Skip to content

RadNet RDNT Balance Sheet Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$455.34M-36.5%$767.22M+3.7%$804.72M+7.5%$833.15M+12.3%$717.32M+36.1%
$209.09M+4.5%$200.32M+7.8%$210.55M+5.8%$199.99M+2.4%$200.13M+5.6%
$740.78M-27.1%$1.03B+1.3%$1.08B+6.1%$1.09B+8.9%$1.02B+27.6%
$862.06M+21.7%$807.7M+16.3%$780.5M+17.6%$741.38M+13.6%$708.25M+14.4%
$1.09B+52.6%$907.66M+27.7%$827.53M+16.3%$751.51M+6.0%$717.48M+3.3%
$253.48M+218%$148.51M+82.6%$124.91M+47.9%$91.08M+8.4%$79.74M-8.2%
$3.89B+16.5%$3.76B+14.4%$3.67B+11.9%$3.51B+8.8%$3.34B+12.3%
$454.6M+23.5%$422.03M+20.1%$419.21M+23.8%$406.69M+14.9%$368M+13.4%
$11.98M+251%$7.27M+121%$8.17M+86.0%$3.43M-23.1%$3.42M-23.7%
$26.51M+7.4%$25.42M+3.0%$25.45M+8.9%$25.48M+5.2%$24.68M+22.2%
$40.46M+11.6%$40.29M+16.5%$43.01M-5.0%$42.78M-16.7%$36.26M-32.2%
$635.63M+25.8%$586.76M+22.3%$574.91M+22.3%$546.21M+15.2%$505.4M+18.1%
$1.06B+7.6%$1.06B+7.4%$1.07B+7.5%$1.08B+7.5%$985.45M+21.0%
$2.53B+15.1%$2.4B+11.6%$2.35B+9.1%$2.34B+9.3%$2.2B+16.3%
200M0.0%200M+2,857,043%200M0.0%200M0.0%200M0.0%
-$128.9M-12.4%-$95.44M-24.3%-$94.84M-15.5%-$100.26M-17.5%-$114.71M-39.3%
$1.08B+20.3%$1.09B+20.8%$1.06B+18.2%$932.31M+5.8%$898.14M+2.9%
$3.89B+16.5%$3.76B+14.4%$3.67B+11.9%$3.51B+8.8%$3.34B+12.3%

Chart any of these lines over time, or line them up against competitors.

Compare these in charts →

Questions, answered.

Can RadNet cover its short-term obligations?
Its current ratio is 1.17 — current assets exceed current liabilities.
Where does RadNet's balance sheet data come from?
Every line is extracted from RadNet's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.