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Palomar Holdings (PLMR)

(Delayed Data from NSDQ)

$99.22 USD

99.22
169,507

+0.42 (0.43%)

Updated Aug 30, 2024 04:00 PM ET

After-Market: $99.18 -0.04 (-0.04%) 7:58 PM ET

Zacks Rank:

This is our short term rating system that serves as a timeliness indicator for stocks over the next 1 to 3 months. How good is it? See rankings and related performance below.

Zacks Rank Definition Annualized Return
1Strong Buy23.68%
2Buy17.55%
3Hold9.21%
4Sell4.93%
5Strong Sell2.36%
S&P50010.96%

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2-Buy of 5   2      

Style Scores:

The Style Scores are a complementary set of indicators to use alongside the Zacks Rank. It allows the user to better focus on the stocks that are the best fit for his or her personal trading style.

The scores are based on the trading styles of Value, Growth, and Momentum. There's also a VGM Score ('V' for Value, 'G' for Growth and 'M' for Momentum), which combines the weighted average of the individual style scores into one score.

Value Score A
Growth Score A
Momentum Score A
VGM Score A

Within each Score, stocks are graded into five groups: A, B, C, D and F. As you might remember from your school days, an A, is better than a B; a B is better than a C; a C is better than a D; and a D is better than an F.

As an investor, you want to buy stocks with the highest probability of success. That means you want to buy stocks with a Zacks Rank #1 or #2, Strong Buy or Buy, which also has a Score of an A or a B in your personal trading style.

Zacks Style Scores Education - Learn more about the Zacks Style Scores

F Value F Growth B Momentum F VGM

Industry Rank:

The Zacks Industry Rank assigns a rating to each of the 265 X (Expanded) Industries based on their average Zacks Rank.

An industry with a larger percentage of Zacks Rank #1's and #2's will have a better average Zacks Rank than one with a larger percentage of Zacks Rank #4's and #5's.

The industry with the best average Zacks Rank would be considered the top industry (1 out of 265), which would place it in the top 1% of Zacks Ranked Industries. The industry with the worst average Zacks Rank (265 out of 265) would place in the bottom 1%.

Zacks Rank Education -- Learn more about the Zacks Rank
Zacks Industry Rank Education -- Learn more about the Zacks Industry Rank

Top 10% (26 out of 251)

Industry: Insurance - Property and Casualty

Better trading starts here.

Zacks News

Why Palomar (PLMR) is Poised to Beat Earnings Estimates Again

Palomar (PLMR) has an impressive earnings surprise history and currently possesses the right combination of the two key ingredients for a likely beat in its next quarterly report.

AXIS Capital (AXS) Rises 30% YTD: What's Driving the Stock?

AXIS Capital (AXS) continues to build on specialty insurance, reinsurance as well as the accident and health portfolio. An improved portfolio mix and effective capital deployment should drive growth.

How to Find Strong Buy Finance Stocks Using the Zacks Rank

Finding strong, market-beating stocks with a positive earnings outlook becomes easier with the Zacks Rank.

Travelers (TRV) Rises 21% in a Year: More Room for Growth?

Travelers (TRV) is set to gain from strong renewal rate change, solid retention, increase in new business supported by a compelling portfolio and a solid capital position.

Palomar Holdings (PLMR) Rises 43% in a Year: What's Driving It?

Palomar Holdings (PLMR) gains from new business, strong retention rates, expansion of products??? geographic and distribution footprint, new partnerships and high-quality fixed-income securities.

Marsh & McLennan (MMC) Unit Sustains Its Acquisition Spree

Marsh & McLennan's (MMC) unit, MMA, is set to enhance its risk management capabilities with the acquisition of Horton. This strategic move is part of MMA's ongoing expansion strategy.

Why You Should Stay Invested in Arch Capital (ACGL) Stock

Arch Capital (ACGL) remains poised to gain from new business opportunities, rate improvement, favorable estimates and a solid capital position.

Unum (UNM) to Divest Medical Stop Loss Business to Amynta Group

Unum's (UNM) decision to divest its Medical Stop Loss business to Amynta Group will help the insurer intensify its focus on its strategic growth priorities.

Aflac (AFL), SKYGEN Team Up to Enhance Dental and Vision Services

Aflac (AFL) joins forces with SKYGEN to improve dental and vision benefit management, boosting customer satisfaction and AFL's product sales through advanced technology and streamlined processes.

Here's Why You Should Retain Cincinnati Financial (CINF) Stock

Cincinnati Financial (CINF) is set to grow on higher level of insured exposure, rate increase, agent-focused business model, consistent cash flow and a solid capital position.

Reasons Why Investors Should Consider Buying RLI Stock Now

RLI stands to gain from a compelling product portfolio, rise in rate, improved retention, higher premium receipts, sufficient liquidity and effective capital deployment.

Is Oscar Health (OSCR) Outperforming Other Finance Stocks This Year?

Here is how Oscar Health, Inc. (OSCR) and Palomar (PLMR) have performed compared to their sector so far this year.

Here's Why You Should Stay Invested in Trupanion (TRUP) Stock

Trupanion (TRUP) is poised to grow on its focus on pet health and well-being in an underpenetrated pet insurance market, product launches, extended operating boundaries and a solid capital position

Here's Why You Should Retain Hanover Insurance (THG) Stock

Hanover Insurance (THG) stands to gain from growth in the Core Commercial and Specialty segments, stable retention, better pricing, strong market presence and solid capital position.

Why You Should Hold American International (AIG) Stock Now

American International (AIG) is expected to benefit from rising premiums in the General Insurance business, improving investment income, enhanced savings from AIG Next, and streamlining initiatives.

Why Should You Stay Invested in Fidelity National (FNF) Stock?

Fidelity National Financial (FNF) is set to grow from its market-leading position, higher direct premiums, agency premiums, strong origination demand and effective capital deployment.

Primerica (PRI) Stock Rises 15% YTD: Will the Rally Last?

Primerica (PRI) is set to grow on a compelling portfolio, strong market presence and a solid capital position.

Here's Why Hold Strategy is Apt for CNA Financial (CNA) Stock

CNA Financial (CNA) remains poised to grow on the back of strong rate, higher income from limited partnership, improved net earned premium and sufficient liquidity.

Allstate (ALL) Rises 45% in a Year: Evaluating the Road Ahead

Allstate (ALL) remains well-poised for growth on higher P&C insurance premiums, strategic acquisitions and cost-cutting initiatives.

Here's Why Should You Stay Invested in Manulife (MFC) Stock

Manulife (MFC) appears well-poised for growth on its strengthening Asia business, expanding Wealth and Asset Management business, cost savings to improve profitability and solid capital position.

Should You Add NMI Holdings (NMIH) Stock for Better Returns?

NMI Holdings (NMIH) is set to grow on an improving mortgage insurance portfolio, higher new insurance written volume, a comprehensive reinsurance program and a solid capital position.

Manulife Financial (MFC) Shares Gain on New Financial Goals

Manulife Financial (MFC) sets new financial goals banking on its operational efficiency.

Here's Why You Should Retain Nasdaq (NDAQ) in Your Portfolio

Nasdaq (NDAQ) appears well poised on impressive organic growth, ramping up of on-trading revenue base, strategic buyouts to capitalize on market opportunities and effective capital deployment.

Here's Why Willis Towers (WTW) Stock is Worth Retaining

New business, strategic acquisitions, geographic diversification, solid customer retention levels and a strong capital position poise Willis Towers (WTW) for growth.

Should You Retain Progressive (PGR) Stock in Your Portfolio?

Progressive (PGR) is poised to grow from its compelling portfolio, leadership position, strength in Vehicle and Property businesses, healthy policies in force, retention and a solid capital position.