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CONSOLIDATED STATEMENTS OF FINANCIAL POSITION - USD ($)
$ in Thousands
Jun. 30, 2025
Dec. 31, 2024
Current assets:    
Cash and cash equivalents (includes restricted cash of $25,923 and $23,559, respectively) $ 358,027 $ 298,397
Available-for-sale securities 59,162 44,604
Receivables from Erie Insurance Exchange and affiliates, net 769,148 707,060
Prepaid expenses and other current assets, net 71,133 83,902
Accrued investment income 11,998 11,069
Total current assets 1,269,468 1,145,032
Available-for-sale securities, net 1,048,584 991,726
Equity securities 68,095 85,891
Available-for-sale and equity securities lent 35,535 7,285
Fixed assets, net 519,834 513,494
Agent loans, net 85,027 80,597
Defined benefit pension plan 54,650 21,311
Other assets, net 47,021 43,278
Total assets 3,128,214 2,888,614
Current liabilities:    
Commissions payable 446,424 408,309
Agent incentive compensation 70,101 75,458
Accounts payable and accrued liabilities 193,032 190,028
Dividends payable 63,569 63,569
Contract liability 46,213 42,761
Deferred executive compensation 7,181 14,874
Securities lending payable 35,159 7,513
Total current liabilities 861,679 802,512
Defined benefit pension plan 26,820 28,070
Contract liability 22,594 21,170
Deferred executive compensation 18,471 19,721
Deferred income taxes, net 476 6,418
Other long-term liabilities 13,629 23,465
Total liabilities 943,669 901,356
Shareholders’ equity    
Additional paid-in-capital 16,494 16,466
Accumulated other comprehensive loss (36,296) (47,591)
Retained earnings 3,348,267 3,162,303
Total contributed capital and retained earnings 3,330,635 3,133,348
Treasury stock, at cost; 22,110,132 shares held (1,170,332) (1,169,074)
Deferred compensation 24,242 22,984
Total shareholders’ equity 2,184,545 1,987,258
Total liabilities and shareholders’ equity 3,128,214 2,888,614
Class A common stock    
Shareholders’ equity    
Common stock 1,992 1,992
Class B common stock    
Shareholders’ equity    
Common stock $ 178 $ 178