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ERIE - Erie Indemnity Compa...

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Erie Indemnity Company

ERIE

NASDAQ

Erie Indemnity Company operates as a managing attorney-in-fact for the subscribers at the Erie Insurance Exchange in the United States. The company provides sales, underwriting, policy issuance, and renewal services for the policyholders on behalf of the Erie Insurance Exchange. It also offers sales related services, including agent compensation, and sales and advertising support services; and underwriting services comprise underwriting and policy processing; and other services consist of customer services and administrative support services, as well as information technology services. Erie Indemnity Company was incorporated in 1925 and is based in Erie, Pennsylvania.

351.13 USD

-7.49 (-2.13%)

ERIE Financial Statements

Year

2024

2023

2022

2021

Total Revenue

3.86B

3.31B

2.85B

2.67B

Cost of Revenue

67.29M

2.75B

2.46B

2.32B

Gross Profit

3.8B

560.53M

387.29M

353.73M

Operating Expenses

3.11B

40.28M

10.84M

-22.68M

Research and Development

0

0

0

0

Selling, General & Administrative Expenses

68.36M

737.14M

6.03M

4.08M

Selling & Marketing Expenses

0

0

0

0

General & Administrative Expenses

68.36M

737.14M

0

0

Other Expenses

3.05B

0

-6.03M

-4.08M

Operating Income

757.28M

520.26M

376.45M

376.4M

Total Other Income/Expenses Net

0

41.68M

0

0

Income Before Tax

757.28M

561.94M

376.45M

376.4M

Income Tax

156.97M

115.88M

77.88M

78.54M

Net Income

600.31M

446.06M

298.57M

297.86M

Basic EPS

12.89

9.66

6.41

6.4

EPS Diluted

11.48

9.66

5.67

5.69

Basic Average Shares

46.19M

46.19M

46.19M

46.19M

Diluted Average Shares

52.69M

52.68M

46.19M

46.19M

EBITDA

821.19M

600.23M

430.18M

429.63M

Retained Earning Schedule

Year

2024

2023

2022

2021

Retained Earnings (Previous Year)

2.8B

2.58B

2.5B

2.39B

Net Income

600.31M

446.06M

298.57M

297.86M

Stock Repurchases

0

0

0

0

Dividend Paid

-237.51M

-221.68M

-206.77M

-192.8M

Retained Earnings

3.16B

2.8B

2.58B

2.5B

Other Distributions

121.11M

-1.25M

-118.7M

-91.23M

PPE Schedule

Year

2024

2023

2022

2021

Gross PPE

513.49M

442.61M

413.87M

374.8M

Annual Depreciation

63.91M

53.59M

51.72M

49.1M

Capital Expenditure

-124.84M

-92.65M

-67.2M

-148.8M

Net PPE

574.43M

481.67M

429.36M

474.5M

Intangible and Goodwill Schedule

Year

2024

2023

2022

2021

Acquisitions and Adjustments

-38.64M

-4.14M

-4.82M

-7.18M

Goodwill (Previous Year)

38.64M

42.78M

47.59M

54.77M

Goodwill

0

38.64M

42.78M

47.59M

All figures are in USD.

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