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Radware Ltd.

RDWR | NASDAQ
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$29.50
+$0.37 (+1.27%)
At close: Sep 21, 2026, 4:00 PM ET
$29.23
-$0.27 (-0.92%)
Pre-market: Sep 22, 2026, 9:06 AM ET
Fiscal Year
Period Ending
FY 2025
Dec 30, 2025
FY 2024
Dec 30, 2024
FY 2023
Dec 30, 2023
FY 2022
Dec 30, 2022
FY 2021
Dec 30, 2021
FY 2020
Dec 30, 2020
Cash & Equivalents
105.08M 98.71M 70.54M 46.19M 92.51M 54.77M
Short-Term Investments
152.18M 177.07M 260.05M 251.86M 195.38M 255.72M
Long-Term Investments
206.15M 146.05M 35.3M 136.06M 177.93M 138.26M
Other Long-Term Assets
40.64M 37.91M 37.97M 41.27M 37.33M 30.22M
Receivables
35.02M 16.82M 20.27M 17.75M 13.19M 16.85M
Inventory
13.22M 14.03M 15.54M 11.43M 11.58M 13.94M
Other Current Assets
11M 14.24M 9.53M 8.65M 7.54M 6.71M
Total Current Assets
316.51M 320.88M 375.93M 335.87M 320.2M 347.98M
Property-Plant & Equipment
32.08M 34.09M 39M 44.15M 45.07M 50.8M
Goodwill & Intangibles
75.79M 79.76M 83.73M 87.69M 51.88M 53.73M
Total Long-Term Assets
354.66M 297.8M 195.99M 309.17M 314.66M 275.46M
Total Assets
671.17M 618.68M 571.92M 643.59M 635.37M 623.27M
Account Payables
7.23M 5.58M 4.3M 6.46M 4.31M 3.88M
Deferred Revenue
n/a 106.3M 105.01M 108.24M 99.92M 92.13M
Short-Term Debt
n/a n/a n/a n/a n/a n/a
Other Current Liabilities
181.41M 32.02M 10.43M 32.38M 26.28M 27.01M
Total Current Liabilities
193.7M 168.47M 155.02M 164.04M 165.89M 143.75M
Long-Term Debt
n/a n/a n/a n/a n/a n/a
Other Long-Term Liabilities
74.82M 14.9M 17.11M 19.43M 10.07M 11.41M
Total Long-Term Liabilities
86.79M 93.13M 93.63M 111.11M 99.49M 91.06M
Total Liabilities
280.48M 261.6M 248.64M 275.15M 265.38M 234.8M
Total Debt
17.02M 18.27M 20.7M 24.15M 27.45M 30.08M
Book Value
390.68M 357.08M 323.27M 368.44M 369.99M 388.46M
Book Value Per Share
8.74 8.23 7.54 8.20 7.79 8.14
Common Stock
770K 754K 742K 732K 730K 721K
Retained Earnings
146.11M 125.85M 119.81M 141.4M 141.57M 133.76M
Comprehensive Income
1.39M 1.1M 77K -4.84M -455K 1.52M
Shareholders Equity
349.36M 316.27M 284.09M 332.16M 369.99M 388.46M
Total Investments
358.33M 323.12M 295.35M 387.92M 373.31M 393.98M

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