US Stock MarketDetailed Quotes

BRO Brown & Brown

Watchlist
  • 105.940
  • +1.190+1.14%
Close Oct 14 16:00 ET
  • 105.940
  • 0.0000.00%
Post 16:16 ET
30.22BMarket Cap30.53P/E (TTM)

Brown & Brown Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
74.92%1.12B
3.18%591M
7.45%711.3M
7.45%711.3M
30.17%768.9M
-73.40%638M
-66.54%572.8M
-6.25%662M
-6.25%662M
-38.37%590.7M
-Cash and cash equivalents
76.30%1.11B
3.11%581M
7.74%700.3M
7.74%700.3M
30.41%755.7M
-73.66%627.9M
-66.75%563.5M
-6.23%650M
-6.23%650M
-38.61%579.5M
-Short-term investments
-10.89%9M
7.53%10M
-8.33%11M
-8.33%11M
17.86%13.2M
-32.21%10.1M
-47.16%9.3M
-6.98%12M
-6.98%12M
-22.37%11.2M
Receivables
18.60%2.31B
16.21%2.13B
-13.41%2.04B
-13.41%2.04B
-23.42%1.82B
36.86%1.94B
34.97%1.83B
84.09%2.36B
84.09%2.36B
66.21%2.37B
-Accounts receivable
9.75%1.03B
8.52%997M
-37.93%914.9M
-37.93%914.9M
-42.15%952.7M
47.68%938.5M
40.93%918.7M
151.65%1.47B
151.65%1.47B
15.48%1.65B
-Other receivables
26.87%1.28B
23.93%1.13B
27.59%1.12B
27.59%1.12B
19.23%862.5M
28.09%1.01B
29.47%914.2M
27.06%881.4M
27.06%881.4M
--723.4M
Prepaid assets
7.19%483M
12.75%428M
17.37%461.5M
17.37%461.5M
22.64%502.7M
16.92%450.6M
4.75%379.6M
0.25%393.2M
0.25%393.2M
-0.33%409.9M
Restricted cash
14.15%1.87B
13.70%1.57B
15.86%1.6B
15.86%1.6B
19.19%1.52B
80.92%1.64B
88.63%1.38B
78.02%1.38B
78.02%1.38B
163.80%1.27B
Other current assets
39.90%318M
50.42%287M
55.71%315M
55.71%315M
16.59%243.2M
2.16%227.3M
31.77%190.8M
15.21%202.3M
15.21%202.3M
72.94%208.6M
Total current assets
24.39%6.09B
14.90%5.01B
2.68%5.13B
2.68%5.13B
-0.12%4.85B
-8.17%4.89B
1.10%4.36B
50.02%5B
50.02%5B
42.74%4.85B
Non current assets
Net PPE
7.21%482M
3.85%469M
3.14%469.1M
3.14%469.1M
-1.21%448.2M
7.59%449.6M
7.86%451.6M
11.20%454.8M
11.20%454.8M
14.52%453.7M
-Gross PPE
7.21%482M
3.85%469M
4.57%723.4M
4.57%723.4M
-1.21%448.2M
7.59%449.6M
7.86%451.6M
14.27%691.8M
14.27%691.8M
14.52%453.7M
-Accumulated depreciation
----
----
-7.30%-254.3M
-7.30%-254.3M
----
----
----
-20.67%-237M
-20.67%-237M
----
Goodwill and other intangible assets
6.74%9B
8.02%8.98B
8.37%8.96B
8.37%8.96B
3.29%8.38B
33.88%8.43B
31.68%8.31B
42.13%8.27B
42.13%8.27B
44.56%8.11B
-Goodwill
8.24%7.43B
9.74%7.39B
9.99%7.34B
9.99%7.34B
4.96%6.85B
33.33%6.87B
30.91%6.73B
40.90%6.67B
40.90%6.67B
42.87%6.52B
-Other intangible assets
0.16%1.57B
0.66%1.59B
1.60%1.62B
1.60%1.62B
-3.55%1.53B
36.38%1.56B
35.06%1.58B
47.50%1.6B
47.50%1.6B
51.92%1.59B
Investments and advances
-20.00%22M
-17.32%21M
-6.25%21M
-6.25%21M
1.25%24.3M
16.03%27.5M
1.60%25.4M
-27.74%22.4M
-27.74%22.4M
-23.44%24M
Other non current assets
30.56%355M
30.59%333M
30.71%301.8M
30.71%301.8M
31.21%288M
27.53%271.9M
22.36%255M
11.65%230.9M
11.65%230.9M
13.77%219.5M
Total non current assets
7.39%9.86B
8.37%9.8B
8.64%9.75B
8.64%9.75B
3.75%9.14B
32.05%9.18B
29.87%9.04B
38.86%8.98B
38.86%8.98B
41.35%8.81B
Total assets
13.31%15.94B
10.49%14.81B
6.51%14.88B
6.51%14.88B
2.38%13.98B
14.59%14.07B
18.87%13.4B
42.65%13.97B
42.65%13.97B
41.84%13.66B
Liabilities
Current liabilities
Payables
-4.89%313M
-6.04%322M
60.17%458.9M
60.17%458.9M
37.60%380.2M
17.83%329.1M
48.48%342.7M
18.05%286.5M
18.05%286.5M
-80.83%276.3M
-accounts payable
-4.89%313M
-6.04%322M
60.17%458.9M
60.17%458.9M
37.60%380.2M
17.83%329.1M
48.48%342.7M
18.05%286.5M
18.05%286.5M
-80.83%276.3M
Current accrued expenses
11.46%500M
12.03%421M
12.47%54.1M
12.47%54.1M
16.43%507.5M
6.45%448.6M
14.92%375.8M
104.68%48.1M
104.68%48.1M
12.82%435.9M
Current provisions
-45.67%108M
-53.28%72M
-79.09%184.1M
-79.09%184.1M
-77.58%231.7M
472.91%198.8M
301.30%154.1M
853.74%880.3M
853.74%880.3M
368.86%1.03B
Current debt and capital lease obligation
1,265.35%725M
255.26%875M
107.75%614.1M
107.75%614.1M
733.33%562.5M
-21.33%53.1M
479.53%246.3M
244.12%295.6M
244.12%295.6M
-76.72%67.5M
-Current debt
1,265.35%725M
255.26%875M
126.94%568.7M
126.94%568.7M
733.33%562.5M
-21.33%53.1M
479.53%246.3M
489.65%250.6M
489.65%250.6M
-76.72%67.5M
-Current capital lease obligation
----
----
0.89%45.4M
0.89%45.4M
----
----
----
3.69%45M
3.69%45M
----
Current deferred liabilities
23.69%603M
22.09%488M
9.83%540.6M
9.83%540.6M
23.26%530.9M
19.37%487.5M
10.26%399.7M
7.09%492.2M
7.09%492.2M
-21.88%430.7M
Other current liabilities
18.99%3.14B
17.77%2.7B
20.83%2.77B
20.83%2.77B
19.20%2.38B
56.37%2.64B
59.58%2.29B
53.68%2.29B
53.68%2.29B
--1.99B
Current liabilities
29.67%5.39B
27.99%4.88B
7.84%4.96B
7.84%4.96B
8.30%4.59B
43.37%4.16B
56.34%3.81B
72.33%4.6B
72.33%4.6B
46.71%4.24B
Non current liabilities
Long term debt and capital lease obligation
-9.56%3.57B
-17.67%3.19B
-12.40%3.41B
-12.40%3.41B
-21.46%3.32B
-9.07%3.95B
5.11%3.87B
79.94%3.89B
79.94%3.89B
119.60%4.23B
-Long term debt
-9.87%3.39B
-18.23%3.01B
-12.59%3.23B
-12.59%3.23B
-22.17%3.14B
-9.48%3.76B
5.23%3.68B
86.40%3.69B
86.40%3.69B
130.16%4.04B
-Long term capital lease obligation
-3.23%180M
-6.81%178M
-8.83%178.6M
-8.83%178.6M
-6.53%178.9M
0.05%186M
2.85%191M
8.83%195.9M
8.83%195.9M
11.56%191.4M
Non current deferred liabilities
7.36%614M
8.96%614M
5.51%616.2M
5.51%616.2M
-0.68%568.4M
29.07%571.9M
30.44%563.5M
50.98%584M
50.98%584M
52.78%572.3M
Other non current liabilities
3.08%331M
9.92%338M
9.07%326M
9.07%326M
-1.02%301.9M
3.15%321.1M
-19.88%307.5M
-22.14%298.9M
-22.14%298.9M
-7.79%305M
Total non current liabilities
-6.72%4.52B
-12.72%4.14B
-8.86%4.35B
-8.86%4.35B
-17.92%4.19B
-5.01%4.84B
5.41%4.74B
62.75%4.77B
62.75%4.77B
94.08%5.11B
Total liabilities
10.09%9.91B
5.42%9.02B
-0.67%9.3B
-0.67%9.3B
-6.03%8.78B
12.54%9B
23.31%8.55B
67.31%9.37B
67.31%9.37B
69.29%9.35B
Shareholders'equity
Share capital
-0.99%30M
-0.99%30M
0.33%30.4M
0.33%30.4M
0.33%30.4M
0.33%30.3M
0.33%30.3M
0.66%30.3M
0.66%30.3M
0.69%30.3M
-common stock
-0.99%30M
-0.99%30M
0.33%30.4M
0.33%30.4M
0.33%30.4M
0.33%30.3M
0.33%30.3M
0.66%30.3M
0.66%30.3M
0.69%30.3M
Retained earnings
17.30%5.76B
16.57%5.54B
16.15%5.29B
16.15%5.29B
13.88%5.06B
14.05%4.91B
13.45%4.76B
13.81%4.55B
13.81%4.55B
13.05%4.44B
Paid-in capital
10.78%1.03B
10.47%1B
11.68%1.03B
11.68%1.03B
9.26%987.1M
10.94%927.1M
10.25%907.9M
8.28%919.7M
8.28%919.7M
8.83%903.4M
Less: Treasury stock
-0.01%748M
-0.01%748M
0.01%748.1M
0.01%748.1M
0.01%748.1M
0.01%748.1M
7.18%748.1M
11.00%748M
11.00%748M
11.00%748M
Gains losses not affecting retained earnings
6.93%-47M
49.50%-51M
87.13%-19.1M
87.13%-19.1M
59.56%-127.6M
64.64%-50.5M
-714.52%-101M
-1,478.72%-148.4M
-1,478.72%-148.4M
-4,716.79%-315.5M
Total stockholders'equity
18.80%6.03B
19.26%5.78B
21.10%5.58B
21.10%5.58B
20.60%5.2B
18.42%5.07B
11.75%4.85B
9.76%4.61B
9.76%4.61B
4.94%4.31B
Noncontrolling interests
--11M
--9M
----
----
----
----
----
----
----
----
Total equity
19.01%6.04B
19.44%5.79B
21.10%5.58B
21.10%5.58B
20.60%5.2B
18.42%5.07B
11.75%4.85B
9.76%4.61B
9.76%4.61B
4.94%4.31B
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
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 74.92%1.12B3.18%591M7.45%711.3M7.45%711.3M30.17%768.9M-73.40%638M-66.54%572.8M-6.25%662M-6.25%662M-38.37%590.7M
-Cash and cash equivalents 76.30%1.11B3.11%581M7.74%700.3M7.74%700.3M30.41%755.7M-73.66%627.9M-66.75%563.5M-6.23%650M-6.23%650M-38.61%579.5M
-Short-term investments -10.89%9M7.53%10M-8.33%11M-8.33%11M17.86%13.2M-32.21%10.1M-47.16%9.3M-6.98%12M-6.98%12M-22.37%11.2M
Receivables 18.60%2.31B16.21%2.13B-13.41%2.04B-13.41%2.04B-23.42%1.82B36.86%1.94B34.97%1.83B84.09%2.36B84.09%2.36B66.21%2.37B
-Accounts receivable 9.75%1.03B8.52%997M-37.93%914.9M-37.93%914.9M-42.15%952.7M47.68%938.5M40.93%918.7M151.65%1.47B151.65%1.47B15.48%1.65B
-Other receivables 26.87%1.28B23.93%1.13B27.59%1.12B27.59%1.12B19.23%862.5M28.09%1.01B29.47%914.2M27.06%881.4M27.06%881.4M--723.4M
Prepaid assets 7.19%483M12.75%428M17.37%461.5M17.37%461.5M22.64%502.7M16.92%450.6M4.75%379.6M0.25%393.2M0.25%393.2M-0.33%409.9M
Restricted cash 14.15%1.87B13.70%1.57B15.86%1.6B15.86%1.6B19.19%1.52B80.92%1.64B88.63%1.38B78.02%1.38B78.02%1.38B163.80%1.27B
Other current assets 39.90%318M50.42%287M55.71%315M55.71%315M16.59%243.2M2.16%227.3M31.77%190.8M15.21%202.3M15.21%202.3M72.94%208.6M
Total current assets 24.39%6.09B14.90%5.01B2.68%5.13B2.68%5.13B-0.12%4.85B-8.17%4.89B1.10%4.36B50.02%5B50.02%5B42.74%4.85B
Non current assets
Net PPE 7.21%482M3.85%469M3.14%469.1M3.14%469.1M-1.21%448.2M7.59%449.6M7.86%451.6M11.20%454.8M11.20%454.8M14.52%453.7M
-Gross PPE 7.21%482M3.85%469M4.57%723.4M4.57%723.4M-1.21%448.2M7.59%449.6M7.86%451.6M14.27%691.8M14.27%691.8M14.52%453.7M
-Accumulated depreciation ---------7.30%-254.3M-7.30%-254.3M-------------20.67%-237M-20.67%-237M----
Goodwill and other intangible assets 6.74%9B8.02%8.98B8.37%8.96B8.37%8.96B3.29%8.38B33.88%8.43B31.68%8.31B42.13%8.27B42.13%8.27B44.56%8.11B
-Goodwill 8.24%7.43B9.74%7.39B9.99%7.34B9.99%7.34B4.96%6.85B33.33%6.87B30.91%6.73B40.90%6.67B40.90%6.67B42.87%6.52B
-Other intangible assets 0.16%1.57B0.66%1.59B1.60%1.62B1.60%1.62B-3.55%1.53B36.38%1.56B35.06%1.58B47.50%1.6B47.50%1.6B51.92%1.59B
Investments and advances -20.00%22M-17.32%21M-6.25%21M-6.25%21M1.25%24.3M16.03%27.5M1.60%25.4M-27.74%22.4M-27.74%22.4M-23.44%24M
Other non current assets 30.56%355M30.59%333M30.71%301.8M30.71%301.8M31.21%288M27.53%271.9M22.36%255M11.65%230.9M11.65%230.9M13.77%219.5M
Total non current assets 7.39%9.86B8.37%9.8B8.64%9.75B8.64%9.75B3.75%9.14B32.05%9.18B29.87%9.04B38.86%8.98B38.86%8.98B41.35%8.81B
Total assets 13.31%15.94B10.49%14.81B6.51%14.88B6.51%14.88B2.38%13.98B14.59%14.07B18.87%13.4B42.65%13.97B42.65%13.97B41.84%13.66B
Liabilities
Current liabilities
Payables -4.89%313M-6.04%322M60.17%458.9M60.17%458.9M37.60%380.2M17.83%329.1M48.48%342.7M18.05%286.5M18.05%286.5M-80.83%276.3M
-accounts payable -4.89%313M-6.04%322M60.17%458.9M60.17%458.9M37.60%380.2M17.83%329.1M48.48%342.7M18.05%286.5M18.05%286.5M-80.83%276.3M
Current accrued expenses 11.46%500M12.03%421M12.47%54.1M12.47%54.1M16.43%507.5M6.45%448.6M14.92%375.8M104.68%48.1M104.68%48.1M12.82%435.9M
Current provisions -45.67%108M-53.28%72M-79.09%184.1M-79.09%184.1M-77.58%231.7M472.91%198.8M301.30%154.1M853.74%880.3M853.74%880.3M368.86%1.03B
Current debt and capital lease obligation 1,265.35%725M255.26%875M107.75%614.1M107.75%614.1M733.33%562.5M-21.33%53.1M479.53%246.3M244.12%295.6M244.12%295.6M-76.72%67.5M
-Current debt 1,265.35%725M255.26%875M126.94%568.7M126.94%568.7M733.33%562.5M-21.33%53.1M479.53%246.3M489.65%250.6M489.65%250.6M-76.72%67.5M
-Current capital lease obligation --------0.89%45.4M0.89%45.4M------------3.69%45M3.69%45M----
Current deferred liabilities 23.69%603M22.09%488M9.83%540.6M9.83%540.6M23.26%530.9M19.37%487.5M10.26%399.7M7.09%492.2M7.09%492.2M-21.88%430.7M
Other current liabilities 18.99%3.14B17.77%2.7B20.83%2.77B20.83%2.77B19.20%2.38B56.37%2.64B59.58%2.29B53.68%2.29B53.68%2.29B--1.99B
Current liabilities 29.67%5.39B27.99%4.88B7.84%4.96B7.84%4.96B8.30%4.59B43.37%4.16B56.34%3.81B72.33%4.6B72.33%4.6B46.71%4.24B
Non current liabilities
Long term debt and capital lease obligation -9.56%3.57B-17.67%3.19B-12.40%3.41B-12.40%3.41B-21.46%3.32B-9.07%3.95B5.11%3.87B79.94%3.89B79.94%3.89B119.60%4.23B
-Long term debt -9.87%3.39B-18.23%3.01B-12.59%3.23B-12.59%3.23B-22.17%3.14B-9.48%3.76B5.23%3.68B86.40%3.69B86.40%3.69B130.16%4.04B
-Long term capital lease obligation -3.23%180M-6.81%178M-8.83%178.6M-8.83%178.6M-6.53%178.9M0.05%186M2.85%191M8.83%195.9M8.83%195.9M11.56%191.4M
Non current deferred liabilities 7.36%614M8.96%614M5.51%616.2M5.51%616.2M-0.68%568.4M29.07%571.9M30.44%563.5M50.98%584M50.98%584M52.78%572.3M
Other non current liabilities 3.08%331M9.92%338M9.07%326M9.07%326M-1.02%301.9M3.15%321.1M-19.88%307.5M-22.14%298.9M-22.14%298.9M-7.79%305M
Total non current liabilities -6.72%4.52B-12.72%4.14B-8.86%4.35B-8.86%4.35B-17.92%4.19B-5.01%4.84B5.41%4.74B62.75%4.77B62.75%4.77B94.08%5.11B
Total liabilities 10.09%9.91B5.42%9.02B-0.67%9.3B-0.67%9.3B-6.03%8.78B12.54%9B23.31%8.55B67.31%9.37B67.31%9.37B69.29%9.35B
Shareholders'equity
Share capital -0.99%30M-0.99%30M0.33%30.4M0.33%30.4M0.33%30.4M0.33%30.3M0.33%30.3M0.66%30.3M0.66%30.3M0.69%30.3M
-common stock -0.99%30M-0.99%30M0.33%30.4M0.33%30.4M0.33%30.4M0.33%30.3M0.33%30.3M0.66%30.3M0.66%30.3M0.69%30.3M
Retained earnings 17.30%5.76B16.57%5.54B16.15%5.29B16.15%5.29B13.88%5.06B14.05%4.91B13.45%4.76B13.81%4.55B13.81%4.55B13.05%4.44B
Paid-in capital 10.78%1.03B10.47%1B11.68%1.03B11.68%1.03B9.26%987.1M10.94%927.1M10.25%907.9M8.28%919.7M8.28%919.7M8.83%903.4M
Less: Treasury stock -0.01%748M-0.01%748M0.01%748.1M0.01%748.1M0.01%748.1M0.01%748.1M7.18%748.1M11.00%748M11.00%748M11.00%748M
Gains losses not affecting retained earnings 6.93%-47M49.50%-51M87.13%-19.1M87.13%-19.1M59.56%-127.6M64.64%-50.5M-714.52%-101M-1,478.72%-148.4M-1,478.72%-148.4M-4,716.79%-315.5M
Total stockholders'equity 18.80%6.03B19.26%5.78B21.10%5.58B21.10%5.58B20.60%5.2B18.42%5.07B11.75%4.85B9.76%4.61B9.76%4.61B4.94%4.31B
Noncontrolling interests --11M--9M--------------------------------
Total equity 19.01%6.04B19.44%5.79B21.10%5.58B21.10%5.58B20.60%5.2B18.42%5.07B11.75%4.85B9.76%4.61B9.76%4.61B4.94%4.31B
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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