Slide Insurance Holdings, Inc. Common Stock (SLDE) — Cash Flow Reinvestment Rate

Latest as of September 2025: 0.75x

Slide Insurance Holdings, Inc. Common Stock (SLDE) has a Cash Flow Reinvestment Rate of 0.75x as of September 2025, reinvesting $18.91 Million (capex $818.00K plus investments $-18.09 Million) from operating cash flow of $25.27 Million. Explore Slide Insurance Holdings, Inc. Common St capex to cash flow ratio to see what proportion of operating cash flow is directed to capital expenditures.

Reinvestment Rate

0.75x
(Capex + Investments) / Operating CF

Total Reinvested

$18.91 Million
Capex + Investments

Operating Cash Flow

$25.27 Million
USD

Capital Expenditures

$818.00K
USD

Slide Insurance Holdings, Inc. Common Stock Cash Flow Reinvestment Rate (2022–2024)

Historical reinvestment intensity for Slide Insurance Holdings, Inc. Common Stock across 3 annual periods. Also explore Slide Insurance Holdings, Inc. Common St assets under control for the complete picture of this company's asset base.

Annual Cash Flow Reinvestment Rate for Slide Insurance Holdings, Inc. Common Stock (2022–2024)

Year-by-year capital reinvestment analysis for Slide Insurance Holdings, Inc. Common Stock. For live market cap and broader valuation context, see SLDE market cap.

Year Reinvestment Rate Total Reinvested (USD) Operating CF Capex YoY Change
2024 0.39x $214.08 Million $553.89 Million $10.09 Million ▼ -33.9%
2023 0.58x $259.01 Million $443.00 Million $8.68 Million ▲ +27.1%
2022 0.46x $72.28 Million $157.12 Million $20.18 Million
Cash Flow Reinvestment Rate = (ABS(Capex) + ABS(Investments)) / Operating Cash Flow