Palomar PLMR
$
Relative Strength Index (RSI)
- The Relative Strength Index (RSI) is a momentum oscillator that measures the speed and change of price movements. It is typically used to identify overbought or oversold conditions in financial markets.
- The RSI is calculated using the following formula:
RSI = 100 - (100 / (1 + RS))
Where RS is the ratio of the average gains to the average losses over a specified period.
- The default time period used is 14 days.
- RSI values range between 0 and 100.
RSI values above 70 are considered overbought (indicating a potentially opportune time to sell)
RSI values below 30 are considered oversold (indicating a potentially opportune time to buy)
RSI is not a perfect indicator and should be used in conjunction with other technical analysis tools, this is for informational purposes only and is not a substitute for professional financial advice.
Key Insights
Palomar (PLMR) Core Market Data and Business Metrics
Latest Closing Price
$141.72Price-Earnings Ratio
31.63Total Outstanding Shares
26.68 Million SharesDividend
No dividendSIC Description
Fire, Marine & Casualty InsurancePrimary Exchange
NASDAQHeadquarters
7979 Ivanhoe Avenue, La Jolla, CA, 92037
Historical Stock Splits
Execution Date | Split Amount |
---|---|
No Historical Stock Splits |
Short Interest
Track Short Interest Levels to Gauge Bearish Market Sentiment and Short Squeeze Potential
Avg Daily Volume | Days to Cover | Settlement Date | Short Interest |
---|---|---|---|
252,378 Shares | 1.89 | 3/14/2025 | 475,753 Shares |
242,617 Shares | 1.96 | 2/28/2025 | 475,171 Shares |
216,648 Shares | 1.9 | 2/14/2025 | 411,231 Shares |
136,076 Shares | 3.31 | 1/31/2025 | 451,078 Shares |
127,675 Shares | 3.78 | 1/15/2025 | 482,498 Shares |
160,051 Shares | 3.09 | 12/31/2024 | 494,957 Shares |
Cash Flow Statement
January 1, 2024 to December 31, 2024
Metric | Value |
---|---|
Net Cash Flow From Investing Activities, Continuing | $-306.24 Million |
Net Cash Flow | $28.69 Million |
Net Cash Flow From Operating Activities | $261.16 Million |
Net Cash Flow From Financing Activities | $73.77 Million |
Net Cash Flow From Financing Activities, Continuing | $73.77 Million |
Net Cash Flow From Investing Activities | $-306.24 Million |
Income Statement
January 1, 2024 to December 31, 2024
Metric | Value |
---|---|
Diluted Earnings Per Share | $4.48 |
Benefits Costs and Expenses | $402.67 Million |
Revenues | $553.86 Million |
Basic Average Shares | $25.52 Million |
Income/Loss From Continuing Operations Before Tax | $151.20 Million |
Income Tax Expense/Benefit, Current | $31.56 Million |
Comprehensive Income
January 1, 2024 to December 31, 2024
Metric | Value |
---|---|
Other Comprehensive Income/Loss Attributable To Parent | $-2.85 Million |
Comprehensive Income/Loss Attributable To Noncontrolling Interest | $0 |
Other Comprehensive Income/Loss | $114.72 Million |
Comprehensive Income/Loss | $114.72 Million |
Comprehensive Income/Loss Attributable To Parent | $114.72 Million |
Balance Sheet
January 1, 2024 to December 31, 2024
Metric | Value |
---|---|
Assets | $2.26 Billion |
Noncurrent Assets | $0 |
Liabilities | $1.53 Billion |
Equity Attributable To Noncontrolling Interest | $0 |
Fixed Assets | $429,000 |
Equity | $729.03 Million |
Historical Dividends
Announcement Date | Payment Date | Record Date | Amount | Frequency |
---|---|---|---|---|
No historical dividends |