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RadNet RDNT Increase Decrease In Fair Value Of Hedged Item In Interest Rate Fair Value Hedge1

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Other financials

Income statement

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Revenue$575.6M+22.1%
Operating income-$23.9M+0.8%
Net income-$33.5M+11.8%
EPS (diluted)-$0.43+15.7%

Balance sheet

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Cash & equivalents$455.3M-36.5%
Total debt$1.9B+10.8%
Total equity$1.1B+20.3%
Total assets$3.9B+16.5%

Cash flow

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Operating cash flow$79.0M+90.4%
CapEx$69.9M+43.2%
Free cash flow$9.0M+223%

Valuation

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Market cap$4.42B+17.8%

Profitability

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Gross margin13.4%
Operating margin2.9%-0.8pp
Net margin-0.7%-0.3pp
FCF margin5.1%+0.9pp

Returns & leverage

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Return on equity-1.4%-0.5pp
Debt / equity1.8×-0.2×
Current ratio1.2×-0.8×

Where this comes from

Reported directly by RadNet in its filing.

Tagged under the XBRL concept us-gaap:IncreaseDecreaseInFairValueOfHedgedItemInInterestRateFairValueHedge1.

The official record: RadNet’s 10-Q, filed May 11, 2026, on SEC EDGAR. View the filing →

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Questions, answered.

What is RadNet's increase decrease in fair value of hedged item in interest rate fair value hedge1?
RadNet (RDNT) reported increase decrease in fair value of hedged item in interest rate fair value hedge1 of $0 in Q1 2026.
How has RadNet's increase decrease in fair value of hedged item in interest rate fair value hedge1 changed year-over-year?
RadNet's increase decrease in fair value of hedged item in interest rate fair value hedge1 increased by 100.0% year-over-year, from -$2.11M to $0.
What is the long-term trend for RadNet's increase decrease in fair value of hedged item in interest rate fair value hedge1?
Over 4 years (2021 to 2025), RadNet's increase decrease in fair value of hedged item in interest rate fair value hedge1 has grown at a -24.3% compound annual growth rate (CAGR), from $21.67M to -$7.11M.
What does increase decrease in fair value of hedged item in interest rate fair value hedge1 mean?
This represents the periodic change in the fair value of financial instruments designated as hedged items within a fair value hedge relationship. It is used to offset the volatility caused by changes in market interest rates or other underlying risk factors on the company's debt or financial liabilities. Analyzing this helps investors understand the effectiveness of the company's interest rate risk management strategy.