Dividends of Radian Group (id:9227 RDN)
Comperitors' Dividend Yield
Company | Market Cap USD | Dividend yield | Payout ratio | CAGR 3 years | CAGR 5 years | ||
---|---|---|---|---|---|---|---|
Ryan Specialty Group Holdings, | 19.25B | 0.598 % | 42.86 % | 0.000 % | 0.000 % | ||
Fidelity National Financial | 16.62B | 3.10 % | 69.82 % | 10.67 % | 8.81 % | ||
Axis Capital Holdings Ltd | 7.42B | 1.94 % | 24.38 % | -7.17 % | -3.41 % | ||
First American Financial | 6.97B | 3.11 % | 242.05 % | -4.10 % | -0.378 % | ||
MGIC Investment | 6.46B | 1.97 % | 16.78 % | 21.46 % | 0.000 % | ||
Essent Group Ltd | 6.03B | 1.93 % | 15.80 % | 5.43 % | 0.000 % | ||
AdvisorShares Vice ETF | 5.21B | 1.84 % | 16.08 % | 0.000 % | 0.000 % | ||
Radian Group | 5.07B | 2.75 % | 24.87 % | 10.52 % | 132.20 % | ||
Assured Guaranty Ltd | 4.74B | 1.30 % | 9.49 % | 1.64 % | 5.59 % | ||
NMI Holdings | 3.06B | 0.000 % | 0.000 % | 0.000 % |
Boxes
Dividend Yield
2.75 %
Payout Ratio
24.87 %
Compound average growth rate 3 years
10.52 %
Dividend Increase Track Record
0 Years
Latest Dividend
December 10th, 2024
Ex-Dividend Date
November 25th, 2024
Payout frequency
3 yearly payouts
Dividend Yield vs Market (countryid: 6, industryId: 202, sectorId: 1 )
Payout Ratio vs Market
Dividend Yield Range
Yield on cost
Dividend payout history
Dividend yield history
Dividend history
Year | Amount | Type | Date |
---|---|---|---|
2024 | 0.245 | Regular | 08-26-2024 |
0.245 | Regular | 06-04-2024 | |
0.245 | Regular | 02-23-2024 | |
2023 | 0.225 | Regular | 11-24-2023 |
0.225 | Regular | 05-26-2023 | |
0.225 | Regular | 02-24-2023 | |
2022 | 0.200 | Regular | 11-18-2022 |
0.200 | Regular | 08-19-2022 | |
0.200 | Regular | 05-20-2022 | |
0.200 | Regular | 02-17-2022 | |
2021 | 0.140 | Regular | 11-19-2021 |
0.140 | Regular | 08-20-2021 | |
0.140 | Regular | 05-21-2021 | |
0.125 | Regular | 02-19-2021 | |
2020 | 0.125 | Regular | 11-20-2020 |
0.125 | Regular | 08-21-2020 | |
0.125 | Regular | 05-22-2020 | |
0.125 | Regular | 02-21-2020 | |
2019 | 0.002 | Regular | 11-22-2019 |
0.002 | Regular | 08-23-2019 | |
0.002 | Regular | 05-23-2019 | |
0.002 | Regular | 02-14-2019 | |
2018 | 0.002 | Regular | 11-23-2018 |
0.002 | Regular | 08-24-2018 | |
0.002 | Regular | 05-18-2018 | |
0.002 | Regular | 02-23-2018 | |
2017 | 0.002 | Regular | 11-24-2017 |
0.002 | Regular | 08-17-2017 | |
0.002 | Regular | 05-18-2017 | |
0.002 | Regular | 02-23-2017 | |
2016 | 0.002 | Regular | 11-17-2016 |
0.002 | Regular | 08-18-2016 | |
0.002 | Regular | 05-19-2016 | |
0.002 | Regular | 02-18-2016 | |
2015 | 0.002 | Regular | 11-19-2015 |
0.002 | Regular | 08-20-2015 | |
0.002 | Regular | 05-21-2015 | |
0.002 | Regular | 02-12-2015 | |
2014 | 0.002 | Regular | 11-20-2014 |
0.002 | Regular | 08-21-2014 | |
0.002 | Regular | 05-22-2014 | |
0.002 | Regular | 02-21-2014 | |
2013 | 0.002 | Regular | 11-21-2013 |
0.002 | Regular | 08-22-2013 | |
0.002 | Regular | 05-23-2013 | |
0.002 | Regular | 02-21-2013 | |
2012 | 0.002 | Regular | 11-21-2012 |
0.002 | Regular | 08-23-2012 | |
0.002 | Regular | 05-17-2012 | |
0.002 | Regular | 02-23-2012 | |
2011 | 0.002 | Regular | 11-17-2011 |
0.002 | Regular | 08-18-2011 | |
0.002 | Regular | 05-19-2011 | |
0.002 | Regular | 02-16-2011 | |
2010 | 0.002 | Regular | 11-18-2010 |
0.002 | Regular | 08-19-2010 | |
0.002 | Regular | 05-20-2010 | |
0.002 | Regular | 02-18-2010 | |
2009 | 0.002 | Regular | 11-19-2009 |
0.002 | Regular | 08-20-2009 | |
0.002 | Regular | 05-20-2009 | |
0.002 | Regular | 02-19-2009 | |
2008 | 0.002 | Regular | 11-20-2008 |
0.002 | Regular | 08-15-2008 | |
0.020 | Regular | 05-14-2008 | |
0.020 | Regular | 02-20-2008 | |
2007 | 0.020 | Regular | 11-14-2007 |
0.020 | Regular | 08-15-2007 | |
0.020 | Regular | 05-16-2007 | |
0.020 | Regular | 02-14-2007 | |
2006 | 0.020 | Regular | 11-24-2006 |
0.020 | Regular | 08-16-2006 | |
0.020 | Regular | 05-17-2006 | |
0.020 | Regular | 02-15-2006 | |
2005 | 0.020 | Regular | 11-21-2005 |
0.020 | Regular | 08-19-2005 | |
0.020 | Regular | 05-20-2005 | |
0.020 | Regular | 02-18-2005 | |
2004 | 0.020 | Regular | 11-22-2004 |
0.020 | Regular | 08-23-2004 | |
0.020 | Regular | 05-24-2004 | |
0.000 | Special | 03-04-2004 | |
0.020 | Regular | 02-23-2004 | |
2003 | 0.020 | Regular | 11-24-2003 |
0.020 | Regular | 08-18-2003 | |
0.020 | Regular | 05-23-2003 | |
0.020 | Regular | 02-12-2003 | |
2002 | 0.020 | Regular | 11-18-2002 |
0.020 | Regular | 08-19-2002 | |
0.020 | Regular | 05-20-2002 | |
0.020 | Regular | 02-15-2002 | |
2001 | 0.020 | Regular | 11-09-2001 |
0.020 | Regular | 08-16-2001 | |
0.020 | Regular | 06-12-2001 | |
0.030 | Regular | 02-13-2001 | |
2000 | 0.030 | Regular | 11-02-2000 |
0.030 | Regular | 08-01-2000 | |
0.030 | Regular | 05-03-2000 | |
0.030 | Regular | 01-31-2000 | |
1999 | 0.030 | Regular | 11-02-1999 |
0.030 | Regular | 08-03-1999 | |
0.030 | Regular | 05-03-1999 | |
0.030 | Regular | 01-29-1999 | |
1998 | 0.030 | Regular | 11-04-1998 |
0.030 | Regular | 08-03-1998 | |
0.030 | Regular | 05-01-1998 | |
0.030 | Regular | 01-30-1998 | |
1997 | 0.030 | Regular | 11-05-1997 |
0.030 | Regular | 08-01-1997 | |
0.030 | Regular | 05-02-1997 | |
0.030 | Regular | 02-05-1997 | |
1996 | 0.060 | Regular | 11-05-1996 |
0.050 | Regular | 08-01-1996 | |
0.050 | Regular | 05-02-1996 | |
0.050 | Regular | 02-01-1996 | |
1995 | 0.050 | Regular | 11-03-1995 |
0.050 | Regular | 08-02-1995 | |
0.050 | Regular | 05-09-1995 |
DividendIncreaseOrDecrease
Dividend table
Chowder Number | 134.95 % (Good, because Chowder number is larger than 15%) |
Compound Average Growth Rate for last 3 years cal | 10.52 % |
Compound Average Growth Rate for last 3 years | 10.52 % |
Compound Average Growth Rate for last 5 years | 132.20 % |
Compound Average Growth Rate for last 10 years | 52.38 % |
Dividend growth | 0 years |
Dividend growth average for all Insurance Specialty stocks | 0.708 years (24 stocks) |
Dividend growth average for United States Insurance Specialty stocks | 1.00 years (16 stocks) |
forward_annual_dividend_rate | 0.980 USD |
forward_annual_dividend_yield | 2.75 % |
forward_annual_dividend_yield average for all Insurance Specialty stocks | 29.26 % (24 stocks) |
forward_annual_dividend_yield average for United States Insurance Specialty stocks | 43.19 % (16 stocks) |
trailing_annual_dividend_rate | 0.960 USD |
trailing_annual_dividend_yield | 2.77 % |
trailing_annual_dividend_yield average for all Insurance Specialty stocks | 0.012 % (24 stocks) |
trailing_annual_dividend_yield average for United States Insurance Specialty stocks | 0.012 % (16 stocks) |
5_year_average_dividend_yield | 2.63 % |
5_year_average_dividend_yield average for all Insurance Specialty stocks | 2.57 % (24 stocks) |
5_year_average_dividend_yield average for United States Insurance Specialty stocks | 2.61 % (16 stocks) |
payout_ratio | 24.87 % |
payout_ratio average for all Insurance Specialty stocks | 28.45 % (24 stocks) |
payout_ratio average for United States Insurance Specialty stocks | 32.20 % (16 stocks) |
dividend_date | 12-10-2024 |
ex_dividend_date | 11-25-2024 |
Self funded chart
Years before free
Years before free | 0 |
Year free | 2024 |
Self funded table
Year number | Year | Sum |
---|---|---|
1 | 2025 | 0.960 |
2 | 2026 | 3.19 |
3 | 2027 | 8.37 |
4 | 2028 | 20.38 |
5 | 2029 | 48.29 |
DividentYearsScore: 0
Dividened Top table
Fidelity National Financial Inc | 9 |
AVG | 9 |
Dividened Bottom table
Just Group plc | 1 |
AVG | 1 |
Monthly Dividends
The table displays the monthly dividend distributions for Radian Group Inc. The dividends shown in the table have been adjusted to account for any splits that may have occurred.
January | February | March | April | May | June | July | August | September | October | November | December | Total | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|
2014 |
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.01 USD |
2015 |
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.01 USD |
2016 |
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.01 USD |
2017 |
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.01 USD |
2018 |
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.01 USD |
2019 |
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.01 USD |
2020 |
0.00 USD
|
0.12 USD
|
0.00 USD
|
0.00 USD
|
0.12 USD
|
0.00 USD
|
0.00 USD
|
0.12 USD
|
0.00 USD
|
0.00 USD
|
0.12 USD
|
0.00 USD
|
0.50 USD |
2021 |
0.00 USD
|
0.12 USD
|
0.00 USD
|
0.00 USD
|
0.14 USD
|
0.00 USD
|
0.00 USD
|
0.14 USD
|
0.00 USD
|
0.00 USD
|
0.14 USD
|
0.00 USD
|
0.54 USD |
2022 |
0.00 USD
|
0.20 USD
|
0.00 USD
|
0.00 USD
|
0.20 USD
|
0.00 USD
|
0.00 USD
|
0.20 USD
|
0.00 USD
|
0.00 USD
|
0.20 USD
|
0.00 USD
|
0.80 USD |
2023 |
0.00 USD
|
0.22 USD
|
0.00 USD
|
0.00 USD
|
0.22 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.00 USD
|
0.22 USD
|
0.00 USD
|
0.68 USD |
FAQ
Yes, Radian Group Inc pays a dividend. The dividend was last paid on the December 10th, 2024.
The last dividend paid by Radian Group Inc was USD 0.960 per share on December 10th, 2024.
The last dividend paid by Radian Group Inc was 0.000 USD per share on March 04th, 2004.
Radian Group Inc next scheduled ex-dividend date is November 25th, 2024.
Radian Group Inc has been paying dividends for the past 2 years.
Yes, Radian Group Inc has a history of special dividend payouts, with the last special dividend issued on March 04th, 2004.
The payout ratio of Radian Group Inc is 24.87%, meaning that 24.87% of the profits are paid out as dividends.
Radian Group Inc dividend payout ratio of 24.87% is below the industry average of 28.45%.