Oxbridge Re Holdings (OXBR) Cash from Financing Activities (2016 - 2025)
Oxbridge Re Holdings (OXBR) has disclosed Cash from Financing Activities for 9 consecutive years, with $405000.0 as the latest value for Q3 2025.
- On a quarterly basis, Cash from Financing Activities fell 29.93% to $405000.0 in Q3 2025 year-over-year; TTM through Sep 2025 was $4.9 million, a 622.47% increase, with the full-year FY2024 number at $2.6 million, up 119.97% from a year prior.
- Cash from Financing Activities was $405000.0 for Q3 2025 at Oxbridge Re Holdings, up from -$773000.0 in the prior quarter.
- In the past five years, Cash from Financing Activities ranged from a high of $3.4 million in Q1 2025 to a low of -$773000.0 in Q2 2025.
- A 3-year average of $678300.0 and a median of $400000.0 in 2024 define the central range for Cash from Financing Activities.
- Peak YoY movement for Cash from Financing Activities: skyrocketed 28800.0% in 2024, then tumbled 164.73% in 2025.
- Oxbridge Re Holdings' Cash from Financing Activities stood at $2000.0 in 2023, then skyrocketed by 95850.0% to $1.9 million in 2024, then tumbled by 78.9% to $405000.0 in 2025.
- Per Business Quant, the three most recent readings for OXBR's Cash from Financing Activities are $405000.0 (Q3 2025), -$773000.0 (Q2 2025), and $3.4 million (Q1 2025).