Recent Annual Filings for ERIE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,888,614,000 $3,795,115,000 $3,037,836,000 $566,123,000 $611,249,000 $-229,995,000 $154,342,000
2023 $2,471,964,000 $3,268,940,000 $2,707,004,000 $440,075,000 $381,205,000 $-221,675,000 $1,965,000
2022 $2,239,456,000 $2,840,124,000 $2,463,672,000 $316,443,000 $366,152,000 $-300,842,000 $-41,612,000
2021 $2,242,057,000 $2,633,977,000 $2,257,573,000 $350,715,000 $402,794,000 $-194,842,000 $22,462,000
2020 $2,117,122,000 $2,536,489,000 $2,167,974,000 $332,029,000 $342,595,000 $-274,869,000 $-175,499,000
2019 $2,016,240,000 $2,477,298,000 $2,080,593,000 $330,237,000 $364,527,000 $-169,571,000 $70,322,000
2018 $1,778,327,000 $2,382,212,000 $2,010,892,000 $313,999,000 $263,585,000 $-131,491,000 $50,696,000
2017 $1,665,859,000 $1,691,774,000 $1,376,079,000 $188,704,000 $197,126,000 $-95,814,000 $26,649,000