American Integrity Insurance Group, Inc. Cash Flow
AII's free cash flow for Q3 2025 was $-11.94M. For the 2025 fiscal year, AII's free cash flow was decreased by $83.92M and operating cash flow was $-7.48M. See a summary of the company’s cash flow.
Cash Flow
Dec 24
Dec 23
Operating Cash Flow
$ 148.91M
$ 64.44M
Investing Cash Flow
$ -19.37M
$ -1.84M
Financing Cash Flow
$ -12.44M
$ -2.35M
End Cash Position
$ 179.27M
$ 62.17M
Free Cash Flow
$ 147.60M
$ 63.68M
Currency in USD
American Integrity Insurance Group, Inc. Cash Flow