Palomar Holdings, Inc. - Common Stock (PLMR)

Historical Holders from Q1 2019 to Q3 2025

Symbol
PLMR on Nasdaq
CUSIP
69753M105
Type / Class
Equity / Common Stock
Shares outstanding
26.7M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
23.8M
Holdings value
$2.77B
% of all portfolios
0.003%
Grand Portfolio weight change
0%
Number of holders
345
Number of buys
168
Number of sells
-215
Average Value change %
0%
Average buys %
+0.001%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Palomar Holdings, Inc. - Common Stock (PLMR)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 14.7% $522M 3.92M BlackRock, Inc. Mar 31, 2025
Champlain Investment Partners, LLC 4.5% $159M 1.19M Champlain Investment Partners, LLC Sep 30, 2024

Institutional Holders of Palomar Holdings, Inc. - Common Stock (PLMR)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 23.8M $2.77B -$150M $116.75 345
2025 Q2 24.4M $3.76B +$55M $154.25 383
2025 Q1 24.1M $3.31B -$6.93M $137.08 333
2024 Q4 24.2M $2.56B +$25.4M $105.59 276
2024 Q3 23.8M $2.26B +$114M $94.67 272
2024 Q2 22.5M $1.83B +$52.2M $81.15 228
2024 Q1 22M $1.84B +$11.3M $83.83 216
2023 Q4 188K $10.4M -$5.85M $55.50 2
2023 Q3 21.8M $1.11B -$5.23M $50.75 176
2023 Q2 21.9M $1.27B -$43.8M $58.04 173
2023 Q1 22.6M $1.25B -$11.1M $55.20 175
2022 Q4 22.9M $1.03B -$38.8M $45.16 184
2022 Q3 22.8M $1.91B +$3.07M $83.72 173
2022 Q2 21.4M $1.38B +$8.24M $64.40 156
2022 Q1 21.8M $1.39B +$74.5M $63.99 163
2021 Q4 22.4M $1.44B -$20.3M $64.77 150
2021 Q3 22.6M $1.83B -$16.5M $80.83 152
2021 Q2 22.5M $1.7B -$32.7M $75.46 147
2021 Q1 22.8M $1.53B -$64.9M $67.04 169
2020 Q4 23.5M $2.09B -$11.7M $88.84 183
2020 Q3 23.2M $2.42B +$40.2M $104.24 190
2020 Q2 23M $1.97B +$317M $85.76 183
2020 Q1 19.3M $1.12B +$338M $58.16 115
2019 Q4 13.4M $674M +$39.9M $50.49 95
2019 Q3 12.8M $503M +$268M $39.42 96
2019 Q2 6.03M $145M +$145M $24.04 62
2019 Q1 114K $8.62M $0 $75.46 1