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Net cash provided by
operating activities
$167,172K
(-19.65%↓ Y/Y)
Net (decrease)
increase in cash, cash...
$6,150K
(692.53%↑ Y/Y)
Canceled cashflow
$161,022K
Sales and maturities
of fixed maturity...
$118,130K
(-76.00%↓ Y/Y)
Sales of equity
securities
$39,364K
(203.83%↑ Y/Y)
Proceeds from term loan
$2,566K
Policy holder
contribution to surplus
$1,136K
(-35.16%↓ Y/Y)
Proceeds from common
stock issued via stock...
$460K
(-85.92%↓ Y/Y)
Net cash used in
investing activities
-$119,726K
(43.71%↑ Y/Y)
Net cash provided by
financing activities
-$41,296K
(-862.90%↓ Y/Y)
Canceled cashflow
$157,494K
Canceled cashflow
$4,162K
Purchases of fixed
maturity securities
$209,605K
(-66.72%↓ Y/Y)
Repurchases of common stock
$41,017K
Payment of debt issuance
costs
$2,566K
Purchases of equity
securities
$50,121K
(388.46%↑ Y/Y)
Change in securities
receivable or payable, net
-$10,518K
(-49.51%↓ Y/Y)
Investments in limited
partnerships and other assets
$4,494K
(-26.19%↓ Y/Y)
Capitalized software costs
$2,066K
(-32.83%↓ Y/Y)
Purchases of property and
equipment
$416K
(550.00%↑ Y/Y)
Payments on term loan
$1,875K
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Cash Flow
Palomar Holdings, Inc. (PLMR)
Palomar Holdings, Inc. (PLMR)
source: myfinsight.com