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Palomar Holdings (PLMR) Cash From Operations

Annual CFO

$116.11 M
-$53.48 M-31.53%

December 31, 2023


Summary


Performance

PLMR Cash From Operations Chart

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Quarterly CFO

$100.27 M
+$45.14 M+81.89%

September 30, 2024


Summary


Performance

PLMR Quarterly CFO Chart

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TTM CFO

$210.79 M
+$29.64 M+16.36%

September 30, 2024


Summary


Performance

PLMR TTM CFO Chart

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Cash From Operations Formula

CFO = Net Income + Non Cash Expenses + Changes In Working Capital

PLMR Cash From Operations Trends

PeriodPeriodAnnualAnnualQuarterlyQuarterlyTTMTTM
1 y1 year-31.5%+81.9%+16.4%
3 y3 years+102.0%+97.4%+140.0%
5 y5 years+409.1%+1574.8%+713.0%

PLMR Cash From Operations 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
3 y3-year-31.5%+32.2%at high+1639.0%at high+140.0%
5 y5-year-31.5%+160.8%at high+868.1%at high+831.3%
alltimeall time-31.5%+633.7%at high+868.1%at high+2406.4%

Palomar Holdings Cash From Operations History

DateAnnualQuarterlyTTM
Sep 2024
-
$100.27 M(+81.9%)
$210.79 M(+16.4%)
Jun 2024
-
$55.13 M(+66.4%)
$181.16 M(+37.5%)
Mar 2024
-
$33.13 M(+48.7%)
$131.79 M(+13.5%)
Dec 2023
$116.11 M(-31.5%)
$22.27 M(-68.5%)
$116.11 M(-31.2%)
Sep 2023
-
$70.63 M(+1125.0%)
$168.88 M(+53.5%)
Jun 2023
-
$5.77 M(-66.9%)
$109.99 M(-20.2%)
Mar 2023
-
$17.44 M(-76.8%)
$137.83 M(-18.7%)
Dec 2022
$169.58 M(+93.1%)
$75.04 M(+538.9%)
$169.58 M(+16.7%)
Sep 2022
-
$11.74 M(-65.1%)
$145.33 M(-18.2%)
Jun 2022
-
$33.61 M(-31.7%)
$177.68 M(+18.4%)
Mar 2022
-
$49.19 M(-3.1%)
$150.06 M(+70.9%)
Dec 2021
$87.81 M
$50.78 M(+15.2%)
$87.81 M(+74.4%)
Sep 2021
-
$44.10 M(+636.5%)
$50.35 M(+94.2%)
Jun 2021
-
$5.99 M(-145.9%)
$25.93 M(+14.5%)
DateAnnualQuarterlyTTM
Mar 2021
-
-$13.05 M(-198.0%)
$22.64 M(-60.6%)
Dec 2020
$57.49 M(+29.2%)
$13.32 M(-32.3%)
$57.49 M(+8.4%)
Sep 2020
-
$19.67 M(+629.9%)
$53.02 M(+1.7%)
Jun 2020
-
$2.69 M(-87.6%)
$52.12 M(-18.4%)
Mar 2020
-
$21.80 M(+146.3%)
$63.86 M(+43.5%)
Dec 2019
$44.51 M(+95.2%)
$8.85 M(-52.8%)
$44.51 M(+4.4%)
Sep 2019
-
$18.77 M(+30.0%)
$42.65 M(+74.0%)
Jun 2019
-
$14.44 M(+487.5%)
$24.52 M(+45.5%)
Mar 2019
-
$2.46 M(-64.9%)
$16.86 M(-26.1%)
Dec 2018
$22.81 M(+12.6%)
$7.00 M(+1010.3%)
$22.81 M(+44.2%)
Sep 2018
-
$630.00 K(-90.7%)
$15.81 M(+4.1%)
Jun 2018
-
$6.77 M(-19.5%)
$15.18 M(+80.5%)
Mar 2018
-
$8.41 M
$8.41 M
Dec 2017
$20.25 M(+27.9%)
-
-
Dec 2016
$15.82 M
-
-

FAQ

  • What is Palomar Holdings annual cash flow from operations?
  • What is the all time high annual CFO for Palomar Holdings?
  • What is Palomar Holdings annual CFO year-on-year change?
  • What is Palomar Holdings quarterly cash flow from operations?
  • What is the all time high quarterly CFO for Palomar Holdings?
  • What is Palomar Holdings quarterly CFO year-on-year change?
  • What is Palomar Holdings TTM cash flow from operations?
  • What is the all time high TTM CFO for Palomar Holdings?
  • What is Palomar Holdings TTM CFO year-on-year change?

What is Palomar Holdings annual cash flow from operations?

The current annual CFO of PLMR is $116.11 M

What is the all time high annual CFO for Palomar Holdings?

Palomar Holdings all-time high annual cash flow from operations is $169.58 M

What is Palomar Holdings annual CFO year-on-year change?

Over the past year, PLMR annual cash flow from operations has changed by -$53.48 M (-31.53%)

What is Palomar Holdings quarterly cash flow from operations?

The current quarterly CFO of PLMR is $100.27 M

What is the all time high quarterly CFO for Palomar Holdings?

Palomar Holdings all-time high quarterly cash flow from operations is $100.27 M

What is Palomar Holdings quarterly CFO year-on-year change?

Over the past year, PLMR quarterly cash flow from operations has changed by +$45.14 M (+81.89%)

What is Palomar Holdings TTM cash flow from operations?

The current TTM CFO of PLMR is $210.79 M

What is the all time high TTM CFO for Palomar Holdings?

Palomar Holdings all-time high TTM cash flow from operations is $210.79 M

What is Palomar Holdings TTM CFO year-on-year change?

Over the past year, PLMR TTM cash flow from operations has changed by +$29.64 M (+16.36%)