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Palomar Holdings (PLMR)
NASDAQ:PLMR
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Palomar Holdings (PLMR) AI Stock Analysis

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PLMR

Palomar Holdings

(NASDAQ:PLMR)

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Outperform 81 (OpenAI - 5.2)
Rating:81Outperform
Price Target:
$152.00
▲(10.50% Upside)
Action:Reiterated
Date:08/12/26
PLMR scores well primarily on strong financial performance (high profitability, very low leverage, and robust cash generation) and a constructive earnings outlook highlighted by raised 2026 guidance and strong ROE targets. The score is tempered by only mixed near-term technical signals and moderate valuation support (P/E ~17.1, with no dividend yield data provided).
Positive Factors
Balance Sheet Strength
Extremely low leverage and material equity compounding provide durable capital to support growth, absorb catastrophe volatility, and fund reinsurance and shareholder returns. Strong ROE indicates efficient capital use, underpinning sustainable underwriting scale and strategic optionality over 2–6 months.
Negative Factors
Underwriting Volatility
Large swings in gross profitability reflect uneven claims timing and line mix (e.g., rapid crop scale), which reduces predictability of underwriting performance. Persisting volatility can complicate pricing, reserving and capital planning and raise the cost of maintaining target ROE.
Read all positive and negative factors
Positive Factors
Negative Factors
Balance Sheet Strength
Extremely low leverage and material equity compounding provide durable capital to support growth, absorb catastrophe volatility, and fund reinsurance and shareholder returns. Strong ROE indicates efficient capital use, underpinning sustainable underwriting scale and strategic optionality over 2–6 months.
Read all positive factors

Palomar Holdings (PLMR) vs. SPDR S&P 500 ETF (SPY)

Palomar Holdings Business Overview & Revenue Model

Company Description
Palomar Holdings, Inc. functions as an insurance holding company dedicated to providing specialized property coverage for both private homeowners and businesses. Its comprehensive product range encompasses essential offerings such as residential a...
How the Company Makes Money
Palomar makes money primarily through its insurance operations and investment income. (1) Insurance underwriting revenue: The company earns premiums from policyholders for specialty property and casualty coverages (including its core residential e...

Palomar Holdings Earnings Call Summary

Earnings Call Date:Aug 04, 2026
(Q2-2026)
|
% Change Since: |
Next Earnings Date:Nov 04, 2026
Earnings Call Sentiment Positive
The call conveyed a strongly positive operational and financial performance: record adjusted earnings, robust top-line growth (GWP +27%), meaningful franchise expansions (crop +96%, surety +236%), favorable reinsurance placements, and capital returns (share repurchases and dividend). Challenges were acknowledged — higher losses and an increased loss ratio due to mix and timing (notably crop), competitive rate pressure in large commercial earthquake and property, and modestly higher expense ratios — but management emphasized disciplined underwriting, conservative reserving, and line-by-line reinsurance and capital management actions to mitigate these headwinds. On balance, the positive execution, guidance raise, and material franchise expansions outweigh the manageable lowlights.
Positive Updates
Record Adjusted Earnings and Guidance Raise
Adjusted net income was $63.8M (+31% YoY) or $2.36 per diluted share (+34% YoY). Management raised full-year adjusted net income guidance to $270M–$280M (midpoint implies ~27% YoY growth) and expects an adjusted ROE of ~26%.
Negative Updates
Higher Losses and Increased Loss Ratio
Losses & LAE rose to $99M (vs $46.2M prior year). Total loss ratio increased to 34.5% from 25.7% YoY, driven largely by growth in higher-loss-ratio lines (crop and selected casualty) and timing of crop losses appearing earlier than premium recognition.
Read all updates
Q2-2026 Updates
Negative
Record Adjusted Earnings and Guidance Raise
Adjusted net income was $63.8M (+31% YoY) or $2.36 per diluted share (+34% YoY). Management raised full-year adjusted net income guidance to $270M–$280M (midpoint implies ~27% YoY growth) and expects an adjusted ROE of ~26%.
Read all positive updates
Company Guidance
Management raised full‑year 2026 adjusted net income guidance to $270–$280 million (midpoint implying ~27% y/y adjusted net income growth and an adjusted ROE of ~26%), noting the range includes $8–$12 million of catastrophe losses; they also reiterated the goal to sustain adjusted ROE above the Palomar 2X threshold of 20%. For 2026 they expect an adjusted combined ratio in the mid‑70s and a loss ratio (including catastrophes and prior‑year development) in the mid‑to‑upper‑30s (with the high point in Q3), a net earned premium ratio rising into the upper‑40s for the year (2025: 44.9%) with Q3 as the low point, and slight improvement in acquisition and other underwriting expense ratios versus 2025 (2025 acquisition 12.1%, other underwriting 8.0%), noting H1 will be higher and H2 lower because of crop seasonality. The guidance assumes continued strong investment income (Q2 yield ~4.9% and new investments >5%), and reflects capital actions already underway (Q2 repurchases of ~368,719 shares for ~$41 million at an average $111/share and initiation of a $0.45 quarterly dividend).

Palomar Holdings Financial Statement Overview

Summary
Strong overall fundamentals supported by high profitability and growth. Income statement profitability is healthy with net margins in the high-teens to low-20% range and solid recent revenue growth, though gross profit volatility is a watch item. Balance sheet is a major strength with effectively no debt, meaningful equity growth, and strong ROE. Cash flow is robust with free cash flow closely tracking net income, despite some historical variability.
Income Statement
84
Very Positive
Balance Sheet
91
Very Positive
Cash Flow
88
Very Positive
BreakdownTTMDec 2025Dec 2024Dec 2023Dec 2022Dec 2021
Income Statement
Total Revenue1.09B875.97M553.86M375.93M327.09M247.79M
Gross Profit634.10M647.37M269.45M195.59M137.64M110.90M
EBITDA292.19M262.65M157.44M111.92M72.54M60.72M
Net Income203.16M197.07M117.57M79.20M52.17M45.85M
Balance Sheet
Total Assets3.96B2.23B2.26B1.71B1.31B925.73M
Cash, Cash Equivalents and Short-Term Investments1.57B725.15M550.86M695.35M583.17M482.97M
Total Debt295.77M7.09M0.0052.60M36.40M3.47M
Total Liabilities2.98B1.28B1.53B1.24B921.70M531.57M
Stockholders Equity980.94M942.67M729.03M471.25M384.75M394.17M
Cash Flow
Free Cash Flow410.85M401.99M260.91M109.35M163.65M82.96M
Operating Cash Flow415.26M409.12M261.16M116.11M169.58M87.81M
Investing Cash Flow-634.39M-353.98M-306.24M-128.48M-156.81M-58.19M
Financing Cash Flow200.53M-28.79M73.77M-3.94M5.02M-13.04M

Palomar Holdings Technical Analysis

Technical Analysis Sentiment
Negative
Last Price137.56
Price Trends
50DMA
128.76
Negative
100DMA
123.72
Positive
200DMA
124.48
Negative
Market Momentum
MACD
-1.09
Positive
RSI
38.84
Neutral
STOCH
7.74
Positive
Evaluating momentum and price trends is crucial in stock analysis to make informed investment decisions. For PLMR, the sentiment is Negative. The current price of 137.56 is above the 20-day moving average (MA) of 133.80, above the 50-day MA of 128.76, and above the 200-day MA of 124.48, indicating a bearish trend. The MACD of -1.09 indicates Positive momentum. The RSI at 38.84 is Neutral, neither overbought nor oversold. The STOCH value of 7.74 is Positive, not indicating any strong overbought or oversold conditions. Overall, these indicators collectively point to a Negative sentiment for PLMR.

Palomar Holdings Risk Analysis

Palomar Holdings disclosed 53 risk factors in its most recent earnings report. Palomar Holdings reported the most risks in the "Finance & Corporate" category.
Finance & Corporate - Financial and accounting risks. Risks related to the execution of corporate activity and strategy
Latest Risks Added 0 New Risks

Palomar Holdings Peers Comparison

Overall Rating
UnderperformOutperform
Sector (68)
Financial Indicators
Name
Overall Rating
Market Cap
P/E Ratio
ROE
Dividend Yield
Revenue Growth
EPS Growth
81
Outperform
$3.37B16.1621.61%60.27%30.93%
81
Outperform
$2.29B7.0530.79%0.89%22.83%86.58%
71
Outperform
$796.81M13.4015.91%14.86%-30.59%
68
Neutral
$18.00B11.429.92%3.81%9.73%1.22%
55
Neutral
$1.62B-3.12-19.33%4.44%-3.92%-256.50%
52
Neutral
$4.07B-26.71-26.78%76.73%35.36%
* Financial Sector Average
Performance Comparison
Ticker
Company Name
Price
Change
% Change
PLMR
Palomar Holdings
129.69
8.83
7.31%
KMPR
Kemper
26.21
-26.11
-49.90%
HCI
HCI Group
185.03
28.17
17.96%
LMND
Lemonade
50.12
-7.08
-12.38%
ROOT
Root
52.29
-34.51
-39.76%

Palomar Holdings Corporate Events

Business Operations and StrategyStock BuybackDividendsFinancial Disclosures
Palomar Highlights Strong Q2 Results and First Dividend
Positive
Aug 11, 2026
On August 10, 2026, Palomar updated its corporate investor presentation, highlighting second-quarter performance marked by $630.5 million in gross written premium, up 27% year on year, and adjusted net income of $63.8 million, up 31%. The company ...
Business Operations and StrategyStock BuybackDividendsFinancial Disclosures
Palomar Holdings Announces Strong Q2 Results, Initiates Dividend
Positive
Aug 4, 2026
Palomar Holdings reported strong second-quarter 2026 results on August 4, 2026, with net income rising 13% year-on-year to $52.6 million and adjusted net income jumping 31% to $63.8 million. Diluted earnings per share increased 15.5% to $1.94, whi...
Business Operations and StrategyStock BuybackFinancial DisclosuresM&A Transactions
Palomar Highlights Strong Growth, Share Buyback and Reinsurance Expansion
Positive
May 29, 2026
On May 29, 2026, Palomar Holdings updated its corporate investor presentation and reported strong first-quarter momentum, including 42% year-on-year growth in gross written premiums to $629.8 million, a 23% rise in adjusted net income to $63.1 mil...
Business Operations and StrategyExecutive/Board ChangesShareholder Meetings
Palomar Holdings Adds New Director, Shareholders Back Governance
Positive
May 26, 2026
Palomar Holdings, Inc., a La Jolla, Calif.-based specialty insurer focused on residential and commercial earthquake, property, inland marine, casualty, surety credit, and crop lines, operates through a network of insurance and reinsurance subsidi...
Glossary
BuyA stock rated as a "Buy" is expected to perform better than the overall market or a specific benchmark over the near-to-medium term. This rating suggests the stock is likely to deliver higher returns compared to other stocks in the same sector or market index. Note: This is not investment advice; please consult a financial advisor before making investment decisions.
HoldA stock rated as a "Hold" is expected to perform in line with the overall market or a specific benchmark. This rating indicates that the stock is neither particularly compelling nor unfavorable for investment. Note: This is not investment advice; please consult a financial advisor before making investment decisions.
SellA stock rated as a "Sell" is expected to perform worse than the overall market or a specific benchmark over the near-to-medium term. This rating suggests the stock may deliver lower returns compared to other stocks in the same sector or market index. Note: This is not investment advice; please consult a financial advisor before making investment decisions.

Disclaimer

This AI Analyst Stock Report is automatically generated by our AI systems using advanced algorithms and publicly available financial, technical, and market data. While the information provided aims to be accurate and insightful, it is intended for informational purposes only and should not be considered financial advice. Any content created by an AI (Artificial Intelligence) system may contain inaccuracies and/or contain errors. Investing in stocks carries inherent risks, and past performance is not indicative of future results. This report does not account for your personal financial circumstances, objectives, or risk tolerance. Always conduct your own research or consult with a qualified financial advisor before making investment decisions. The analysis and recommendations provided are based on historical and current data and may not fully reflect future market conditions or unexpected developments. Neither the creators of this report nor its affiliated entities guarantee the accuracy, completeness, or reliability of the information presented. Use this report at your own discretion and risk.Date of analysis: Aug 12, 2026