Erie Indemnity Company ERIE Cash Flow Statement
| FY'25 | FY'24 | FY'23 | FY'22 | ||
|---|---|---|---|---|---|
| $686.66M+12.3% | $611.25M+60.3% | $381.21M+4.1% | $366.15M-9.1% | ||
| $115.69M-7.3% | $124.85M+34.8% | $92.65M+37.9% | $67.2M-54.8% | ||
| $693.07M+46.3% | $473.65M+69.2% | $280M-39.8% | $465.07M+22.4% | ||
| $205.97M+0.4% | $205.16M+27.7% | $160.61M-45.7% | $296M+97.1% | ||
| $36.93M+12.6% | $32.8M-7.6% | $35.48M+87.4% | $18.93M-67.5% | ||
| $35.51M-2.4% | $36.36M+77.2% | $20.53M+76.5% | $11.63M+82.2% | ||
| -$474.85M-109% | -$226.91M-44.0% | -$157.57M-47.4% | -$106.92M+42.4% | ||
| $254.28M+7.1% | $237.51M+7.1% | $221.68M+7.2% | $206.77M+7.2% | ||
| -$199.85M+13.1% | -$230M-3.8% | -$221.68M+26.3% | -$300.84M-54.4% | ||
| —— | $154.34M+7,755% | $1.97M— | —— | ||
| $104M-34.9% | $159.87M+53.2% | $104.37M+29.5% | $80.62M-4.6% | ||
| $316.64M+2.7% | $308.27M+4.9% | $293.86M+11.5% | $263.52M+12.0% | ||
| $36.93M+12.6% | $32.8M-7.6% | $35.48M+87.4% | $18.93M-67.5% | ||
| $35.51M-2.4% | $36.36M+77.2% | $20.53M+76.5% | $11.63M+82.2% | ||
| $188.57M-4.1% | $196.64M+157% | $76.62M-41.2% | $130.4M-29.4% | ||
| $205.97M+0.4% | $205.16M+27.7% | $160.61M-45.7% | $296M+97.1% | ||
| $34.34M-4.3% | $35.89M+46.8% | $24.46M+19.6% | $20.46M-68.1% | ||
| $54.42M+588% | $7.91M— | —— | $0— | ||
| $836.7M+5.8% | $791.05M+8.3% | $730.13M+9.4% | $667.52M+5.5% | ||
| $814.11M+4.9% | $776.15M+7.5% | $721.93M+7.9% | $668.86M+5.4% | ||
| $26.36M— | —— | $0-100% | $26.39M— | ||
| $94.79M-0.1% | $94.86M-21.1% | $120.21M-11.9% | $136.4M+10.4% | ||
| $1.61B+11.5% | $1.44B+20.3% | $1.2B+15.1% | $1.04B+7.9% | ||
| $264.41M+6.1% | $249.14M+10.2% | $226.04M+8.4% | $208.58M+2.1% | ||
| —— | —— | —— | —— | ||
| $24.75M-6.1% | $26.35M+1.3% | $26.02M+2.0% | $25.52M+6.3% | ||
| $3.21B+10.7% | $2.9B+19.8% | $2.42B+15.2% | $2.1B+6.0% | ||
| $78.7M+16.3% | $67.64M+17.7% | $57.45M+43.0% | $40.16M-12.4% | ||
| $4M-49.2% | $7.87M— | —— | $7.65M+122% | ||
| $104M-34.9% | $159.87M+53.2% | $104.37M+29.5% | $80.62M-4.6% | ||
| $570.97M+17.4% | $486.4M+68.6% | $288.56M-3.5% | $298.95M+17.7% | ||
| $570.97M+17.4% | $486.4M+68.6% | $288.56M-3.5% | $298.95M+17.7% |
Chart any of these lines over time, or line them up against competitors.
Compare these in charts →Questions, answered.
- How much cash does Erie Indemnity Company generate?
- Erie Indemnity Company (ERIE) generated $660.4M in operating cash flow over the trailing twelve months.
- What is Erie Indemnity Company's free cash flow?
- After $123.4M of capital expenditures, Erie Indemnity Company's free cash flow was $537.0M over the trailing twelve months, up 5.3% year over year.
- Where does Erie Indemnity Company's cash flow data come from?
- Every line is extracted from Erie Indemnity Company's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.
