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Net cash provided by
(used in) operating...
$145,791K
Net cash provided by
(used in) operating...
$139,228K
Net cash provided by
(used in) operating...
$285,019K
Effect of exchange rate
changes on cash and...
$841K
Proceeds from credit
facility borrowings
$200,000K
Proceeds (repayments) of
fhlb advances, net...
$18,250K
Proceeds (repayments)
related to cash...
$14,954K
Proceeds from fhlb
advances (with terms...
$4,580K
Issuance of common stock
$153K
Increase (decrease) in
cash and restricted...
$49,821K
Canceled cashflow
$236,039K
Net cash provided by
(used in) investing...
$29,222K
Net cash provided by
(used in) financing...
$84,957K
Canceled cashflow
$152,980K
Net cash provided by
(used in) investing...
-$180,627K
Net cash provided by
(used in) financing...
-$55,412K
Canceled cashflow
$29,222K
Canceled cashflow
$84,957K
Short-term investments,
net
-$1,498,239K
Proceeds From Sale Of
Available For Sale...
$300,591K
Proceeds From Maturities
Prepayments And Calls Of...
$215,186K
Proceeds From Sale Of
$11,980K
Maturities Repayments And
Calls
$9,923K
Sale
$9,298K
Repurchases of common stock,
including excise taxes...
$50,014K
Repayments of credit
facility borrowings
$50,000K
Dividends and dividend
equivalents paid
$35,307K
Repayments of fhlb advances
(with terms greater...
$13,935K
Letters of credit and
credit facility...
-$3,724K
Net cash provided by
(used in) investing...
-$209,849K
Net cash provided by
(used in) financing...
-$140,369K
Canceled cashflow
$2,045,217K
Acquisition, net of cash
acquired
$1,567,435K
Payments To Acquire
Available For Sale...
$673,898K
Payments To Acquire
$12,849K
Additions to property and
equipment
$749K
Other assets and other
invested assets, net
$135K
Back
Back
Cash Flow
RADIAN GROUP INC (RDN)
RADIAN GROUP INC (RDN)
source: myfinsight.com