,409,417,000 8,254,025,000 8,214,860,000 8,118,085,000 8,124,908,000 7,737,321,000 7,507,347,000 7,410,594,000 7,098,297,000 7,168,203,000 6,722,597,000 6,700,020,000 6,530,712,000 6,541,093,000 
  fixed-maturities available for sale—at fair value   5,292,480,000 5,176,521,000 5,209,025,000 5,188,228,000 5,037,747,000 5,155,897,000 5,172,375,000 5,017,711,000 4,909,232,000 5,228,744,000 5,401,704,000        4,603,613,000 4,688,911,000 4,527,223,000 4,113,650,000 3,897,584,000 4,021,575,000 3,763,710,000 3,586,055,000 3,554,734,000 3,458,719,000 3,256,581,000 3,158,843,000 2,937,415,000 2,838,512,000 2,757,508,000 2,711,395,000 2,523,335,000 1,865,461,000 1,496,328,000 1,178,842,000 695,085,000 536,890,000                
  trading securities—at fair value   89,272,000 91,928,000 103,256,000 106,423,000 99,769,000 105,929,000 108,306,000 115,665,000 139,901,000 189,441,000 218,018,000 256,546,000 263,363,000 267,980,000 265,314,000 290,885,000 291,650,000 297,609,000 287,270,000 317,150,000 329,935,000 337,017,000 383,992,000 469,071,000 493,956,000 535,634,000 563,377,000 606,401,000 636,225,000 708,788,000 811,313,000 879,862,000 969,657,000 1,123,038,000 1,209,089,000 1,279,137,000 1,414,757,000 1,466,435,000 1,574,795,000 1,633,584,000 1,067,935,000 457,760,000 435,746,000 38,438,000 39,344,000 28,112,000 106,706,000 105,691,000 115,786,000 89,966,000 79,384,000     
  other invested assets—at fair value   7,809,000 7,422,000 8,849,000 8,625,000 8,492,000 5,762,000 5,746,000 5,511,000 5,079,000 5,082,000 3,965,000 4,165,000 3,899,000 3,624,000 5,777,000 4,973,000 5,472,000 4,047,000 4,131,000 4,072,000 2,712,000 2,818,000 3,059,000 3,415,000 3,585,000 3,193,000 3,318,000                             
  reinsurance funds withheld   138,810,000 135,849,000 133,460,000 130,564,000 156,114,000 154,354,000 153,099,000 152,067,000 218,777,000 223,649,000 225,363,000 228,078,000 290,502,000 285,406,000 282,345,000 278,555,000 318,773,000 312,350,000 302,551,000 291,829,000 352,532,000 339,641,000 329,868,000 321,212,000 352,952,000 331,776,000 305,409,000 288,398,000 194,353,000 180,991,000 167,427,000 158,001,000 177,147,000 163,360,000 151,104,000                     
  mortgage loans held for sale—at fair value    458,096,000 147,034,000 32,755,000 138,289,000 59,252,000 18,843,000 3,549,000                                                
  reinsurance recoverable      25,909,000    25,633,000                                                
  goodwill and other acquired intangible assets       11,173,000 12,543,000 13,914,000 15,285,000 16,873,000 17,895,000 18,744,000 19,593,000 20,456,000 21,318,000 22,181,000 23,043,000 25,268,000 26,229,000 27,208,000 28,187,000 52,533,000 54,672,000 56,811,000 58,998,000 55,707,000                               
  other borrowings         121,642,000 155,822,000                                                
  fhlb advances           153,550,000 184,284,000 148,983,000 150,983,000 172,649,000 153,983,000 138,833,000 176,483,000 141,058,000 175,122,000 173,760,000 134,875,000 104,492,000 106,382,000                                  
  common stock: par value 0.001 per share; 485,000 shares authorized at june 30, 2022, and december 31, 2021; 185,822 and 194,408 shares issued at june 30, 2022, and december 31, 2021, respectively; 166,388 and 175,421 shares outstanding at june 30, 2022, and december 31, 2021, respectively            186,000                                              
  common stock: par value 0.001 per share; 485,000 shares authorized at march 31, 2022 and december 31, 2021; 193,642 and 194,408 shares issued at march 31, 2022 and december 31, 2021, respectively; 174,648 and 175,421 shares outstanding at march 31, 2022 and december 31, 2021, respectively             193,000                                             
  fixed-maturities available for sale—at fair value, net of allowance for credit losses of 0 and 948              5,517,078,000 5,580,212,000 5,572,813,000                                          
  common stock: par value 0.001 per share; 485,000 shares authorized at december 31, 2021 and 2020; 194,408 and 210,130 shares issued at december 31, 2021 and 2020, respectively; 175,421 and 191,606 shares outstanding at december 31, 2021 and 2020, respectively              194,000                                            
  common stock: par value 0.001 per share; 485,000 shares authorized at september 30, 2021 and december 31, 2020; 200,302 and 210,130 shares issued at september 30, 2021 and december 31, 2020, respectively; 181,336 and 191,606 shares outstanding at september 30, 2021 and december 31, 2020, respectively               200,000                                           
  common stock: par value 0.001 per share; 485,000 shares authorized at june 30, 2021 and december 31, 2020; 207,250 and 210,130 shares issued at june 30, 2021 and december 31, 2020, respectively; 188,290 and 191,606 shares outstanding at june 30, 2021 and december 31, 2020, respectively                207,000                                          
  fixed-maturities available for sale—at fair value, net of allowance for credit losses of 638 and 948                 5,553,711,000                                         
  common stock: par value 0.001 per share; 485,000 shares authorized at march 31, 2021 and december 31, 2020; 209,846 and 210,130 shares issued at march 31, 2021 and december 31, 2020, respectively; 191,311 and 191,606 shares outstanding at march 31, 2021 and december 31, 2020, respectively                 210,000                                         
  fixed-maturities available for sale—at fair value, net of allowance for credit losses of 948 as of december 31, 2020                  5,723,340,000                                        
  prepaid reinsurance premium                  267,638,000 295,062,000 330,476,000 356,104,000 363,856,000 374,339,000 385,805,000 408,622,000 417,628,000 413,728,000 405,447,000 390,241,000 386,509,000 239,620,000 235,349,000 230,148,000 229,438,000 229,754,000 229,231,000 228,718,000                     
  common stock: par value 0.001 per share; 485,000 shares authorized at december 31, 2020 and 2019; 210,130 and 219,123 shares issued at december 31, 2020 and 2019, respectively; 191,606 and 201,164 shares outstanding at december 31, 2020 and 2019, respectively                  210,000                                        
  fixed-maturities available for sale—at fair value, net of allowance for credit losses of 2,290 as of september 30, 2020                   5,628,992,000                                       
  reserve for losses and loss adjustment expense                   825,792,000 738,885,000 418,202,000  398,141,000 405,278,000 388,784,000  412,460,000 451,542,000 488,656,000  556,488,000 651,591,000 726,169,000  821,934,000 848,379,000 891,348,000  1,098,570,000 1,204,792,000 1,384,714,000                 
  common stock: par value 0.001 per share; 485,000 shares authorized at september 30, 2020 and december 31, 2019; 210,061 and 219,123 shares issued at september 30, 2020 and december 31, 2019, respectively; 191,556 and 201,164 shares outstanding at september 30, 2020 and december 31, 2019, respectively                   210,000                                       
  fixed-maturities available for sale—at fair value, net of allowance for credit losses of 2,476 as of june 30, 2020                    5,070,091,000                                      
  common stock: par value 0.001 per share; 485,000 shares authorized at june 30, 2020 and december 31, 2019; 209,997 and 219,123 shares issued at june 30, 2020 and december 31, 2019, respectively; 191,492 and 201,164 shares outstanding at june 30, 2020 and december 31, 2019, respectively                    210,000                                      
  common stock: par value 0.001 per share; 485,000 shares authorized at march 31, 2020 and december 31, 2019; 208,364 and 219,123 shares issued at march 31, 2020 and december 31, 2019, respectively; 190,387 and 201,164 shares outstanding at march 31, 2020 and december 31, 2019, respectively                     208,000                                     
  deferred income taxes                        6,872,000 67,697,000 131,643,000 134,201,000 171,293,000 253,381,000 229,567,000 356,181,000 389,759,000 369,209,000 411,798,000 401,442,000 444,513,000 518,059,000 577,945,000 601,893,000 651,238,000 649,996,000 700,201,000 492,663,000               
  reserve for losses and loss adjustment expenses                      404,765,000    401,361,000    507,588,000    760,269,000    976,399,000    1,560,032,000 3,332,642,000 2,287,742,000 1,902,128,000 1,094,704,000 909,371,000 852,462,000 840,938,000 789,701,000 791,690,000 792,600,000 786,942,000 797,671,000 776,903,000 775,375,000 786,115,000 
  common stock: par value .001 per share; 485,000 shares authorized at december 31, 2019 and 2018; 219,123 and 231,132 shares issued at december 31, 2019 and 2018, respectively; 201,164 and 213,473 shares outstanding at december 31, 2019 and 2018, respectively                      219,000                                    
  common stock: par value 0.001 per share; 485,000 shares authorized at september 30, 2019 and december 31, 2018; 220,174 and 231,132 shares issued at september 30, 2019 and december 31, 2018, respectively; 202,219 and 213,473 shares outstanding at september 30, 2019 and december 31, 2018, respectively                       220,000                                   
  common stock: par value 0.001 per share; 485,000 shares authorized at june 30, 2019 and december 31, 2018; 223,312 and 231,132 shares issued at june 30, 2019 and december 31, 2018, respectively; 205,399 and 213,473 shares outstanding at june 30, 2019 and december 31, 2018, respectively                        223,000                                  
  common stock: par value 0.001 per share; 485,000 shares authorized at march 31, 2019 and december 31, 2018; 229,817 and 231,132 shares issued at march 31, 2019 and december 31, 2018, respectively; 212,136 and 213,473 shares outstanding at march 31, 2019 and december 31, 2018, respectively                         230,000                                 
  common stock: par value .001 per share; 485,000 shares authorized at december 31, 2018 and 2017; 231,132 and 233,417 shares issued at december 31, 2018 and 2017, respectively; 213,473 and 215,814 shares outstanding at december 31, 2018 and 2017, respectively                          231,000                                
  common stock: par value 0.001 per share; 485,000,000 shares authorized at september 30, 2018 and december 31, 2017; 230,978,401 and 233,416,989 shares issued at september 30, 2018 and december 31, 2017, respectively; 213,333,428 and 215,814,188 shares outstanding at september 30, 2018 and december 31, 2017, respectively                           231,000                               
  goodwill and other intangible assets                            59,179,000 61,465,000 64,212,000 66,967,000 69,857,000 273,068,000 276,228,000 279,400,000 282,703,000 286,069,000 289,417,000 287,334,000 290,640,000 293,798,000 288,240,000                
  common stock: par value 0.001 per share; 485,000,000 shares authorized at june 30, 2018 and december 31, 2017; 230,875,884 and 233,416,989 shares issued at june 30, 2018 and december 31, 2017, respectively; 213,232,370 and 215,814,188 shares outstanding at june 30, 2018 and december 31, 2017, respectively                            231,000                              
  common stock: par value 0.001 per share; 485,000,000 shares authorized at march 31, 2018 and december 31, 2017; 233,160,146 and 233,416,989 shares issued at march 31, 2018 and december 31, 2017, respectively; 215,542,607 and 215,814,188 shares outstanding at march 31, 2018 and december 31, 2017, respectively                             233,000                             
  equity securities available for sale—at fair value                              162,830,000 161,303,000 176,808,000 1,330,000 1,330,000 1,330,000 500,000 500,000 75,430,000 985,000 881,000 143,533,000 143,368,000 142,444,000 302,491,000 245,551,000             
  other invested assets                              334,000 599,000 783,000 973,000 1,195,000 1,293,000 1,516,000 1,582,000 1,714,000 3,783,000 13,620,000 13,953,000 14,585,000 22,749,000 23,001,000 23,122,000 24,016,000 26,778,000 26,789,000 17,737,000 2,531,000 2,616,000 2,841,000 3,352,000 3,931,000 3,850,000 3,972,000 4,336,000 
  long-term debt                              1,027,074,000 1,026,806,000 989,010,000 1,008,777,000 1,069,537,000 1,067,666,000 1,278,051,000 1,286,466,000 1,219,454,000 1,230,246,000 1,224,892,000 1,218,972,000 1,209,926,000     747,929,000 747,849,000 747,692,000 747,615,000 747,540,000 747,393,000 966,658,000 717,038,000 717,579,000 717,514,000 717,461,000 
  common stock: par value .001 per share; 485,000,000 shares authorized at december 31, 2017 and 2016; 233,416,989 and 232,091,921 shares issued at december 31, 2017 and 2016, respectively; 215,814,188 and 214,521,079 shares outstanding at december 31, 2017 and 2016, respectively                              233,000                            
  common stock: par value .001 per share; 485,000,000 shares authorized at september 30, 2017 and december 31, 2016; 232,894,636 and 232,091,921 shares issued at september 30, 2017 and december 31, 2016, respectively; 215,298,551 and 214,521,079 shares outstanding at september 30, 2017 and december 31, 2016, respectively                               233,000                           
  equity component of currently redeemable convertible senior notes                                16,000 883,000      7,737,000 8,546,000 68,982,000 74,690,000                
  common stock: par value .001 per share; 485,000,000 shares authorized at june 30, 2017 and december 31, 2016; 232,757,360 and 232,091,921 shares issued at june 30, 2017 and december 31, 2016, respectively; 215,174,898 and 214,521,079 shares outstanding at june 30, 2017 and december 31, 2016, respectively                                233,000                          
  common stock: par value .001 per share; 485,000,000 shares authorized at march 31, 2017 and december 31, 2016; 232,663,818 and 232,091,921 shares issued at march 31, 2017 and december 31, 2016, respectively; 215,090,781 and 214,521,079 shares outstanding at march 31, 2017 and december 31, 2016, respectively                                 233,000                         
  common stock: par value .001 per share; 485,000,000 shares authorized at december 31, 2016 and 2015; 232,091,921 and 224,432,465 shares issued at december 31, 2016 and 2015, respectively; 214,521,079 and 206,871,768 shares outstanding at december 31, 2016 and 2015, respectively                                  232,000                        
  common stock: par value .001 per share; 485,000,000 shares authorized at september 30, 2016 and december 31, 2015; 231,967,395 and 224,432,465 shares issued at september 30, 2016 and december 31, 2015, respectively; 214,405,103 and 206,871,768 shares outstanding at september 30, 2016 and december 31, 2015, respectively                                   232,000                       
  common stock: par value .001 per share; 485,000,000 shares authorized at june 30, 2016 and december 31, 2015; 231,844,615 and 224,432,465 shares issued at june 30, 2016 and december 31, 2015, respectively; 214,283,918 and 206,871,768 shares outstanding at june 30, 2016 and december 31, 2015, respectively                                    232,000                      
  common stock: par value .001 per share; 485,000,000 shares authorized at march 31, 2016 and december 31, 2015; 231,825,865 and 224,432,465 shares issued at march 31, 2016 and december 31, 2015, respectively; 214,265,168 and 206,871,768 shares outstanding at march 31, 2016 and december 31, 2015, respectively                                     232,000                     
  assets held for sale                                         1,755,873,000 1,736,444,000                
  liabilities held for sale                                         966,078,000 947,008,000                
  common stock: par value .001 per share; 485,000,000 shares authorized at december 31, 2015 and 2014; 224,432,465 and 208,601,020 shares issued at december 31, 2015 and 2014, respectively; 206,871,768 and 191,053,530 shares outstanding at december 31, 2015 and 2014, respectively                                      224,000                    
  common stock: par value .001 per share; 485,000,000 shares authorized at september 30, 2015 and december 31, 2014, respectively; 224,430,472 and 208,601,020 shares issued at september 30, 2015 and december 31, 2014, respectively; 206,869,775 and 191,053,530 shares outstanding at september 30, 2015 and december 31, 2014, respectively                                       224,000                   
  common stock: par value .001 per share; 485,000,000 shares authorized at june 30, 2015 and december 31, 2014, respectively; 226,147,213 and 208,601,020 shares issued at june 30, 2015 and december 31, 2014, respectively; 208,586,516 and 191,053,530 shares outstanding at june 30, 2015 and december 31, 2014, respectively                                        226,000                  
  common stock: par value .001 per share; 485,000,000 shares authorized at march 31, 2015 and december 31, 2014, respectively; 208,974,967 and 208,601,020 shares issued at march 31, 2015 and december 31, 2014, respectively; 191,415,726 and 191,053,530 shares outstanding at march 31, 2015 and december 31, 2014, respectively                                         209,000                 
  fixed-maturities held to maturity—at amortized cost                                                          
  common stock: par value .001 per share; 485,000,000 shares authorized at december 31, 2014 and 2013; 208,601,020 and 190,636,972 shares issued at december 31, 2014 and 2013, respectively; 191,053,530 and 173,099,515 shares outstanding at december 31, 2014 and 2013, respectively                                          209,000                
  fixed maturities held to maturity—at amortized cost                                           31,946,000 46,731,000 47,951,000 65,222,000 74,599,000 78,961,000 91,389,000 108,299,000 118,267,000 145,781,000 156,705,000     
  fixed maturities available for sale—at fair value                                           3,332,811,000 4,577,746,000 4,659,048,000 4,586,674,000 4,587,667,000 4,593,461,000 4,890,629,000 4,774,422,000 4,678,657,000 4,618,883,000 4,389,766,000     
  hybrid securities—at fair value                                           441,431,000 544,723,000 571,919,000 641,107,000 595,424,000 587,384,000          
  short-term investments                                           1,381,455,000 434,617,000 576,610,000 885,442,000 289,752,000 334,074,000 328,164,000 266,369,000 430,504,000 308,206,000 650,523,000 225,497,000 272,062,000 216,787,000 212,450,000 
  investment in affiliates                                           103,291,000 112,683,000 116,969,000 94,144,000 639,571,000 588,323,000 560,570,000 492,175,000 436,685,000 398,054,000 437,765,000 383,023,000 347,404,000 337,795,000 318,398,000 
  property and equipment, at cost                                           17,315,000 23,725,000 22,799,000 26,403,000 29,846,000 32,490,000 43,925,000 46,981,000 47,966,000 58,500,000 62,728,000 66,349,000 70,417,000 68,975,000 72,545,000 
  derivative assets                                           169,993,000 251,003,000 232,759,000             
  reserve for premium deficiency                                           38,677,000 583,543,000              
  long-term debt and other borrowings                                           857,324,000 958,762,000 959,244,000 948,010,000            
  variable interest entity debt—at fair value                                           206,505,000               
  derivative liabilities                                           741,638,000 657,426,000 703,405,000 675,432,000            
  accounts payable and accrued expenses                                           573,366,000 332,234,000 380,988,000 184,636,000 220,661,000 207,887,000 196,234,000 205,264,000 217,292,000 281,388,000 187,021,000 202,223,000 209,901,000 265,188,000 272,406,000 
  common stock: par value .001 per share; 325,000,000 shares authorized; 98,612,288 and 98,223,210 shares issued at march 31, 2009 and december 31, 2008, respectively; 81,414,301 and 81,034,883 shares outstanding at march 31, 2009 and december 31, 2008, respectively                                           99,000               
  accumulated other comprehensive loss                                           -175,617,000               
  variable interest entity debt                                            85,739,000 100,219,000             
  deferred income taxes payable                                             52,360,000 383,172,000 888,667,000 942,167,000          
  common stock: par value .001 per share; 325,000,000 and 200,000,000 shares authorized at june 30, 2008 and december 31, 2007; 97,631,763 shares issued at june 30, 2008 and december 31, 2007; 80,405,377 and 80,412,974 shares outstanding at june 30, 2008 and december 31, 2007, respectively                                            98,000              
  reserve for second-lien premium deficiency                                             213,736,000 155,176,000            
  common stock: par value .001 per share; 200,000,000 shares authorized; 97,631,763 shares issued at march 31, 2008 and december 31, 2007; 80,460,406 and 80,412,974 shares outstanding at march 31, 2008 and december 31, 2007, respectively                                             98,000             
  provisional losses recoverable                                                 12,293,000 12,110,000 11,905,000 24,963,000 24,648,000 24,284,000 36,679,000 36,230,000 35,641,000 
  current income taxes payable                                              280,971,000 220,951,000 224,999,000          
  common stock: par value .001 per share; 200,000,000 shares authorized; 97,631,763 and 97,625,407 shares issued at september 30, 2007 and december 31, 2006, respectively; 80,429,181 and 79,401,691 shares outstanding at september 30, 2007 and december 31, 2006, respectively                                              97,000            
  common stock: par value .001 per share; 200,000,000 shares authorized; 97,631,763 and 97,625,407 shares issued at june 30, 2007 and december 31, 2006, respectively; 80,393,796 and 79,401,691 shares outstanding at june 30, 2007 and december 31, 2006, respectively                                               97,000           
  common stock: par value .001 per share; 200,000,000 shares authorized; 97,631,657 and 97,625,407 shares issued at march 31, 2007 and december 31, 2006, respectively; 80,285,430 and 79,401,691 shares outstanding at march 31, 2007 and december 31, 2006, respectively                                                97,000          
  deferred federal income taxes                                                 1,071,002,000 1,020,720,000 1,008,119,000 863,859,000 870,129,000 823,305,000 769,342,000 700,252,000 723,885,000 
  common stock: par value .001 per share; 200,000,000 shares authorized; 97,570,373 and 97,373,169 shares issued at september 30, 2006 and december 31, 2005, respectively; 80,777,307 and 83,032,456 shares outstanding at september 30, 2006 and december 31, 2005, respectively                                                 97,000         
  deferred compensation                                                    -2,038,000 -1,747,000     
  common stock: par value .001 per share; 200,000,000 shares authorized; 97,473,548 and 97,373,169 shares issued at june 30, 2006 and december 31, 2005, respectively; 81,583,869 and 83,032,456 shares outstanding at june 30, 2006 and december 31, 2005, respectively                                                  97,000        
  common stock: par value .001 per share; 200,000,000 shares authorized; 97,440,198 and 97,373,169 shares issued at march 31, 2006 and december 31, 2005, respectively; 82,440,466 and 83,032,456 shares outstanding at march 31, 2006 and december 31, 2005, respectively                                                   97,000       
  common stock: par value .001 per share; 200,000,000 shares authorized; 97,120,577 and 96,560,912 shares issued in 2005 and 2004, respectively                                                    97,000      
  common stock: par value .001 per share; 200,000,000 shares authorized; 96,780,148 and 96,560,912 shares issued in 2005 and 2004, respectively                                                     97,000     
  fixed maturities held to maturity – at amortized cost                                                      170,717,000 187,152,000 232,723,000 258,399,000 
  fixed maturities available for sale – at fair value                                                      4,419,572,000 4,467,054,000 4,321,143,000 4,371,612,000 
  trading securities – at fair value                                                      95,065,000 48,947,000 60,340,000 52,269,000 
  equity securities – at fair value                                                      308,435,000 294,695,000 235,234,000 231,097,000 
  common stock: par value .001 per share; 200,000,000 shares authorized; 96,685,308 and 96,560,912 shares issued in 2005 and 2004, respectively                                                      97,000    
  current income taxes                                                         41,432,000 
  common stockholders’ equity                                                          
  common stock: par value .001 per share; 200,000,000 shares authorized; 96,229,486 and 95,851,346 shares issued in 2004 and 2003, respectively                                                       96,000   
  common stock: par value .001 per share; 200,000,000 shares authorized; 96,202,153 and 95,851,346 shares issued in 2004 and 2003, respectively                                                        96,000  
  common stock: par value .001 per share; 200,000,000 shares authorized; 96,091,407 and 95,851,346 shares issued in 2004 and 2003, respectively                                                         96,000 

We provide you with 20 years of balance sheets for Radian Group stock, allowing you to gain comprehensive visibility into the fundamentals of the company. Our detailed breakdowns include key financial metrics such as asset and liabilities, payables and receivables, long debts and short debts, cash and inventories, expenses and profits. This in-depth information is essential for making informed investment decisions and understanding the financial health and performance of Radian Group. Explore the full financial landscape of Radian Group stock with our expertly curated balance sheets.

The information provided in this report about Radian Group stock is taken from www.sec.gov and many other data providers. While we have conducted our best efforts to ensure that the parsed data is accurate, we cannot guarantee its accuracy. Please use caution and understand that any consequences of its use are your own responsibility.