Recent Annual Filings for PLMR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,262,220,000 $553,863,000 $402,667,000 $114,719,000 $261,157,000 $73,774,000 $28,687,000
2023 $1,708,022,000 $375,926,000 $272,284,000 $91,725,000 $116,106,000 $-3,940,000 $-16,312,000
2022 $1,306,450,000 $327,086,000 $259,535,000 $10,343,000 $169,583,000 $5,017,000 $17,793,000
2021 $925,734,000 $247,791,000 $190,653,000 $37,913,000 $87,814,000 $-13,041,000 $16,585,000
2020 $729,092,000 $168,463,000 $162,240,000 $14,817,000 $53,551,000 $128,329,000 $437,000
2019 $395,462,000 $113,296,000 $95,219,000 $15,870,000 $41,700,000 $62,291,000 $23,425,000