{"ticker": {"uuid": "f4fdd3ba-de13-478e-b37a-6a7c0f4c08e5", "symbol": "PLMR", "name": "Palomar Holdings Inc", "exchange": "NASDAQ", "asset_type": "equity"}, "latest_week": "2026-06-12", "summary": "PLMR closed the latest completed week at 114.8 USD. The 4-week return is 3.7% and the 12-week return is -1.8%. Trend Signal is inactive, Market Dynamics is -0.92.", "description": "Palomar Holdings, Inc., an insurance holding company, offers specialized property insurance to residential and commercial clients. The company is headquartered in La Jolla, California.", "setup_signature": "Risk-first tape", "composite_score": "25", "kpis": [{"label": "Latest Close", "value": "114.8 USD", "hint": "2026-06-12"}, {"label": "1W Return", "value": "5.8%", "tone": "positive", "hint": "latest completed week"}, {"label": "4W Return", "value": "3.7%", "tone": "positive", "hint": "short-term follow-through"}, {"label": "12W Return", "value": "-1.8%", "tone": "negative", "hint": "quarterly tape"}, {"label": "Trend Breadth", "value": "28.8%", "hint": "15 of 52 weeks active"}, {"label": "Volume Ratio", "value": "0.9x", "hint": "vs 13-week average"}], "classification": {"exchange": "NASDAQ", "country": "US", "sector": "Financial Services", "industry": "Insurance - Property & Casualty", "currency": "USD", "market_cap": "2.8B"}, "price": {"trend_line": "122.6 USD", "fair_value": "101.0 USD", "vs_trend": "-6.3%", "vs_fair_value": "13.7%", "high_52": "165.1 USD", "low_52": "100.8 USD", "drawdown": "-30.4%", "range_position": "21.8%"}, "momentum": {"returns": [{"label": "1W", "value": 5.84277946733019, "value_label": "5.8%", "tone": "positive", "width": 16.6936556209434}, {"label": "4W", "value": 3.6739483661310643, "value_label": "3.7%", "tone": "positive", "width": 10.496995331803042}, {"label": "12W", "value": -1.7536355859709247, "value_label": "-1.8%", "tone": "negative", "width": 5.010387388488356}, {"label": "26W", "value": -9.274034283908689, "value_label": "-9.3%", "tone": "negative", "width": 26.497240811167682}, {"label": "52W", "value": -28.633567389548258, "value_label": "-28.6%", "tone": "negative", "width": 81.81019254156645}], "trend_streak": 0, "active_weeks": 15, "active_breadth": "28.8%", "peer": {"scope": "US Financial Services", "count": 1015, "rank": 134, "percentile": 86.8836291913215, "avg_weekly_return": 2.169863674770037}}, "setup": {"scores": [{"label": "Trend", "value": 15.865384615384615, "value_label": "16", "width": 15.865384615384615, "tone": "negative", 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"average_loss": "-3.4%"}, "signals": [{"label": "Trend Signal", "value": "Inactive", "tone": "negative"}, {"label": "Market Dynamics", "value": "No fresh buy", "tone": "neutral"}, {"label": "Price vs Trend", "value": "-6.3%", "tone": "negative"}, {"label": "Volume", "value": "0.9x", "tone": "neutral"}], "opportunities": ["Price is above Fair Value, showing premium demand versus the model."], "risks": ["Trend Signal is inactive, so price action has not confirmed a constructive regime.", "Price is below the Trend Line, which keeps downside pressure in focus.", "Market Dynamics is negative, which weakens the current setup.", "The share remains more than 20% below its 52-week high."], "watch_points": ["Trend Line remains the key weekly regime level.", "Market Dynamics is the pressure gauge to monitor for confirmation or fade.", "A volume ratio above 1.5x would show stronger participation in the next move."], "recent_rows": [{"week": "2026-06-12", "close": "114.8 USD", "weekly_return": 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