ERIE INDEMNITY CO

Annual Trend FY 2016 FY 2017 FY 2018 FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Cash flows from operating activities:
Adjustments to reconcile net income to net cash provided by operating activities:
Net Income From Continuing Operations $298.6m $446.1m $600.3m $559.3m
Net Income (Loss) Attributable to Parent $210.4m $197.0m $288.2m $316.8m $293.3m $297.9m $298.6m $446.1m $600.3m $559.3m
Depreciation, Depletion and Amortization $15.1m $14.8m $13.4m $16.8m $21.2m $37.2m $45.9m $47.4m $56.5m $69.5m
Deferred Income Tax Expense (Benefit) ($2k) $26.9m ($1.4m) $3.3m ($5.2m) ($1.9m) $9.5m ($1.0m) $4.0m
Deferred Income Tax $9.5m ($1.0m) $4.0m $19.5m
Deferred Tax $9.5m ($1.0m) $4.0m $19.5m
Gain (Loss) on Disposition of Property Plant Equipment, Excluding Oil and Gas Property and Timber Property $3.0m ($75k) $15k $13k ($172k) ($1.6m) ($3.9m)
Income (Loss) from Equity Method Investments $7.0m $2.8m ($822k) $660k $31.7m
Income Tax Expense (Benefit) $109.7m $118.7m $83.1m $79.9m $75.2m $78.5m $77.9m $115.9m $157.0m $151.3m
Interest Expense Nonoperating $0
Other Nonoperating Income (Expense) $3.6m $255k ($1.8m) ($4.9m) $1.6m $12.7m $11.6m $8.6m
Additional Financial Items
Debt and Equity Securities, Gain (Loss) $6.1m $6.4m $4.9m ($27.3m) ($5.8m) $3.2m $2.3m
Equity Securities, FV-NI, Gain (Loss) $5.1m ($186k) ($13.2m) $871k $4.8m $2.3m
Equity Securities, FV-NI, Realized Gain (Loss) ($469k) ($76k) ($1.9m) ($2.3m) $1.2m $341k
Equity Securities, FV-NI, Unrealized Gain (Loss) $5.5m ($110k) ($11.4m) $3.2m $3.6m $1.9m
Gain (Loss) on Sale of Properties $3.4m
Operating Costs and Expenses $13.1m $14.5m
Operating Expenses $1.3b $1.4b $2.0b $2.1b $2.2b $2.3b $2.5b $2.7b $3.1b $3.4b
Financing Receivable, Credit Loss, Expense (Reversal) $297k ($152k) $0
Beginning Cash Position $183.7m $142.1m $144.1m $298.4m
Cash Flow From Continuing Financing Activities ($300.8m) ($221.7m) ($230.0m) ($199.9m)
Cash Flow From Continuing Investing Activities ($106.9m) ($157.6m) ($226.9m) ($439.3m)
Change In Account Payable $19.0m $7.2m ($7.5m) ($7.8m)
Change In Accrued Expense ($25.3m) ($27.1m) $7.4m $57.1m
Change In Other Current Assets $0 ($101.2m) ($34.5m) ($29.4m)
Change In Other Current Liabilities $52.8m $15.6m $0 $0
Change In Other Working Capital $358k $12.8m $5.5m $3.8m
Change In Payable $48.3m $60.9m $47.1m $9.2m
Change In Payables And Accrued Expense $23.0m $33.8m $54.5m $66.3m
Change In Prepaid Assets ($25.8m) $7.7m ($3.0m) $22.3m
Change In Receivables ($45.8m) ($100.4m) ($81.7m) ($28.5m)
Change In Working Capital ($34.6m) ($148.4m) ($60.9m) $31.3m
Changes In Cash ($41.6m) $2.0m $154.3m $47.5m
End Cash Position $142.1m $144.1m $298.4m $345.9m
Financing Cash Flow ($300.8m) ($221.7m) ($230.0m) ($199.9m)
Free Cash Flow $298.9m $288.6m $486.4m $571.0m
Gain Loss On Investment Securities $40.9m $29.4m $21k ($3.4m)
Gain Loss On Sale Of PPE $172k $1.6m $3.9m $5.7m
Investing Cash Flow ($106.9m) ($157.6m) ($226.9m) ($439.3m)
Net PPE Purchase And Sale ($66.9m) ($92.6m) ($124.8m) ($115.7m)
Operating Gains Losses $41.0m $31.0m $3.9m $2.3m
Purchase Of PPE ($67.2m) ($92.6m) ($124.8m) ($115.7m)
Sale Of PPE $0 $265k $0 $0
Defined Benefit Plan, Net Periodic Benefit Cost (Credit), Gain (Loss) Due to Settlement ($302k) $0 $0 $1.3m $572k
Net Cash Provided by (Used in) Operating Activities $254.3m $197.1m $263.6m $364.5m $342.6m $402.8m $366.2m $381.2m $611.2m $686.7m
Cash flows from investing activities:
Capital Expenditure ($67.2m) ($92.6m) ($124.8m) ($115.7m)
Net Investment Purchase And Sale ($36.9m) ($53.0m) ($75.8m) ($301.0m)
Purchase Of Investment ($484.2m) ($315.6m) ($513.5m) ($730.0m)
Sale Of Investment $447.3m $262.6m $437.7m $429.0m
Net Cash Provided by (Used in) Investing Activities ($136.9m) ($74.7m) ($81.4m) ($124.6m) ($243.2m) ($185.5m) ($106.9m) ($157.6m) ($226.9m) ($439.3m)
Cash flows from financing activities:
Proceeds from Maturities, Prepayments and Calls of Debt Securities, Available-for-sale $146.3m $195.0m $134.4m $303.8m $118.9m $184.8m $130.4m $76.6m $196.6m $188.6m
Issuance Of Debt $0 $55.0m $0 $0
Net Issuance Payments Of Debt ($2.0m) ($94.1m) $0 $0
Net Long Term Debt Issuance ($2.0m) ($94.1m)
Net Short Term Debt Issuance $0 $0 $0 $0
Short Term Debt Issuance $0 $55.0m $0 $0
Long Term Debt Payments ($2.0m) ($94.1m) $0 $0
Repayment Of Debt ($2.0m) ($149.1m) $0 $0
Short Term Debt Payments $0 ($55.0m) $0 $0
Payments for Repurchase of Common Stock $0
Payments of Ordinary Dividends, Common Stock $136.0m $145.8m $156.5m $167.7m $272.9m $192.8m $206.8m $221.7m $237.5m $254.3m
Dividends Payable, Current $36.4m $39.1m $41.9m $44.9m $48.2m $51.7m $55.4m $59.4m $63.6m $68.1m
Cash Dividends Paid ($206.8m) ($221.7m) ($237.5m) ($254.3m)
Common Stock Dividend Paid ($206.8m) ($221.7m) ($237.5m) ($254.3m)
Net Cash Provided by (Used in) Financing Activities ($111.2m) ($95.8m) ($131.5m) ($169.6m) ($274.9m) ($194.8m) ($300.8m) ($221.7m) ($230.0m) ($199.9m)
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect $26.6m $50.7m $70.3m ($175.5m) $22.5m ($41.6m) $2.0m $154.3m $47.5m
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents $26.6m $50.7m $336.7m $161.2m $183.7m $142.1m $144.1m $298.4m $345.9m
Supplemental disclosure of cash flow information:
Change In Cash Supplemental As Reported ($41.6m) $2.0m $154.3m $47.5m
Interest Paid, Excluding Capitalized Interest, Operating Activities $1.0m $2.4m $853k $693k $4.1m $2.1m $0 $0
Income Taxes Paid, Net $104.6m $106.2m $58.8m $72.8m $82.6m $84.5m $80.6m $104.4m $159.9m $104.0m

Values abbreviated: b = billions, m = millions, k = thousands. Per share data in USD.