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BRO Brown & Brown

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  • 110.570
  • +1.550+1.42%
Close May 2 16:00 ET
  • 110.570
  • 0.0000.00%
Post 20:01 ET
31.69BMarket Cap30.80P/E (TTM)

Brown & Brown Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
1,538.46%213M
16.24%1.17B
17.97%361M
39.24%440M
9.76%360M
-78.33%13M
14.64%1.01B
8.82%306M
24.61%316M
35.20%328M
Net income from continuing operations
13.99%334M
15.04%1B
-21.56%211M
35.23%238M
36.84%260M
24.15%293M
29.61%871M
85.01%269M
9.25%176M
30.85%190M
Operating gains losses
0.00%2M
79.29%-29M
--0
--0
---31M
140.00%2M
-3,400.00%-140M
-3,483.33%-129M
-2,100.00%-6M
--0
Depreciation and amortization
18.52%64M
7.77%222M
9.43%58M
14.00%57M
1.92%53M
5.88%54M
10.75%206M
7.07%53M
-8.59%50M
22.07%52M
Deferred tax
-900.00%-10M
8.33%13M
84.62%24M
-166.67%-8M
-300.00%-2M
-200.00%-1M
-72.09%12M
364.29%13M
-122.06%-3M
-91.23%1M
Other non cash items
86.67%-2M
-900.00%-30M
161.11%11M
-132.26%-10M
-14.29%-16M
-650.00%-15M
95.45%-3M
-57.89%-18M
216.54%31M
-18.64%-14M
Change In working capital
41.55%-204M
-320.00%-105M
-65.63%33M
200.00%138M
-6.41%73M
-42.45%-349M
-56.25%-25M
15.66%96M
35.29%46M
86.60%78M
-Change in receivables
1,197.56%900M
-349.33%-1.5B
652.11%534M
-15,866.67%-1.92B
-100.00%-32M
-114.72%-82M
172.38%600M
-59.86%71M
98.74%-12M
-222.14%-16M
-Change in prepaid assets
21.21%40M
14.71%-58M
-54.76%19M
-7.69%-56M
25.00%-54M
135.71%33M
-6,700.00%-68M
151.50%42M
-112.24%-52M
-213.04%-72M
-Change in payables and accrued expense
74.63%-69M
-103.96%-12M
-92.27%14M
13.22%137M
10.10%109M
-177.55%-272M
88.20%303M
25.61%181M
422.67%121M
-43.53%99M
-Change in other current assets
--35M
16.24%-98M
43.33%-17M
96.77%-1M
-60.00%-80M
--0
-550.00%-117M
-934.48%-30M
-182.23%-31M
40.33%-50M
-Change in other current liabilities
-1,928.30%-1.08B
282.09%1.44B
-369.00%-469M
8,582.61%1.95B
-48.28%15M
92.42%-53M
-221.81%-793M
57.14%-100M
-102.32%-23M
133.84%29M
-Change in other working capital
-240.00%-35M
130.00%115M
29.41%-48M
-46.51%23M
30.68%115M
292.31%25M
150.00%50M
-267.57%-68M
92.83%43M
91.72%88M
Cash from discontinued investing activities
Operating cash flow
1,538.46%213M
16.24%1.17B
17.97%361M
39.24%440M
9.76%360M
-78.33%13M
14.64%1.01B
8.82%306M
24.61%316M
35.20%328M
Investing cash flow
Cash flow from continuing investing activities
10.23%-79M
-52.98%-898M
-97.72%-779M
28.81%-42M
112.09%11M
-104.65%-88M
69.32%-587M
-98,400.00%-394M
95.92%-59M
-319.35%-91M
Net PPE purchase and sale
-30.77%-17M
-18.84%-82M
35.48%-20M
-76.92%-23M
-100.00%-26M
-8.33%-13M
-32.69%-69M
-58.16%-31M
7.80%-13M
-56.63%-13M
Net business purchase and sale
23.68%-58M
-56.49%-820M
-106.50%-762M
60.87%-18M
146.75%36M
-137.50%-76M
71.95%-524M
-1,992.31%-369M
96.79%-46M
-352.94%-77M
Net investment purchase and sale
----
-33.33%4M
-50.00%3M
---1M
200.00%1M
0.00%1M
-14.29%6M
2,100.00%6M
--0
-127.78%-1M
Net other investing changes
-500.00%-4M
----
----
----
----
--1M
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
10.23%-79M
-52.98%-898M
-97.72%-779M
28.81%-42M
112.09%11M
-104.65%-88M
69.32%-587M
-98,400.00%-394M
95.92%-59M
-319.35%-91M
Financing cash flow
Cash flow from continuing financing activities
-225.37%-218M
65.78%-64M
214.77%277M
-223.98%-716M
559.70%442M
44.63%-67M
-110.83%-187M
158.47%88M
-16.68%-221M
-91.27%67M
Net issuance payments of debt
-121.84%-19M
119.87%30M
165.52%231M
-381.65%-525M
311.61%237M
611.76%87M
-107.79%-151M
152.22%87M
6.76%-109M
-116.40%-112M
Net common stock issuance
25.93%-40M
-37.50%-55M
---1M
--0
--0
-50.00%-54M
67.48%-40M
--0
-233.33%-1M
94.27%-3M
Cash dividends paid
-13.16%-43M
-14.07%-154M
-16.22%-43M
-9.09%-36M
-15.63%-37M
-15.15%-38M
-12.50%-135M
-11.78%-37M
-13.79%-33M
-10.34%-32M
Proceeds from stock option exercised by employees
----
10.00%44M
--0
----
----
----
5.26%40M
-266.67%-1M
----
----
Net other financing activities
-87.10%-116M
-28.28%71M
130.77%90M
-67.23%-199M
13.08%242M
-77.14%-62M
1,337.50%99M
-20.08%39M
-49.31%-119M
29.78%214M
Cash from discontinued financing activities
Financing cash flow
-225.37%-218M
65.78%-64M
214.77%277M
-223.98%-716M
559.70%442M
44.63%-67M
-110.83%-187M
158.47%88M
-16.68%-221M
-91.27%67M
Net cash flow
Beginning cash position
8.64%2.5B
13.28%2.3B
18.93%2.7B
31.42%2.97B
10.65%2.15B
13.28%2.3B
38.30%2.03B
22.70%2.27B
-31.16%2.26B
-19.91%1.94B
Current changes in cash
40.85%-84M
-10.17%212M
---141M
-983.33%-318M
167.43%813M
-36.54%-142M
-65.99%236M
--0
102.61%36M
-69.24%304M
Effect of exchange rate changes
300.00%22M
-138.24%-13M
-281.25%-58M
260.71%45M
-31.25%11M
-178.57%-11M
125.95%34M
-38.58%32M
49.82%-28M
112.60%16M
End cash Position
13.49%2.44B
8.64%2.5B
8.64%2.5B
18.93%2.7B
31.42%2.97B
10.65%2.15B
13.28%2.3B
13.28%2.3B
22.70%2.27B
-31.16%2.26B
Free cash flow
--196M
16.05%1.09B
24.00%341M
37.62%417M
6.03%334M
--0
13.51%941M
5.12%275M
26.51%303M
34.44%315M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 1,538.46%213M16.24%1.17B17.97%361M39.24%440M9.76%360M-78.33%13M14.64%1.01B8.82%306M24.61%316M35.20%328M
Net income from continuing operations 13.99%334M15.04%1B-21.56%211M35.23%238M36.84%260M24.15%293M29.61%871M85.01%269M9.25%176M30.85%190M
Operating gains losses 0.00%2M79.29%-29M--0--0---31M140.00%2M-3,400.00%-140M-3,483.33%-129M-2,100.00%-6M--0
Depreciation and amortization 18.52%64M7.77%222M9.43%58M14.00%57M1.92%53M5.88%54M10.75%206M7.07%53M-8.59%50M22.07%52M
Deferred tax -900.00%-10M8.33%13M84.62%24M-166.67%-8M-300.00%-2M-200.00%-1M-72.09%12M364.29%13M-122.06%-3M-91.23%1M
Other non cash items 86.67%-2M-900.00%-30M161.11%11M-132.26%-10M-14.29%-16M-650.00%-15M95.45%-3M-57.89%-18M216.54%31M-18.64%-14M
Change In working capital 41.55%-204M-320.00%-105M-65.63%33M200.00%138M-6.41%73M-42.45%-349M-56.25%-25M15.66%96M35.29%46M86.60%78M
-Change in receivables 1,197.56%900M-349.33%-1.5B652.11%534M-15,866.67%-1.92B-100.00%-32M-114.72%-82M172.38%600M-59.86%71M98.74%-12M-222.14%-16M
-Change in prepaid assets 21.21%40M14.71%-58M-54.76%19M-7.69%-56M25.00%-54M135.71%33M-6,700.00%-68M151.50%42M-112.24%-52M-213.04%-72M
-Change in payables and accrued expense 74.63%-69M-103.96%-12M-92.27%14M13.22%137M10.10%109M-177.55%-272M88.20%303M25.61%181M422.67%121M-43.53%99M
-Change in other current assets --35M16.24%-98M43.33%-17M96.77%-1M-60.00%-80M--0-550.00%-117M-934.48%-30M-182.23%-31M40.33%-50M
-Change in other current liabilities -1,928.30%-1.08B282.09%1.44B-369.00%-469M8,582.61%1.95B-48.28%15M92.42%-53M-221.81%-793M57.14%-100M-102.32%-23M133.84%29M
-Change in other working capital -240.00%-35M130.00%115M29.41%-48M-46.51%23M30.68%115M292.31%25M150.00%50M-267.57%-68M92.83%43M91.72%88M
Cash from discontinued investing activities
Operating cash flow 1,538.46%213M16.24%1.17B17.97%361M39.24%440M9.76%360M-78.33%13M14.64%1.01B8.82%306M24.61%316M35.20%328M
Investing cash flow
Cash flow from continuing investing activities 10.23%-79M-52.98%-898M-97.72%-779M28.81%-42M112.09%11M-104.65%-88M69.32%-587M-98,400.00%-394M95.92%-59M-319.35%-91M
Net PPE purchase and sale -30.77%-17M-18.84%-82M35.48%-20M-76.92%-23M-100.00%-26M-8.33%-13M-32.69%-69M-58.16%-31M7.80%-13M-56.63%-13M
Net business purchase and sale 23.68%-58M-56.49%-820M-106.50%-762M60.87%-18M146.75%36M-137.50%-76M71.95%-524M-1,992.31%-369M96.79%-46M-352.94%-77M
Net investment purchase and sale -----33.33%4M-50.00%3M---1M200.00%1M0.00%1M-14.29%6M2,100.00%6M--0-127.78%-1M
Net other investing changes -500.00%-4M------------------1M----------------
Cash from discontinued investing activities
Investing cash flow 10.23%-79M-52.98%-898M-97.72%-779M28.81%-42M112.09%11M-104.65%-88M69.32%-587M-98,400.00%-394M95.92%-59M-319.35%-91M
Financing cash flow
Cash flow from continuing financing activities -225.37%-218M65.78%-64M214.77%277M-223.98%-716M559.70%442M44.63%-67M-110.83%-187M158.47%88M-16.68%-221M-91.27%67M
Net issuance payments of debt -121.84%-19M119.87%30M165.52%231M-381.65%-525M311.61%237M611.76%87M-107.79%-151M152.22%87M6.76%-109M-116.40%-112M
Net common stock issuance 25.93%-40M-37.50%-55M---1M--0--0-50.00%-54M67.48%-40M--0-233.33%-1M94.27%-3M
Cash dividends paid -13.16%-43M-14.07%-154M-16.22%-43M-9.09%-36M-15.63%-37M-15.15%-38M-12.50%-135M-11.78%-37M-13.79%-33M-10.34%-32M
Proceeds from stock option exercised by employees ----10.00%44M--0------------5.26%40M-266.67%-1M--------
Net other financing activities -87.10%-116M-28.28%71M130.77%90M-67.23%-199M13.08%242M-77.14%-62M1,337.50%99M-20.08%39M-49.31%-119M29.78%214M
Cash from discontinued financing activities
Financing cash flow -225.37%-218M65.78%-64M214.77%277M-223.98%-716M559.70%442M44.63%-67M-110.83%-187M158.47%88M-16.68%-221M-91.27%67M
Net cash flow
Beginning cash position 8.64%2.5B13.28%2.3B18.93%2.7B31.42%2.97B10.65%2.15B13.28%2.3B38.30%2.03B22.70%2.27B-31.16%2.26B-19.91%1.94B
Current changes in cash 40.85%-84M-10.17%212M---141M-983.33%-318M167.43%813M-36.54%-142M-65.99%236M--0102.61%36M-69.24%304M
Effect of exchange rate changes 300.00%22M-138.24%-13M-281.25%-58M260.71%45M-31.25%11M-178.57%-11M125.95%34M-38.58%32M49.82%-28M112.60%16M
End cash Position 13.49%2.44B8.64%2.5B8.64%2.5B18.93%2.7B31.42%2.97B10.65%2.15B13.28%2.3B13.28%2.3B22.70%2.27B-31.16%2.26B
Free cash flow --196M16.05%1.09B24.00%341M37.62%417M6.03%334M--013.51%941M5.12%275M26.51%303M34.44%315M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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