XOOMAR

Palomar Holdings, Inc. (PLMR)

Every FINRA and SEC series the site collects for Palomar Holdings, Inc.: short interest with days to cover, daily short sale volume, fails to deliver and Form 4 insider trades. Listed on Nasdaq, classified by the SEC as fire, marine & casualty insurance.

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874K

Short interest

settlement 2026-08-31

4.9

Days to cover

+12.2% vs prior

56.6%

Short share of volume

2026-09-11

38

Fails to deliver

settlement 2026-08-14

-$10.2M

Insider flow, 90 days

1 buys, 19 sells

As of 2026-09-11.

Short interest

FINRA, twice a month; the last 12 months shown, all 48 settlements in the JSON

As of 31 August 2026, short interest in PLMR is 873,572 shares, up 9,001 shares over the last month. Over the last 48 readings it ranged from 333,335 shares (31 October 2024) to 1,137,277 shares (15 July 2026). At the reported average volume of 179K shares a day that is 4.9 days to cover.

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SettlementShares shortChangeAvg daily volumeDays to cover
2026-08-31873,572+12.2%178,9364.88
2026-08-14778,801-9.9%266,4392.92
2026-07-31864,571-24.0%254,6043.40
2026-07-151,137,277+20.3%362,4823.14
2026-06-30945,335-4.8%353,2012.68
2026-06-15993,216+17.3%226,1184.39
2026-05-29847,015+13.3%270,3763.13
2026-05-15747,751+10.6%339,3502.20
2026-04-30676,317+3.8%206,3553.28
2026-04-15651,574+8.3%205,5603.17
2026-03-31601,636+7.3%271,1222.22
2026-03-13560,780+4.2%175,0593.20
2026-02-27538,335-5.3%311,8331.73
2026-02-13568,369+33.6%390,3131.46
2026-01-30425,364-13.1%187,3092.27
2026-01-15489,211+14.3%192,4412.54
2025-12-31427,863-13.1%205,7962.08
2025-12-15492,087+1.8%245,9792.00
2025-11-28483,592-17.8%235,0522.06
2025-11-14588,359+27.6%323,9541.82
2025-10-31460,977-8.0%212,2582.17
2025-10-15501,298+12.0%330,2811.52
2025-09-30447,477+22.3%298,1651.50
2025-09-15365,764-10.5%287,6731.27

Daily short volume

FINRA Reg SHO, last 60 sessions. JSON

As of 11 September 2026, the short share of PLMR volume is 56.6%, down 8.8 points over the last five sessions. Over the last 52 readings it ranged from 19.7% (6 August 2026) to 74.4% (21 August 2026). The latest reading is in line with the 30-session average of 56.1%, on 73K shares reported.

DateShort volumeTotal volumeShort shareExempt
2026-09-1141K73K56.6%0
2026-09-1046K107K43.4%10
2026-09-0943K69K61.5%158
2026-09-0853K95K55.8%959
2026-09-0447K82K57.1%2
2026-09-0334K52K65.4%11,311
2026-09-0224K49K49.2%363
2026-09-0159K79K74.2%58
2026-08-3136K55K66.1%25
2026-08-2827K49K55.8%0
2026-08-2725K44K56.6%0
2026-08-2614K27K50.5%0
2026-08-2517K28K60.8%0
2026-08-2437K50K73.3%15
2026-08-21106K142K74.4%0
2026-08-2045K74K60.6%485
2026-08-1935K57K60.9%18
2026-08-1865K101K64.9%25
2026-08-1756K103K54.4%0
2026-08-1431K54K58.0%0
2026-08-1333K94K34.7%0
2026-08-1241K132K31.1%0
2026-08-1136K54K66.0%0
2026-08-1045K63K71.2%612
2026-08-0742K90K46.8%60
2026-08-0647K238K19.7%228
2026-08-0579K210K37.8%0
2026-08-0441K57K72.4%0
2026-08-0329K54K53.5%0
2026-07-3151K99K51.5%515

Fails to deliver

SEC, by settlement date. JSON

As of 14 August 2026, the fails-to-deliver balance in PLMR is 38 shares, down 310 shares over the last settlement date. Over the last 52 readings it ranged from 1 share (21 January 2026) to 26,097 shares (3 October 2025). The latest reading sits at the bottom of that range.

SettlementShares failedPriceValue
2026-08-1438$128.19$5K
2026-07-27348$137.56$48K
2026-07-2134$140.12$5K
2026-07-17564$134.23$76K
2026-07-0866$145.29$10K
2026-07-025$133.69$668
2026-06-3020$126.33$3K
2026-06-292$126.32$253
2026-06-268,008$117.84$944K
2026-06-258,000$118.91$951K
2026-06-2433$116.08$4K
2026-06-2315$111.58$2K
2026-06-2264$111.70$7K
2026-06-16827$113.01$93K
2026-06-1510$114.85$1K
2026-06-101,042$108.68$113K
2026-05-141$108.16$108
2026-05-1159$113.36$7K
2026-05-07940$110.75$104K
2026-04-15136$130.89$18K
2026-04-1424,364$128.38$3.1M
2026-04-0690$120.10$11K
2026-03-31590$119.64$71K
2026-03-2343$116.90$5K
2026-02-196$127.84$767
2026-02-1895$129.99$12K
2026-02-1732$132.10$4K
2026-02-0485$121.89$10K
2026-01-211$130.63$131
2026-01-0713$130.70$2K

Insider trades

SEC Form 4, newest first, 50 of 100 shown. JSON

Over the last 90 days PLMR insiders reported 1 open-market buy ($135) against 19 sells ($10.2M), so the dollar flow leans toward selling. Latest filing: Bradley Daryl on 2026-09-02.

DateInsiderTitleTypeSharesPriceValueOwned after
2026-09-02Bradley Daryln/aBuy1$131.96$1357K
2026-08-21Armstrong MacCEO and ChairmanSell792$131.37$104K322K
2026-08-21Armstrong MacCEO and ChairmanSell2K$130.49$305K323K
2026-08-21Armstrong MacCEO and ChairmanSell369$129.65$48K326K
2026-08-18Uchida T ChristopherChief Financial OfficerSell791$127.74$101K16K
2026-08-18Uchida T ChristopherChief Financial OfficerOption exercise2K$0.00$017K
2026-08-18Knutzen JonathanChief Risk OfficerSell296$127.75$38K28K
2026-08-18Knutzen JonathanChief Risk OfficerOption exercise612$0.00$029K
2026-08-18Christianson JonPresidentSell528$127.75$67K67K
2026-08-18Christianson JonPresidentOption exercise1K$0.00$067K
2026-07-31Herve RodolpheChief Operating OfficerSell818$135.35$111K5K
2026-07-31Herve RodolpheChief Operating OfficerOption exercise2K$0.00$06K
2026-07-31Herve RodolpheChief Operating OfficerSell389$135.35$53K4K
2026-07-31Herve RodolpheChief Operating OfficerOption exercise1K$0.00$04K
2026-07-21Armstrong MacCEO and ChairmanSell200$139.43$28K326K
2026-07-21Armstrong MacCEO and ChairmanSell260$138.47$36K326K
2026-07-21Armstrong MacCEO and ChairmanSell937$137.74$129K326K
2026-07-21Armstrong MacCEO and ChairmanSell2K$136.70$287K327K
2026-07-20Christianson JonPresidentSell3K$139.50$419K66K
2026-07-20Christianson JonPresidentOption exercise3K$87.51$263K69K
2026-07-15Armstrong MacCEO and ChairmanSell58K$131.66$7.6M160K
2026-07-15Armstrong MacCEO and ChairmanOption exercise113K$0.00$0218K
2026-07-15Armstrong MacCEO and ChairmanSell3K$131.66$421K105K
2026-07-15Armstrong MacCEO and ChairmanOption exercise6K$0.00$0108K
2026-06-28Carter TimothyChief People OfficerSell300$124.29$37K2K
2026-06-28Carter TimothyChief People OfficerOption exercise820$0.00$02K
2026-06-28Carter TimothyChief People OfficerSell180$124.29$22K2K
2026-06-28Carter TimothyChief People OfficerOption exercise492$0.00$02K
2026-06-22Armstrong MacCEO and ChairmanSell1K$113.28$169K329K
2026-06-22Armstrong MacCEO and ChairmanSell2K$112.72$226K331K
2026-06-02Notaras Marthan/aOption exercise2K$58.06$100K11K
2026-05-21Armstrong MacCEO and ChairmanSell2K$114.67$249K333K
2026-05-21Armstrong MacCEO and ChairmanSell1K$113.93$151K335K
2026-05-21Taketa Richard Hn/aGrant1K$0.00$046K
2026-05-21Bradley Daryln/aGrant1K$0.00$07K
2026-05-21Notaras Marthan/aGrant1K$0.00$09K
2026-05-21Middleton Dainan/aGrant1K$0.00$08K
2026-05-21Fallon Catriona Mn/aGrant1K$0.00$09K
2026-05-21BRADLEY THOMAS An/aGrant1K$0.00$08K
2026-05-21BEISER SCOTT Ln/aGrant1K$0.00$02K
2026-05-21BEISER SCOTT Ln/aGrant869$0.00$0869
2026-05-18Uchida T ChristopherChief Financial OfficerSell783$115.26$90K15K
2026-05-18Uchida T ChristopherChief Financial OfficerOption exercise2K$0.00$016K
2026-05-18Knutzen JonathanChief Risk OfficerSell281$115.26$32K28K
2026-05-18Knutzen JonathanChief Risk OfficerOption exercise612$0.00$028K
2026-05-18Christianson JonPresidentSell522$115.26$60K66K
2026-05-18Christianson JonPresidentOption exercise1K$0.00$067K
2026-04-21Armstrong MacCEO and ChairmanSell1K$131.73$158K336K
2026-04-21Armstrong MacCEO and ChairmanSell678$131.11$89K338K
2026-04-21Armstrong MacCEO and ChairmanSell2K$129.91$211K338K

Form 4 filings are due within two business days of the trade. Insiders sell for many reasons that say nothing about the company; open-market buys are the rarer, stronger signal.

Planned sales (Form 144)

Newest first. JSON

3 Form 144 notices on file for PLMR worth $1.0M at the prices reported; 3 in the last 90 days worth $1.0M. Latest: ARMSTRONG FAMILY TRUST U/A DTD 04/07/2011 filed on 2026-08-21 to sell 3,500 shares ($451K) from 2026-08-21.

FiledSellerSharesMarket valueOf outstandingSale fromBroker
2026-08-21ARMSTRONG FAMILY TRUST U/A DTD 04/07/2011Director, Officer4K$451K0.013%2026-08-21Morgan Stanley Smith Barney LLC Executive Financial Services
2026-07-28Herve RodolpheOfficer646$91K0.002%2026-07-31Morgan Stanley Smith Barney LLC Executive Financial Services
2026-07-21ARMSTRONG FAMILY TRUST U/A DTD 04/07/2011Director, Officer4K$490K0.013%2026-07-21Morgan Stanley Smith Barney LLC Executive Financial Services

Large holders (13D and 13G)

One row per reporting person, newest filing first. JSON

2 holders above 5% have filed on PLMR, all on Schedule 13G (passive). The largest reported stake is Vanguard Capital Management at 5.3% of the class (1,401,561 shares), filed 2026-04-30 for an event on 2026-03-31.

FiledFormHolderSharesOf classEvent
2026-04-3013GVanguard Capital Managementinvestment adviser1.4M5.3%2026-03-31
2026-03-2713G/Ano. 5The Vanguard Groupinvestment adviser00.0%2026-03-13
2026-01-0713G/Ano. 4The Vanguard Groupinvestment adviser2.7M10.2%2025-12-31

13F holders

Tracked managers holding PLMR at their latest 13F. JSON

5 of the 30 tracked managers held PLMR at their latest 13F, $105.8M in total at quarter-end prices. Citadel Advisors is the largest at $51.5M (0.0% of its portfolio) as of 2026-06-30. Over the prior quarter 4 added shares and 1 cut.

FundQuarterSharesValueOf portfolioChange in shares
Citadel Advisors2026-06-30408K$51.5M0.01%+87K
Point72 Asset Management2026-06-30311K$39.4M0.04%+163K
D. E. Shaw & Co.2026-06-3075K$9.4M0.00%+73K
AQR Capital Management2026-06-3034K$4.3M0.00%+13K
Two Sigma Investments2026-06-3010K$1.2M0.00%-2K

Only the 30 tracked managers on the funds hub; a 13F reports long positions in US listed stock at quarter end, 45 days late, and says nothing about shorts or positions sold since.

Financials

SEC XBRL, as filed. JSON

In Q2 2026 (quarter ended 2026-06-30) Palomar Holdings, Inc. reported revenue of $314.4M, up 54.7% from the same quarter a year earlier, and net income of $52.6M (1.94 diluted EPS). In FY 2025 it generated $409.1M of operating cash flow and spent $37.3M on buybacks. As of 2026-06-30, cash was $62.7M against $295.8M of debt.

Cash
$62.7M
Debt
$295.8M
Equity
$980.9M
Total assets
$3.96B
Shares outstanding
26,317,683

Quarterly, last 8 quarters

QuarterPeriod endRevenueNet incomeMarginDiluted EPS
Q2 20262026-06-30$314.4M$52.6M16.7%1.94
Q1 20262026-03-31$278.9M$42.9M15.4%1.57
Q4 2025derived2025-12-31$253.4Mn/an/an/a
Q3 20252025-09-30$244.7M$51.5M21.0%1.87
Q2 20252025-06-30$203.3M$46.5M22.9%1.68
Q1 20252025-03-31$174.6M$42.9M24.6%1.57
Q4 2024derived2024-12-31$155.8Mn/an/an/a
Q3 20242024-09-30$148.5M$30.5M20.5%1.15

Fiscal years, with buybacks and dividends

Fiscal yearEndsRevenueNet incomeOperating cash flowCapexBuybacksDividends
FY 20252025-12-31$876.0Mn/a$409.1M$137K$37.3Mn/a
FY 20242024-12-31$553.9Mn/a$261.2M$243K$0n/a
FY 20232023-12-31$375.9Mn/a$116.1M$15K$22.3Mn/a
FY 20222022-12-31$327.1Mn/a$169.6M$313K$34.4Mn/a
FY 20212021-12-31$247.8Mn/a$87.8M$18K$15.9Mn/a

Quarters are the three-month figures the company reports; a fourth quarter marked derived is the fiscal year less the three reported quarters, since companies report it only inside the 10-K. Fiscal years are the annual figures. Buybacks are cash paid to repurchase common stock in the year (XBRL PaymentsForRepurchaseOfCommonStock), not authorizations. Balance sheet lines are as of 2026-06-30; shares outstanding as of 2026-08-02 from the cover page.

What this page is

Palomar Holdings, Inc. in the regulatory record

Regulators publish company data in separate files that never sit next to each other: FINRA's twice-monthly short interest, its daily short sale volume, the SEC's fails-to-deliver counts, and each insider's Form 4. A company page pulls every series the site collects for one ticker onto one URL, keyed by the SEC's own ticker list, so the short position, the daily flow, the settlement fails and what insiders are doing can be read together.

Each section has its own history table, a summary sentence built from the rows (last value, change, range with dates) and its own JSON and CSV links. Nothing on the page is written by a model; the sentences change only when the data does. A page exists only for companies with data in at least two series, and every section says when its source last updated.

This page follows Palomar Holdings, Inc. (PLMR), SEC CIK 1761312, listed on Nasdaq, classified by the SEC as fire, marine & casualty insurance. The cross-market tables live on the short interest and insider transactions hubs.

Source and method

Short interest
FINRA consolidated short interestTwice a month, about eight business days after settlement. Latest 2026-08-31.JSON and CSV
Daily short volume
FINRA Reg SHO daily filesEvery trading day, loaded the following morning. Latest 2026-09-11.JSON and CSV
Fails to deliver
SEC fails-to-deliver dataTwice a month, a few weeks after the half month ends. Latest 2026-08-14.JSON and CSV
Planned sales
SEC EDGAR Form 144EDGAR read every 30 minutes; a notice is filed on or before the sell order. Latest 2026-08-21.JSON and CSV
Large holders
SEC EDGAR Schedule 13D and 13GEDGAR read every 30 minutes; 13D within five business days of crossing 5%, 13G on the passive schedule. Latest 2026-04-30.JSON and CSV
13F holders
SEC EDGAR Form 13F-HRQuarterly, filed within 45 days of quarter end; 30 tracked managers. Latest 2026-06-30.JSON and CSV
Financials
SEC XBRL company factsRefreshed weekly from the SEC's structured data; values are as filed in the 10-Q and 10-K. Latest 2026-06-30.JSON and CSV
Insider trades
SEC EDGAR Form 4EDGAR read every 30 minutes; filings are due two business days after the trade. Latest 2026-09-02.JSON and CSV
Company record
EDGAR filing index for CIK 1761312Ticker, name and exchange from the SEC's company list, refreshed weekly.
Rate limits
30 requests a minute without a key, 120 a minute with a key from a free account.

Data checks. Every dataset is checked against its source once a day. This dataset passed the last run, 14 Sep 05:40 UTC.

How to read it

  • Read the position against the flow: rising short interest with a high daily short share is new shorting; rising short interest with a normal short share is old shorts holding on.
  • Insider buys next to a crowded short are the combination that has historically preceded squeezes; insider sells next to a crowded short are common and mean little.
  • Fails to deliver matter relative to the float, not in absolute shares; a million failed shares in a mega cap is noise.

Analysis of what the data shows, not advice. XOOMAR does not recommend buying, selling or holding anything.

Datasets

Frequently Asked Questions

How much of PLMR is sold short?
873,572 shares were held short at the 2026-08-31 settlement, 4.9 days of average volume. FINRA publishes the next count about eight business days after the 15th and the last business day of the month.
What is PLMR's daily short volume?
On 2026-09-11, 41,101 of the 72,620 PLMR shares reported to FINRA were sold short, 56.6% of the day's reported volume. Short volume is a flow for one day, not a position.
Does PLMR have fails to deliver?
The SEC's latest file shows 38 PLMR shares failed to deliver at settlement 2026-08-14. Fails are reported per settlement date and published twice a month with a lag.
Are PLMR insiders buying or selling?
Over the last 90 days PLMR insiders reported 1 open-market buy ($135) against 19 sells ($10.2M), so the dollar flow leans toward selling. Latest filing: Bradley Daryl on 2026-09-02.
Have PLMR insiders filed to sell?
3 Form 144 notices on file for PLMR worth $1.0M at the prices reported; 3 in the last 90 days worth $1.0M. Latest: ARMSTRONG FAMILY TRUST U/A DTD 04/07/2011 filed on 2026-08-21 to sell 3,500 shares ($451K) from 2026-08-21.
Who owns more than 5% of PLMR?
2 holders above 5% have filed on PLMR, all on Schedule 13G (passive). The largest reported stake is Vanguard Capital Management at 5.3% of the class (1,401,561 shares), filed 2026-04-30 for an event on 2026-03-31.
What did PLMR report last quarter?
In Q2 2026 (quarter ended 2026-06-30) Palomar Holdings, Inc. reported revenue of $314.4M, up 54.7% from the same quarter a year earlier, and net income of $52.6M (1.94 diluted EPS). In FY 2025 it generated $409.1M of operating cash flow and spent $37.3M on buybacks. As of 2026-06-30, cash was $62.7M against $295.8M of debt.
Which funds hold PLMR?
5 of the 30 tracked managers held PLMR at their latest 13F, $105.8M in total at quarter-end prices. Citadel Advisors is the largest at $51.5M (0.0% of its portfolio) as of 2026-06-30. Over the prior quarter 4 added shares and 1 cut.

Data on this page is provided for informational purposes only and is not financial advice. See our editorial policy.