American Integrity Insurance (AII) Cash from Financing Activities (2024 - 2025)
American Integrity Insurance (AII) has disclosed Cash from Financing Activities for 2 consecutive years, with -$103000.0 as the latest value for Q4 2025.
- Quarterly Cash from Financing Activities changed 0.0% to -$103000.0 in Q4 2025 from the year-ago period, while the trailing twelve-month figure was $61.7 million through Dec 2025, up 596.41% year-over-year, with the annual reading at $61.7 million for FY2025, 596.41% up from the prior year.
- Cash from Financing Activities for Q4 2025 was -$103000.0 at American Integrity Insurance, down from -$102000.0 in the prior quarter.
- The five-year high for Cash from Financing Activities was $76.9 million in Q2 2025, with the low at -$15.0 million in Q1 2025.