C
Palomar Holdings, Inc. PLMR
$110.78 $0.500.45% NASDAQ
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03/31/2026 12/31/2025 09/30/2025 06/30/2025 03/31/2025
Net Income 197.10M 197.07M 175.87M 154.91M 134.11M
Total Depreciation and Amortization 10.28M 4.93M 3.94M 2.98M 2.02M
Total Amortization of Deferred Charges 4.00M 4.00M 3.40M 3.40M 3.40M
Total Other Non-Cash Items -44.44M 1.09M 55.94M 94.48M 50.48M
Change in Net Operating Assets 202.03M 202.03M 125.20M 125.20M 125.20M
Cash from Operations 368.96M 409.12M 364.34M 380.97M 315.22M
Capital Expenditure -102.00K -137.00K -164.00K -307.00K -278.00K
Sale of Property, Plant, and Equipment 586.00K 346.00K 230.00K -- --
Cash Acquisitions -280.89M -58.59M -61.51M -61.51M -24.03M
Divestitures -- -- -- -- --
Other Investing Activities -395.02M -295.60M -250.35M -412.12M -317.55M
Cash from Investing -675.42M -353.98M -311.80M -473.94M -341.86M
Total Debt Issued 312.43M 15.00M 15.00M -- --
Total Debt Repaid -15.00M -15.00M -15.00M 0.00 -43.00M
Issuance of Common Stock 2.79M 4.92M 6.47M 123.01M 124.23M
Repurchase of Common Stock -60.37M -37.28M -37.28M -- --
Issuance of Preferred Stock -- -- -- -- --
Repurchase of Preferred Stock -- -- -- -- --
Total Dividends Paid -- -- -- -- --
Other Financing Activities 3.84M 3.58M 3.44M 3.26M 2.98M
Cash from Financing 243.69M -28.79M -27.37M 126.27M 84.21M
Foreign Exchange rate Adjustments -- -- -- -- --
Miscellaneous Cash Flow Adjustments -- -- -- -- --
Net Change in Cash -62.77M 26.35M 25.18M 33.30M 57.56M