Palomar Holdings, Inc.PLMRNASDAQ
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Operating Cash Flow Growth Recovery in ProgressRecovering
Percentile Rank65
3Y CAGR-57.8%
Studio
Year-over-Year Change

Year-over-year operating cash flow growth rate

3Y CAGR
-57.8%/yr
vs +143.2%/yr prior
Acceleration
-201.1pp
Decelerating
Percentile
P65
Within normal range
vs 3Y Ago
0.1x
Contraction
Streak
1 qtr
Consecutive growthRecovering
PeriodValue
Q4 202540.38%
Q3 2025-30.80%
Q2 202538.65%
Q1 202520.03%
Q4 2024-27.56%
Q3 202481.89%
Q2 202466.42%
Q1 202448.74%
Q4 2023-68.47%
Q3 20231124.99%
Q2 2023-66.93%
Q1 2023-76.76%
Q4 2022538.90%
Q3 2022-65.05%
Q2 2022-29.69%
Q1 2022-12.12%
Q4 202123.36%
Q3 2021636.55%
Q2 2021145.86%
Q1 2021-197.98%
Q4 2020-32.27%
Q3 2020629.91%
Q2 2020-87.64%
Q1 2020260.93%
Q4 2019-67.81%
Q3 201929.99%
Q2 2019487.55%
Q1 2019-64.87%
Q4 20181010.32%
Q3 2018-90.70%
Q2 2018-19.46%
Q1 20180.00%