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Financial Ratios
2026-06-30
2026-03-31
2025-12-31
2025-09-30
Free Cash flow
173,403
54,478
140,790
184,412
P/E Ratio
22.575
22.594
26.786
25.173
Return on Equity
7.308
6.394
2.776
7.92
Net Profit Margin
16.544
14.87
6.664
17.141
Debt to Asset Ratio
30.641
30.301
31.951
30.546
Quick Ratio
124.591
129.002
126.818
166.884
Current Ratio
124.591
129.002
126.818
166.884
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ERIE INDEMNITY CO (ERIE)
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ERIE INDEMNITY CO (ERIE)