Palomar PLMR

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+$3.18 (+2.30%)Past DayToday's Volume:
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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

    $141.72
  • Price-Earnings Ratio

    31.63
  • Total Outstanding Shares

    26.68 Million Shares
  • Dividend

    No dividend
  • SIC Description

    Fire, Marine & Casualty Insurance
  • Primary Exchange

    NASDAQ
  • Headquarters

    7979 Ivanhoe Avenue, La Jolla, CA, 92037

Historical Stock Splits

Execution DateSplit Amount
No Historical Stock Splits

Short Interest

Track Short Interest Levels to Gauge Bearish Market Sentiment and Short Squeeze Potential
Avg Daily VolumeDays to CoverSettlement DateShort Interest
252,378 Shares1.893/14/2025475,753 Shares
242,617 Shares1.962/28/2025475,171 Shares
216,648 Shares1.92/14/2025411,231 Shares
136,076 Shares3.311/31/2025451,078 Shares
127,675 Shares3.781/15/2025482,498 Shares
160,051 Shares3.0912/31/2024494,957 Shares

Cash Flow Statement

January 1, 2024 to December 31, 2024
MetricValue
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
MetricValue
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
MetricValue
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
MetricValue
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 DatePayment DateRecord DateAmountFrequency
No historical dividends

Recent Headlines From The Web

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