Erie Indemnity Company

NASDAQ:ERIE

483.05 (USD) • At close October 17, 2024
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Operationele Activiteiten:
Nettowinst 446.061298.569297.86293.304316.821288.224196.999210.366174.6781681,048160268660108.4969.238212.945204.025231.104226.413199.725172.126122.261152.393143.106134.551118.581105.13293.671.762.4
Afschrijvingen & Amortisatie 53.59251.7249.09734.30330.77213.36814.83115.15416.46116141141237.98936.93331.36336.05136.85538.9814.2933.9862.352.7451.7662.0011.8891.4280.80.70.9
Uitgestelde Inkomstenbelasting -1.0029.468-1.854-5.1623.349-1.35837.007-0.002-14.58401980-105342-7.81-23.1113.0929.033-0.9220.8660.949-0.1241.013-2.112-1.3114.6770.4411.2550-0.30.7
Aandelen Gebaseerde Vergoedingen 12.25413.68.97.512.89.515.70715.395.507-0.075-8.348000000000000000
Verandering in Werkkapitaal -148.429-34.64685.95517.40118.875-43.616-54.89428.66348.58-882-443-166-536-670-42.701-84.744-22.198-1.55-65.953-35.47237.112-32.229-34.095-20.083-11.309-2.366-13.3535.16853.552.8110.4
Vorderingen -101.558-47.81215.357-29.463-11.975-7.476-64.944-24.644-13.287-159-112-166000000-76.263-168.71-195.037-139.312-152.673-77.179-13.2-12.7-26.9-35-33.43155.5
Voorraden 047.81200000000000000000000000000000
Crediteuren 33.82918.99313.864-0.82710.3545.42242.50434.18127.7810000003.5680010.31150.974211.117-5.84816.3628.0683.3436.646-2.864-2.20160.8-4.3-0.3
Overig Werkkapitaal -80.7-53.63956.73447.69120.496-41.562-32.45419.12634.086-723-57400-6700-88.312-22.19800-17.73621.032112.931102.21649.028-1.4523.68816.41142.36926.126.155.2
Overige Niet-Contante Posten 24.8442.504-32.264-10.851-14.19-288.224-196.999-210.366-174.678-168100-16017237084.272160.877-3.13385.365276.637-10.208-16.728-0.7750.2940.6421.2121.0820.345-0.152-36.1-26-58.6
Kasstroom uit Operationele Activiteiten 381.205366.152402.794342.595364.527288.224196.999210.366174.678168903160360721180.165150.845248.461270.441246.617220.58225.351187.585148.607135.347137.609150.498118.906103.43111.898.1114.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -92.647-67.204-148.8-55.528-102.039-56.297-28.927-25.208-12.556-52-42-33-11-33-16.246-8.2790-4.938-2.003-2.689-2.658-3.73-3.127-1.34-4.638-4.259-2.177-3.028-0.1-0.4-2.2
Netto Overnames 00.26500.0153.6743.14410.35815.53525.80777110101-46-23-35.129-34.839-77.508-95.005-69.115-1.791-36.659-45.635-28.381.032251.586231.703144.776-2.809000
Aankoop van Beleggingen -315.567-484.157-439.854-476.674-1,024.61-396.982-391.181-369.811-228.308-4,005-4,354-4,091-3,662-3,434-196.328-266.638-324.655-342.739-528.12-498.618-536.719-442.638-303.403-52.789-255.78-235.568-146.395-207.191-123-59.5-114.8
Verkoop/verval van Beleggingen 262.56447.282400.167291.5881,007.254373.881339.297240.954214.9913,3833,5253,9373,3463,082181.22386.454461.004505.622443.715387.414434.166310.87287.9621.719180.699119.56990.25193.12851.914.125.7
Overige Investeringsactiviteiten -11.911-3.1082.997-2.626-8.913-5.144-4.211.5860.688121-23-2.158-3.22-8.705-1.3641.942-32.856-7.98-5.604-5.254-2.813-252.463-232.491-145.2850.83-18.31.5-4.4
Kasstroom uit Investeringsactiviteiten -157.565-106.922-185.49-243.225-124.634-81.398-74.663-136.9440.622-596-759-85-375-405-68.64173.47850.13661.576-153.581-148.54-149.85-186.737-52.202-54.191-80.596-121.045-58.83-119.07-89.5-44.3-95.7
Financieringsactiviteiten:
Schuldaflossingen 0-149.07-2.041-1.967-1.92-24.983-49.951-24.776000000-18.155-87.216-7.585-8.046-30.8310-2500000000-2.4-1.3
Uitgifte van Gewone Aandelen 00000000000000000070.831000000000000
Terugkoop van Gewone Aandelen 000000000-20-32-70-155-57-3.141-102.018-236.713-217.353-98.966-54.0510-8.487-7.654-31.389-54.33000000
Uitgekeerde Dividenden -221.675-206.772-192.801-272.902-167.651-156.474-145.765-135.985-126.858-119-84-229-102-98-92.951-92.302-91.055-86.089-81.929-55.12-49.021-43.666-39.316-35.203-32.049-29.022-25.647-22.498-17.5-13.9-11.1
Overige Financieringsactiviteiten 055-2.041-95.067-1.9224.98349.95124.7760182422273518.15587.2167.5858.046-250000000000-0.10
Kasstroom uit Financieringsactiviteiten -221.675-300.842-194.842-274.869-169.571-131.491-95.814-111.209-126.858-121-92-277-230-120-96.092-194.32-327.768-303.442-165.895-109.171-74.021-52.153-46.97-66.592-86.379-29.022-25.647-22.498-17.5-16.4-12.4
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 50.5910000-24.6390.12743.9742.7611041700000054.464000000000-22.3-53.8-18.9
Netto Kasstroomverandering 1.965-41.61222.462-175.49970.32250.69626.6496.18391.1426252215-24519615.43230.003-29.17128.575-18.395-37.1311.48-51.30549.43514.564-29.3660.43234.429-38.137-17.5-16.4-12.4
Kaspositie aan het Einde van de Periode 144.055142.09183.702161.24336.739266.417215.721189.072182.88951445240018543076.50561.07331.0760.24131.66650.06187.19285.71288.21338.77824.21453.5853.14818.7234.6-1.7-4.3