Slide Insurance Holdings (SLDE) Net Cash Flow (2024 - 2025)
Slide Insurance Holdings (SLDE) has 2 years of Net Cash Flow data on record, last reported at $280.8 million in Q4 2025.
- For Q4 2025, Net Cash Flow rose 98.59% year-over-year to $280.8 million; the TTM value through Dec 2025 reached $408.6 million, changed N/A, while the annual FY2025 figure was $893.1 million, 157.03% up from the prior year.
- Net Cash Flow reached $280.8 million in Q4 2025 per SLDE's latest filing, up from -$13.6 million in the prior quarter.
- Across five years, Net Cash Flow topped out at $280.8 million in Q4 2025 and bottomed at -$13.6 million in Q3 2025.