RADNET, INC. Cash Flow Charts

2 years of history · ending 2025-12-31 · SEC EDGAR

Source:10-K · 10-Q

Capital Allocation

How management deploys cash: investing in the business (Capex + M&A) vs returning to shareholders (Buybacks + Dividends).

Buybacks vs Stock-Based Comp

Net Debt Issuance

Cash Flow

Cash Flow by Activity

Operating Cash Flow
$299M
Free Cash Flow
$299M
Investing Cash Flow
$-344M
Financing Cash Flow
$72M
Capex
Stock-Based Comp
$55M
Debt Issued
$99M
Debt Repaid
D&A
$152M
SBC Allocated Expense
$55M
SBC Unrecognized Cost