RADIAN GROUP INC - Common (RDN)

Historical Holders from Q1 2014 to Q3 2025

Symbol
RDN on NYSE
CUSIP
750236101
Type / Class
Equity / Common
Shares outstanding
145M
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
128M
Holdings value
$4.6B
% of all portfolios
0.003%
Grand Portfolio weight change
0%
Number of holders
345
Number of buys
134
Number of sells
-184
Average Value change %
0%
Average buys %
+0%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of RADIAN GROUP INC - Common (RDN)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 14.1% $639M 21M BlackRock, Inc. Dec 31, 2024
FIRST TRUST PORTFOLIOS LP 1.98% $87.5M 2.87M First Trust Portfolios L.P. Mar 31, 2025

Institutional Holders of RADIAN GROUP INC - Common (RDN)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 2.5M $90.5M -$6.91M $36.22 24
2025 Q2 128M $4.6B -$168M $36.02 345
2025 Q1 133M $4.39B -$333M $33.07 338
2024 Q4 141M $4.47B +$81.7M $31.72 324
2024 Q3 138M $4.79B -$152M $34.69 323
2024 Q2 142M $4.42B -$13M $31.10 320
2024 Q1 142M $4.77B +$11.1M $33.47 319
2023 Q4 121K $3.44M +$149K $28.55 3
2023 Q3 146M $3.66B -$133M $25.11 292
2023 Q2 153M $3.87B -$261M $25.28 280
2023 Q1 163M $3.6B +$372M $22.10 267
2022 Q4 148M $2.83B -$24.9M $19.07 273
2022 Q3 147M $2.84B -$371M $19.29 250
2022 Q2 162M $3.19B -$106M $19.65 246
2022 Q1 167M $3.71B +$48.9M $22.21 271
2021 Q4 166M $3.5B -$179M $21.13 242
2021 Q3 174M $3.95B -$193M $22.72 237
2021 Q2 184M $4.09B -$18.4M $22.25 238
2021 Q1 185M $4.29B -$155M $23.25 231
2020 Q4 192M $3.88B +$124M $20.25 242
2020 Q3 184M $2.69B +$41.8M $14.61 245
2020 Q2 181M $2.81B +$14.4M $15.51 263
2020 Q1 179M $2.32B -$129M $12.95 262
2019 Q4 189M $4.74B -$46.4M $25.16 297
2019 Q3 191M $4.35B -$49.3M $22.84 270
2019 Q2 193M $4.4B +$13.4M $22.85 265
2019 Q1 196M $4.06B -$85.8M $20.74 245
2018 Q4 198M $3.24B -$687K $16.36 249
2018 Q3 198M $4.08B +$5.3M $20.67 242
2018 Q2 199M $3.22B -$22.8M $16.22 238
2018 Q1 203M $3.85B +$8.59M $19.04 237
2017 Q4 204M $4.2B +$63.6M $20.61 255
2017 Q3 200M $3.74B +$68.1M $18.69 230
2017 Q2 195M $3.19B -$79.5M $16.35 227
2017 Q1 200M $3.6B +$275M $17.96 230
2016 Q4 199M $3.58B -$9.24M $17.98 224
2016 Q3 201M $2.72B +$11M $13.55 205
2016 Q2 202M $2.11B -$14.3M $10.42 203
2016 Q1 202M $2.51B -$15.4M $12.40 188
2015 Q4 204M $2.73B -$20.2M $13.39 199
2015 Q3 200M $3.18B -$118M $15.91 203
2015 Q2 207M $3.88B +$34.2M $18.76 194
2015 Q1 208M $3.48B +$12.4M $16.79 194
2014 Q4 208M $3.47B +$279M $16.72 215
2014 Q3 202M $2.87B +$154M $14.26 187
2014 Q2 191M $2.82B +$124M $14.81 193
2014 Q1 169M $2.54B +$60.3M $15.03 169