ERIE Erie Indemnity Company - Class A Common Stock

NASDAQ · Insurance · Ver en SEC EDGAR ↗
$222,53
Precio · May 20, 2026
Fundamentales a fecha de Abr 23, 2026

ERIE Instantánea de la Acción Precio, capitalización bursátil, P/E, BPA, ROE, deuda/capital, rango de 52 semanas

Precio
$222.53
Capitalización Bursátil
P/E (TTM)
BPA (TTM)
Ingresos (TTM)
$4.07B
Rendimiento div.
ROE
25.0%
Deuda/Capital
Rango 52S
$210 – $381

ERIE Gráfico del Precio de la Acción OHLCV diario con indicadores técnicos — desplace, amplíe y personalice su vista

Rendimiento a 10 años Tendencias de ingresos, beneficio neto, márgenes y BPA

Ingresos y Beneficio Neto $4.07B
10-point trend, +154.7%
2016-12-31 2025-12-31
BPA
Flujo de caja libre $571M
8-point trend, +175.4%
2018-12-31 2025-12-31
Márgenes 13.8%

Valoración Ratios P/E, P/S, P/B, EV/EBITDA: ¿está la acción cara o barata?

Métrica
Tendencia a 5 años
ERIE
Mediana de Pares

Rentabilidad Márgenes brutos, operativos y netos; ROE, ROA, ROIC

Métrica
Tendencia a 5 años
ERIE
Mediana de Pares
Operating Margin (Margen Operativo)
5-point trend, +45.9%
17.6%
Net Profit Margin (Margen de Beneficio Neto)
5-point trend, +21.6%
13.8%
12.4%
ROA
5-point trend, +31.1%
17.9%
3.6%
ROE
5-point trend, +10.5%
25.0%
15.2%
ROIC
5-point trend, +41.0%
24.7%

Salud financiera Deuda, liquidez, solvencia — solidez del balance general

Métrica
Tendencia a 5 años
ERIE
Mediana de Pares
Current Ratio (Ratio corriente)
5-point trend, +4.8%
1.3
1.3
Quick Ratio (Ratio Rápido)
5-point trend, +2.4%
0.8

Crecimiento Crecimiento de ingresos, BPA y beneficio neto: interanual, CAGR a 3 años, CAGR a 5 años

Métrica
Tendencia a 5 años
ERIE
Mediana de Pares
Revenue YoY (Ingresos interanuales)
5-point trend, +54.4%
7.2%
Revenue CAGR 3Y (Ingresos CAGR 3A)
5-point trend, +54.4%
12.7%
Revenue CAGR 5Y (Ingresos CAGR 5A)
5-point trend, +54.4%
9.9%
Net Income YoY (Beneficio Neto interanual)
5-point trend, +87.8%
-6.8%

Métricas por acción BPA, valor contable por acción, flujo de caja por acción, dividendo por acción

Métrica
Tendencia a 5 años
ERIE
Mediana de Pares

Eficiencia de capital Rotación de activos, rotación de inventario, rotación de cuentas por cobrar

Métrica
Tendencia a 5 años
ERIE
Mediana de Pares
Payout Ratio (Ratio de Pago)
5-point trend, -29.8%
45.5%

Dividendos Rendimiento, ratio de pago, historial de dividendos, CAGR a 5 años

Rendimiento por Dividendo
Ratio de Pago
45.5%
CAGR de Dividendos a 5 años
Fecha ex-dividendoMonto
7 de abril de 2026$1,4630
6 de enero de 2026$1,4630
6 de octubre de 2025$1,3650
8 de julio de 2025$1,3650
7 de abril de 2025$1,3650
7 de enero de 2025$1,3650
7 de octubre de 2024$1,2750
9 de julio de 2024$1,2750
8 de abril de 2024$1,2750
5 de enero de 2024$1,2750
4 de octubre de 2023$1,1900
5 de julio de 2023$1,1900
4 de abril de 2023$1,1900
4 de enero de 2023$1,1900
4 de octubre de 2022$1,1100
5 de julio de 2022$1,1100
4 de abril de 2022$1,1100
4 de enero de 2022$1,1100
4 de octubre de 2021$1,0350
2 de julio de 2021$1,0350

ERIE Consenso de analistas Opiniones de analistas alcistas y bajistas, precio objetivo a 12 meses, potencial alcista

COMPRA 8 analistas
  • Compra fuerte 3 37,5%
  • Compra 3 37,5%
  • Mantener 2 25,0%
  • Venta 0 0,0%
  • Venta fuerte 0 0,0%

Historial de Ganancias EPS real vs estimado, sorpresa %, tasa de aciertos, próxima fecha de resultados

Sorpresa Media
-0.26%
Período EPS Actual EPS est. Sorpresa
31 de marzo de 2026 $2.88 $3.12 -0.24%
31 de diciembre de 2025 $1.21 $1.62 -0.41%
30 de septiembre de 2025 $3.50 $3.44 0.06%
30 de junio de 2025 $3.34 $3.54 -0.20%
31 de marzo de 2025 $2.65 $3.16 -0.51%

Comparación con pares Métricas clave frente a competidores del sector

Ticker Capitalización Bursátil P/E Ingresos interanuales Margen Neto ROE Margen Bruto
ERIE 7.2% 13.8% 25.0%
L 13.2 5.4% 9.0% 9.3%
FNF $14.79B 24.7 5.6% 4.2% 7.9%
AIZ
CNA $12.92B 10.2 5.0% 8.5% 11.6%
AFG $11.40B 13.6 -1.8% 10.3% 18.1%
ORI 12.3 11.0% 10.2% 16.2%
KNSL $9.05B 18.1 18.0% 26.9% 27.4%
FAF $6.27B 10.2 21.6% 8.3% 11.9%
THG 10.1 5.7% 10.1% 20.7%
MCY $5.21B 9.6 9.4% 9.0% 24.8%

Fundamentales Completos Todas las métricas por año — estado de resultados, balance general, flujo de caja

Estado de resultados 10
Datos anuales de Estado de resultados para ERIE
Métrica Tendencia 202520242023202220212020201920182017201620152014
Revenue 12-point trend, +189.0% $4.07B $3.80B $3.27B $2.84B $2.63B $2.54B $2.48B $2.38B $1.69B $1.60B $1.51B $1.41B
Operating Expenses 12-point trend, +182.9% $3.35B $3.12B $2.75B $2.46B $2.32B $2.20B $2.12B $2.04B $1.40B $1.30B $1.27B $1.18B
Operating Income 12-point trend, +221.8% $717M $676M $520M $376M $318M $338M $357M $344M $290M $294M $233M $223M
Interest Expense 8-point trend, -100.0% · · $0 $2M $4M $731.0K $856.0K $2M $1M $101.0K · ·
Interest Income 6-point trend, +103.5% · · · · · · $34M $31M $26M $22M $19M $17M
Other Non-op 10-point trend, +835.2% $9M $12M $13M $2M $-5M $-2M $255.0K $4M $-2M $-1M · ·
Pretax Income 12-point trend, +182.8% $711M $757M $562M $376M $376M $369M $397M $371M $316M $320M $266M $251M
Income Tax 12-point trend, +80.6% $151M $157M $116M $78M $79M $75M $80M $83M $119M $110M $92M $84M
Net Income 12-point trend, +233.9% $559M $600M $446M $299M $298M $293M $317M $288M $197M $210M $175M $168M
EBITDA 11-point trend, +215.9% $787M $733M $568M $422M $355M $359M $374M $358M $303M $307M $249M ·
Balance general 22
Datos anuales de Balance general para ERIE
Métrica Tendencia 202520242023202220212020201920182017201620152014
Cash & Equivalents 5-point trend, +190.4% · · · · · · · $266M $216M $189M $183M $92M
Short-term Investments 4-point trend, +12.5% · · · · · · · · $71M $56M $62M $63M
Receivables 7-point trend, +57.0% $736M $707M $625M $525M $479M $495M $469M · · · · ·
Prepaid Expense 12-point trend, +153.9% $66M $84M $69M $79M $56M $53M $45M $37M $35M $30M $25M $26M
Current Assets 12-point trend, +124.9% $1.20B $1.15B $930M $779M $764M $732M $891M $1.17B $802M $666M $635M $533M
Intangibles 2-point trend, +9.8% · · · · · · · · · · $47M $43M
Other Non-current Assets 12-point trend, +125.3% $48M $43M $43M $43M $49M $40M $63M $62M $29M $20M $21M $22M
Total Assets 12-point trend, +154.4% $3.36B $2.89B $2.47B $2.24B $2.24B $2.12B $2.02B $1.78B $1.67B $1.55B $1.41B $1.32B
Accounts Payable 12-point trend, +459.9% $201M $190M $176M $166M $138M $151M $135M $111M $105M $88M $89M $36M
Short-term Debt · · · · $0 · · · · · · ·
Current Liabilities 12-point trend, +136.3% $946M $803M $709M $665M $631M $628M $588M $547M $510M $470M $446M $400M
Capital Leases · · · · · · · $0 · · · ·
Deferred Tax 5-point trend, +24788000.00 $25M $6M $11M $14M $0 · · · · · · ·
Other Non-current Liabilities 12-point trend, +1966.3% $23M $23M $22M $29M $14M $9M $22M $12M $2M $2M $2M $1M
Total Liabilities 12-point trend, +74.0% $1.07B $901M $809M $791M $900M $929M $883M $805M $809M $732M $638M $616M
Long-term Debt 6-point trend, -100.0% · · · $0 $94M $96M $98M $100M $75M · · ·
Total Debt 7-point trend, -100.0% · · · $0 $94M $96M $98M $100M $75M $25M · ·
Retained Earnings 12-point trend, +77.7% $3.46B $3.16B $2.80B $2.58B $2.50B $2.39B $2.38B $2.23B $2.14B $2.07B $1.99B $1.95B
Treasury Stock 12-point trend, +2.2% $1.17B $1.17B $1.17B $1.17B $1.17B $1.16B $1.16B $1.16B $1.16B $1.16B $1.16B $1.15B
AOCI 12-point trend, +55.8% $-52M $-48M $-13M $-7M $-25M $-78M $-117M $-130M $-156M $-121M $-97M $-118M
Stockholders' Equity 12-point trend, +224.7% $2.28B $1.99B $1.66B $1.45B $1.34B $1.19B $1.13B $974M $857M $817M $770M $703M
Liabilities + Equity 12-point trend, +154.4% $3.36B $2.89B $2.47B $2.24B $2.24B $2.12B $2.02B $1.78B $1.67B $1.55B $1.41B $1.32B
Flujo de Efectivo 15
Datos anuales de Flujo de Efectivo para ERIE
Métrica Tendencia 202520242023202220212020201920182017201620152014
D&A 12-point trend, +342.7% $70M $56M $47M $46M $37M $21M $17M $13M $15M $15M $16M $16M
Deferred Tax 11-point trend, +221.8% · $4M $-1M $9M $-2M $-5M $3M $-1M $27M $-2.0K $-15M $-3M
Amort. of Intangibles 2-point trend, +21.5% · · · · · · · · · · $9M $7M
Other Non-cash 11-point trend, +41.6% $58M $-50M $-111M $12M $70M $33M $28M $-37M $-42M $29M $41M ·
Operating Cash Flow 12-point trend, +269.1% $687M $611M $381M $366M $403M $343M $365M $264M $197M $254M $217M $186M
CapEx 10-point trend, +358.9% $116M $125M $93M $67M $149M $56M $102M $56M $29M $25M · ·
Investing Cash Flow 11-point trend, -70731.5% $-439M $-227M $-158M $-107M $-185M $-243M $-125M $-81M $-75M $-137M $622.0K ·
Stock Repurchased 3-point trend, -100.0% · · · · · · · · · $0 $0 $20M
Net Stock Activity 3-point trend, +100.0% · · · · · · · · · $0 $0 $-20M
Dividends Paid 12-point trend, +114.5% $254M $238M $222M $207M $193M $273M $168M $156M $146M $136M $127M $119M
Financing Cash Flow 11-point trend, -57.5% $-200M $-230M $-222M $-301M $-195M $-275M $-170M $-131M $-96M $-111M $-127M ·
Net Change in Cash 11-point trend, -47.9% $47M $154M $2M $-42M $22M $-175M $70M $51M $27M $6M $91M ·
Taxes Paid 12-point trend, +8.9% $104M $160M $104M $81M $84M $83M $73M $59M $106M $105M $106M $95M
Free Cash Flow 8-point trend, +175.4% $571M $486M $289M $299M $254M $287M $262M $207M · · · ·
Levered FCF 6-point trend, +40.5% · · $289M $297M $251M $286M $262M $205M · · · ·
Rentabilidad 7
Datos anuales de Rentabilidad para ERIE
Métrica Tendencia 202520242023202220212020201920182017201620152014
Operating Margin 11-point trend, +14.1% 17.6% 17.8% 15.9% 13.2% 12.1% 13.3% 14.4% 14.4% 17.1% 18.3% 15.4% ·
Net Margin 12-point trend, +401.8% 13.8% 15.8% 13.7% 10.5% 11.3% 11.6% 12.8% 12.1% 11.6% 13.2% 11.6% 2.7%
Pretax Margin 12-point trend, +28.9% 17.5% 20.0% 17.2% 13.2% 14.3% 14.5% 16.0% 15.6% 18.7% 20.1% 17.7% 13.6%
EBITDA Margin 11-point trend, +16.9% 19.3% 19.3% 17.4% 14.9% 13.5% 14.2% 15.1% 15.0% 17.9% 19.3% 16.5% ·
ROA 12-point trend, +1728.6% 17.9% 22.4% 18.9% 13.3% 13.7% 14.2% 16.7% 16.7% 12.3% 14.2% 12.8% 0.98%
ROE 12-point trend, +7.1% 25.0% 30.5% 27.2% 21.3% 22.7% 24.1% 28.1% 30.4% 23.5% 26.5% 23.7% 23.4%
ROIC 11-point trend, +24.7% 24.7% 27.0% 24.8% 20.6% 17.5% 21.0% 23.2% 24.9% 19.3% 22.8% 19.8% ·
Liquidez y Solvencia 5
Datos anuales de Liquidez y Solvencia para ERIE
Métrica Tendencia 202520242023202220212020201920182017201620152014
Current Ratio 11-point trend, -11.0% 1.3 1.4 1.3 1.2 1.2 1.2 1.5 2.1 1.6 1.4 1.4 ·
Quick Ratio 10-point trend, +41.5% 0.8 0.9 0.9 0.8 0.8 0.8 · 0.5 0.6 0.5 0.5 ·
Debt / Equity 7-point trend, -100.0% · · · 0.0 0.1 0.1 0.1 0.1 0.1 0.0 · ·
LT Debt / Equity 7-point trend, -100.0% · · · 0.0 0.1 0.1 0.1 0.1 0.1 0.0 · ·
Interest Coverage 7-point trend, -93.5% · · · 187.3 77.0 462.6 417.5 140.0 232.9 2894.7 · ·
Eficiencia 2
Datos anuales de Eficiencia para ERIE
Métrica Tendencia 202520242023202220212020201920182017201620152014
Asset Turnover 12-point trend, +266.3% 1.3 1.4 1.4 1.3 1.2 1.2 1.3 1.4 1.1 1.1 1.1 0.4
Receivables Turnover 6-point trend, +7.1% 5.6 5.7 5.7 5.7 5.4 5.3 · · · · · ·
Tasas de Crecimiento 7
Datos anuales de Tasas de Crecimiento para ERIE
Métrica Tendencia 202520242023202220212020201920182017201620152014
Revenue YoY 5-point trend, +86.7% 7.2% 16.1% 15.1% 7.8% 3.8% · · · · · · ·
Revenue CAGR 3Y 3-point trend, +44.2% 12.7% 13.0% 8.8% · · · · · · · · ·
Revenue CAGR 5Y 9.9% · · · · · · · · · · ·
Net Income YoY 5-point trend, -540.6% -6.8% 34.6% 49.4% 0.24% 1.6% · · · · · · ·
Net Income CAGR 3Y 3-point trend, +55.2% 23.3% 26.3% 15.0% · · · · · · · · ·
Net Income CAGR 5Y 13.8% · · · · · · · · · · ·
Dividend CAGR 5Y -1.4% · · · · · · · · · · ·
Valoración (TTM) 4
Datos anuales de Valoración (TTM) para ERIE
Métrica Tendencia 202520242023202220212020201920182017201620152014
Revenue TTM 12-point trend, +189.0% $4.07B $3.80B $3.27B $2.84B $2.63B $2.54B $2.48B $2.38B $1.69B $1.60B $1.51B $1.41B
Net Income TTM 12-point trend, +233.9% $559M $600M $446M $299M $298M $293M $317M $288M $197M $210M $175M $168M
Payout Ratio 12-point trend, -35.8% 45.5% 39.6% 49.7% 69.2% 64.7% 93.0% 52.9% 54.3% 74.0% 64.6% 72.6% 70.8%
Annual Payout 12-point trend, +114.5% $254M $238M $222M $207M $193M $273M $168M $156M $146M $136M $127M $119M

Estados Financieros Estado de resultados, balance general, flujo de caja — anual, últimos 5 años

Estado de resultados
2025-12-312024-12-312023-12-312022-12-312021-12-31
Ingresos $4.07B$3.80B$3.27B$2.84B$2.63B
Margen Operativo % 17.6%17.8%15.9%13.2%12.1%
Beneficio neto $559M$600M$446M$299M$298M
Balance general
2025-12-312024-12-312023-12-312022-12-312021-12-31
Deuda / Patrimonio 0.00.1
Ratio corriente 1.31.41.31.21.2
Ratio Rápido 0.80.90.90.80.8
Flujo de Efectivo
2025-12-312024-12-312023-12-312022-12-312021-12-31
Flujo de caja libre $571M$486M$289M$299M$254M

Últimas noticias Noticias recientes que mencionan a esta empresa

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