Slide Insurance Holdings (SLDE) Net Cash Flow (2024 - 2025)
Slide Insurance Holdings has reported Net Cash Flow over the past 2 years, most recently at $280.8 million for Q4 2025.
- Quarterly results put Net Cash Flow at $280.8 million for Q4 2025, up 98.59% from a year ago — trailing twelve months through Dec 2025 was $408.6 million (changed N/A YoY), and the annual figure for FY2025 was $893.1 million, up 157.03%.
- Net Cash Flow for Q4 2025 was $280.8 million at Slide Insurance Holdings, up from -$13.6 million in the prior quarter.
- Over the last five years, Net Cash Flow for SLDE hit a ceiling of $280.8 million in Q4 2025 and a floor of -$13.6 million in Q3 2025.