Growth Metrics

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 -$690000.0 as the latest value for Q4 2025.

  • Quarterly Cash from Financing Activities fell 171.06% to -$690000.0 in Q4 2025 from the year-ago period, while the trailing twelve-month figure was $2.3 million through Dec 2025, up 39.89% year-over-year, with the annual reading at $2.3 million for FY2025, 39.89% up from the prior year.
  • Cash from Financing Activities for Q4 2025 was -$690000.0 at Oxbridge Re Holdings, down from $405000.0 in the prior quarter.
  • The five-year high for Cash from Financing Activities was $3.4 million in Q1 2025, with the low at -$773000.0 in Q2 2025.
  • Average Cash from Financing Activities over 3 years is $467727.3, with a median of $395000.0 recorded in 2024.
  • The sharpest move saw Cash from Financing Activities surged 28800.0% in 2024, then plummeted 171.06% in 2025.
  • Over 3 years, Cash from Financing Activities stood at $2000.0 in 2023, then surged by 48450.0% to $971000.0 in 2024, then tumbled by 171.06% to -$690000.0 in 2025.
  • According to Business Quant data, Cash from Financing Activities over the past three periods came in at -$690000.0, $405000.0, and -$773000.0 for Q4 2025, Q3 2025, and Q2 2025 respectively.