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Palomar Holdings, Inc. PLMR Cash Flow Statement

FY'25FY'24FY'23FY'22
$197.07M+67.6%$117.57M+48.4%$79.2M+51.8%$52.17M+13.8%
$8.93M+74.8%$5.11M+13.4%$4.5M+9.4%$4.12M+16.1%
$21.01M+25.9%$16.69M+11.9%$14.91M+28.3%$11.62M+108%
$1.87M-11.2%$2.11M+175%-$2.83M+19.7%-$3.52M-649%
-$31K$0$0
-$6.89M-124%$29.18M+86.3%$15.67M+189%$5.43M+674%
-$26.21M-267%$15.7M-36.9%$24.89M+519%$4.02M+780%
$0+100%-$7.26M-200%$7.26M$0
$11.83M+159%$4.57M+55.3%$2.94M+139%-$7.53M-690%
-$61K+93.5%-$945K-10,400%-$9K-101%$1.61M-30.6%
$240.86M+66.6%$144.59M+14.9%$125.79M-32.6%$186.65M+84.5%
$31.18M-8.0%$33.89M+697%$4.25M+440%$787K-96.2%
$178.06M+10.5%$161.11M+45.3%$110.86M+91.0%$58.05M+30.9%
$409.12M+56.7%$261.16M+125%$116.11M-31.5%$169.58M+93.1%
$137K-43.6%$243K+1,520%$15K-95.2%$313K+1,639%
$0-100%$5.53M
$848.36M+41.1%$601.41M+157%$233.77M-38.8%$382.11M+129%
$614.62M+104%$301.85M+151%$120.29M-50.4%$242.73M+102%
-$353.98M-15.6%-$306.24M-138%-$128.48M+18.1%-$156.81M-169%
$0-100%$22.27M-35.3%$34.42M+117%
$36.4M
-$141K-100%$115.72M$0$0-100%
-$30.05M-141%$73.77M
-$16.31M-192%$17.79M+7.3%
$287K-72.6%$1.05M-71.5%$3.68M
$38.45M+82.0%$21.12M
-$61K+93.5%-$945K-10,400%-$9K-101%$1.61M-30.6%
$11.83M+159%$4.57M+55.3%$2.94M+139%-$7.53M-690%
$2.97M-6.0%$3.16M+110%$1.51M+43.1%$1.05M+484%
$81.25M+864%$8.43M-76.3%$35.62M-67.2%$108.67M+614%
$79.68M+664%$10.43M-83.1%$61.72M-57.7%$145.77M+526%
$31.18M-8.0%$33.89M+697%$4.25M+440%$787K-96.2%
$178.06M+10.5%$161.11M+45.3%$110.86M+91.0%$58.05M+30.9%
$147.07M+236%$43.75M-55.9%$99.11M+32.4%$74.85M+91.1%
-$26.21M-267%$15.7M-36.9%$24.89M+519%$4.02M+780%
$73.54M-37.9%$118.37M+42.3%$83.18M+129%$36.3M-31.0%
$240.86M+66.6%$144.59M+14.9%$125.79M-32.6%$186.65M+84.5%
-$9.93M$0$0
$5.49M$0$0
$6.09M+4.9%$5.8M-14.0%$6.74M+19.9%$5.62M
$614.62M+104%$301.85M+151%$120.29M-50.4%$242.73M+102%
$57.96M+53.3%$37.81M+83.2%$20.64M
-$16.98M-17.5%-$14.45M-428%-$2.74M-1,456%$202K+103%
$950K+200%-$950K
$3.72M+34.8%$2.76M+2,964%$90K$0
$644K+33.1%$484K
$408.98M+56.8%$260.91M$169.27M
$408.98M+56.8%$260.91M$169.27M

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Questions, answered.

How much cash does Palomar Holdings, Inc. generate?
Palomar Holdings, Inc. (PLMR) generated $369.0M in operating cash flow over the trailing twelve months.
What is Palomar Holdings, Inc.'s free cash flow?
After $102.0K of capital expenditures, Palomar Holdings, Inc.'s free cash flow was $368.9M over the trailing twelve months, up 17.1% year over year.
Where does Palomar Holdings, Inc.'s cash flow data come from?
Every line is extracted from Palomar Holdings, Inc.'s SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.