Palomar Holdings, Inc. (PLMR) › Operating Cash FlowPalomar Holdings, Inc. (PLMR) — Operating Cash FlowAnnual figures by fiscal year, from SEC filings.2017: $20.25M2018: $22.81M2019: $44.51M2020: $57.49M2021: $87.81M2022: $169.58M2023: $116.11M2024: $261.16M2025: $409.12M$409.12M2017Operating Cash Flow (USD)2025Fiscal YearOperating Cash FlowChange YoY2025$409.12M+56.7%2024$261.16M+124.9%2023$116.11M-31.5%2022$169.58M+93.1%2021$87.81M+52.7%2020$57.49M+29.2%2019$44.51M+95.2%2018$22.81M+12.6%2017$20.25M—Other metrics: RevenueCost of RevenueGross ProfitOperating IncomeNet IncomeEPS (Diluted)Total AssetsTotal LiabilitiesShareholders' EquityCash & EquivalentsCapital ExpendituresShares OutstandingDividends Per Share