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Palomar Holdings, Inc. (PLMR) Cash From Financing

Annual CFF:

$73.77M+$77.71M(+1972.44%)
December 31, 2024

Summary

  • As of today, PLMR annual cash from financing is $73.77 million, with the most recent change of +$77.71 million (+1972.44%) on December 31, 2024.
  • During the last 3 years, PLMR annual cash from financing has risen by +$86.81 million (+665.71%).
  • PLMR annual cash from financing is now -42.51% below its all-time high of $128.33 million, reached on December 31, 2020.

Performance

PLMR Cash From Financing Chart

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Range

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Quarterly CFF:

N/A
September 30, 2025

Summary

  • PLMR quarterly cash from financing is not available.

Performance

PLMR Quarterly Cash From Financing Chart

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TTM CFF:

N/A
September 30, 2025

Summary

  • PLMR TTM cash from financing is not available.

Performance

PLMR TTM Cash From Financing Chart

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Cash From Financing Formula

CFF = Cash Inflows from Financing Activities − Cash Outflows from Financing Activities

PLMR Cash From Financing Trends

PeriodPeriodAnnualAnnualQuarterlyQuarterlyTTMTTM
1Y1 Year+1972.4%--
3Y3 Years+665.7%--
5Y5 Years+18.4%--

PLMR Cash From Financing Highs & Lows

PeriodPeriodAnnual vs HighAnnual vs HighAnnual vs LowAnnual vs LowQuarter. vs HighQuarter. vs HighQuarter. vs LowQuarter. vs LowTTM vs HighTTM vs HighTTM vs LowTTM vs Low
3Y3-Yearat high+665.7%
5Y5-Year-42.5%+665.7%
All-TimeAll-Time-42.5%+665.7%

PLMR Cash From Financing History

DateAnnualQuarterlyTTM
Jun 2025
-
$1.86M(-47.5%)
$126.27M(+50.0%)
Mar 2025
-
$3.55M(+32.5%)
$84.20M(+14.1%)
Dec 2024
$73.77M(+1972.4%)
$2.68M(-97.7%)
$73.77M(+2.9%)
Sep 2024
-
$118.18M(+394.0%)
$71.71M(+200.8%)
Jun 2024
-
-$40.20M(-484.1%)
-$71.17M(-80.3%)
Mar 2024
-
-$6.88M(-1217.2%)
-$39.48M(-902.1%)
Dec 2023
-$3.94M(-178.5%)
$616.00K(+102.5%)
-$3.94M(+29.5%)
Sep 2023
-
-$24.70M(-190.1%)
-$5.59M(-127.5%)
Jun 2023
-
-$8.52M(-129.7%)
$20.33M(-35.0%)
Mar 2023
-
$28.66M(+2871.7%)
$31.28M(+523.5%)
Dec 2022
$5.02M(+138.5%)
-$1.03M(-185.0%)
$5.02M(-21.4%)
Sep 2022
-
$1.22M(-50.1%)
$6.39M(+4.9%)
Jun 2022
-
$2.44M(+1.7%)
$6.09M(+151.0%)
Mar 2022
-
$2.40M(+613.4%)
-$11.94M(+8.4%)
Dec 2021
-$13.04M
$336.00K(-63.4%)
-$13.04M(+0.3%)
Sep 2021
-
$917.00K(+105.9%)
-$13.08M(+0.3%)
DateAnnualQuarterlyTTM
Jun 2021
-
-$15.59M(-1299.5%)
-$13.12M(-114.0%)
Mar 2021
-
$1.30M(+331.9%)
$93.75M(-26.9%)
Dec 2020
$128.33M(+106.0%)
$301.00K(-65.6%)
$128.33M(+0.2%)
Sep 2020
-
$876.00K(-99.0%)
$128.03M(+0.7%)
Jun 2020
-
$91.27M(+154.4%)
$127.14M(+23.1%)
Mar 2020
-
$35.88M(>+9900.0%)
$103.29M(+65.8%)
Dec 2019
$62.29M(+3921.4%)
-$1000.00(+91.7%)
$62.29M(-0.0%)
Sep 2019
-
-$12.00K(-100.0%)
$62.29M(-2.4%)
Jun 2019
-
$67.42M(+1416.9%)
$63.85M(+1888.1%)
Mar 2019
-
-$5.12M(>-9900.0%)
-$3.57M(-330.5%)
Dec 2018
$1.55M(>+9900.0%)
$0.00(-100.0%)
$1.55M(0.0%)
Sep 2018
-
$1.55M(>+9900.0%)
$1.55M(>+9900.0%)
Jun 2018
-
$0.00(0.0%)
$0.00(0.0%)
Mar 2018
-
$0.00
$0.00
Dec 2017
$0.00(0.0%)
-
-
Dec 2016
$0.00
-
-

FAQ

  • What is Palomar Holdings, Inc. annual cash from financing?
  • What is the all-time high annual cash from financing for Palomar Holdings, Inc.?
  • What is Palomar Holdings, Inc. annual cash from financing year-on-year change?
  • What is the all-time high quarterly cash from financing for Palomar Holdings, Inc.?
  • What is the all-time high TTM cash from financing for Palomar Holdings, Inc.?

What is Palomar Holdings, Inc. annual cash from financing?

The current annual cash from financing of PLMR is $73.77M

What is the all-time high annual cash from financing for Palomar Holdings, Inc.?

Palomar Holdings, Inc. all-time high annual cash from financing is $128.33M

What is Palomar Holdings, Inc. annual cash from financing year-on-year change?

Over the past year, PLMR annual cash from financing has changed by +$77.71M (+1972.44%)

What is the all-time high quarterly cash from financing for Palomar Holdings, Inc.?

Palomar Holdings, Inc. all-time high quarterly cash from financing is $118.18M

What is the all-time high TTM cash from financing for Palomar Holdings, Inc.?

Palomar Holdings, Inc. all-time high TTM cash from financing is $128.33M
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