bf/NYSE:AJG_icon.jpeg

NYSE:AJG

Arthur J. Gallagher & Co.

  • Stock

USD

Last Close

250.82

13/05 20:00

Market Cap

50.31B

Beta: 0.70

Volume Today

554.66K

Avg: 968.13K

PE Ratio

44.82

PFCF: 37.83

Dividend Yield

0.93%

Payout:40.67%

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
268.60M
-
303.40M
12.96%
356.80M
17.60%
445M
24.72%
499.20M
12.18%
675.90M
35.40%
715.80M
5.90%
858.10M
19.88%
955M
11.29%
1.12B
16.86%
966M
13.44%
depreciation and amortization
178.60M
-
258.90M
44.96%
334.20M
29.08%
350.80M
4.97%
385.80M
9.98%
419M
8.61%
474.40M
13.22%
562.40M
18.55%
566.30M
0.69%
599.60M
5.88%
696.50M
16.16%
deferred income tax
-20.40M
-
-126.10M
518.14%
-161.20M
27.84%
-158M
1.99%
-183.40M
16.08%
-216M
17.78%
-65.30M
69.77%
9.20M
114.09%
-184M
2,100%
-209M
13.59%
43.10M
120.62%
stock based compensation
7.70M
-
10.60M
37.66%
11.20M
5.66%
14.70M
31.25%
17.30M
17.69%
13.70M
20.81%
14M
2.19%
13.60M
2.86%
13.40M
1.47%
24.40M
82.09%
31.40M
28.69%
change in working capital
-108.40M
-
-187.50M
72.97%
16M
108.53%
-126.80M
892.50%
-57.30M
54.81%
-318.80M
456.37%
-65.60M
79.42%
295.70M
550.76%
199.50M
32.53%
552.70M
177.04%
-121.20M
121.93%
accounts receivables
-85.40M
-
95.30M
211.59%
-209.30M
319.62%
-242.80M
16.01%
-220.30M
9.27%
-783.10M
255.47%
-434.70M
44.49%
-796.50M
83.23%
132.90M
116.69%
-4.79B
3,703.69%
-503.50M
89.49%
inventory
-53.10M
-
-145.60M
174.20%
-53.20M
63.46%
-66M
24.06%
-46.50M
29.55%
-180.70M
288.60%
-25M
86.16%
-25.30M
1.20%
-260.60M
930.04%
accounts payables
114.30M
-
60M
47.51%
406.60M
577.67%
352.90M
13.21%
334.30M
5.27%
819.70M
145.20%
461.60M
43.69%
1.15B
150.04%
35.50M
96.92%
5.08B
14,221.69%
other working capital
-84.20M
-
-197.20M
134.20%
-128.10M
35.04%
-170.90M
33.41%
-124.80M
26.97%
-174.70M
39.98%
-67.50M
61.36%
-36.70M
45.63%
291.70M
894.82%
257.80M
11.62%
382.30M
48.29%
other non cash items
23.80M
-
143M
500.84%
95.60M
33.15%
96.40M
0.84%
192.60M
99.79%
191.30M
0.67%
45.90M
76.01%
13.50M
70.59%
153.90M
1,040%
41.70M
72.90%
415.90M
897.36%
net cash provided by operating activities
349.90M
-
402.30M
14.98%
652.60M
62.22%
622.10M
4.67%
854.20M
37.31%
765.10M
10.43%
1.12B
46.28%
1.75B
56.59%
1.70B
2.76%
2.13B
24.72%
2.03B
4.41%
investments in property plant and equipment
-93.60M
-
-81.50M
12.93%
-99M
21.47%
-217.80M
120%
-129.20M
40.68%
-124.40M
3.72%
-138.80M
11.58%
-99.30M
28.46%
-128.60M
29.51%
-182.70M
42.07%
-193.60M
5.97%
acquisitions net
-722.20M
-
-1.91B
164.48%
-333.10M
82.56%
-319.50M
4.08%
-372.90M
16.71%
-770.30M
106.57%
-1.19B
53.94%
-316.10M
73.34%
-3.24B
923.47%
-753.90M
76.70%
-3.03B
302.18%
purchases of investments
-127.40M
-
-85.80M
32.65%
-40.20M
53.15%
-3.60M
91.04%
-2.40M
33.33%
sales maturities of investments
127.40M
-
85.80M
32.65%
40.20M
53.15%
1M
97.51%
5.50M
450%
other investing activites
-35.90M
-
-20.10M
44.01%
-29.50M
46.77%
-31.90M
8.14%
-8.90M
72.10%
-15.60M
75.28%
-52M
233.33%
-1.40M
97.31%
-67.90M
4,750%
-65.60M
3.39%
-70.50M
7.47%
net cash used for investing activites
-851.70M
-
-2.01B
136.20%
-461.60M
77.05%
-569.20M
23.31%
-511M
10.22%
-910.30M
78.14%
-1.38B
51.22%
-416.80M
69.72%
-3.43B
723.34%
-1.00B
70.72%
-3.29B
227.73%
debt repayment
-489M
-
-1.50B
206.83%
-794M
47.08%
-2.72B
242.47%
-4.03B
48.24%
-3B
25.58%
-4.06B
35.33%
-3.15B
22.41%
-1.24B
60.79%
-2.76B
123.20%
-3.61B
30.96%
common stock issued
76.20M
-
997M
1,208.40%
203.30M
79.61%
45.60M
77.57%
60.40M
32.46%
81.90M
35.60%
101.20M
23.57%
111.90M
10.57%
1.55B
1,282.22%
123.10M
92.04%
120.20M
2.36%
common stock repurchased
-1.50M
-
2.32B
154,593.33%
872.90M
62.33%
-101M
111.57%
-17.70M
82.48%
-11.30M
36.16%
5.06B
44,871.68%
3.07B
39.30%
2.99B
2.50%
5.47B
-
dividends paid
-182.60M
-
-223.10M
22.18%
-257.50M
15.42%
-272.20M
5.71%
-282.70M
3.86%
-301.80M
6.76%
-321.10M
6.39%
-347.40M
8.19%
-392M
12.84%
-429.50M
9.57%
-473.60M
10.27%
other financing activites
1.10B
-
6.90M
99.37%
-34.60M
601.45%
3.08B
9,003.76%
4.22B
37.09%
3.39B
19.65%
-140.90M
104.15%
-190.50M
35.20%
-229.60M
20.52%
2.54B
1,206.32%
1.37B
46.20%
net cash used provided by financing activities
502.60M
-
1.60B
217.91%
-9.90M
100.62%
33.90M
442.42%
-47.80M
241.00%
162M
438.91%
638.40M
294.07%
-505.10M
179.12%
2.68B
631.40%
-522.80M
119.48%
2.87B
649.71%
effect of forex changes on cash
-4.80M
-
27.90M
681.25%
-15.10M
154.12%
-21.70M
43.71%
72M
431.80%
-85M
218.06%
6.10M
107.18%
119.80M
1,863.93%
-64.50M
153.84%
-99.90M
54.88%
-33.50M
66.47%
net change in cash
-4M
-
16.30M
507.50%
166M
918.40%
65.10M
60.78%
367.40M
464.36%
-68.20M
118.56%
387.10M
667.60%
950.40M
145.52%
892M
6.14%
497.90M
44.18%
1.58B
217.15%
cash at beginning of period
302.10M
-
298.10M
1.32%
314.40M
5.47%
480.40M
52.80%
1.94B
303.33%
2.31B
18.96%
2.24B
2.96%
2.62B
17.31%
3.57B
36.22%
4.47B
24.96%
4.96B
11.15%
cash at end of period
298.10M
-
314.40M
5.47%
480.40M
52.80%
545.50M
13.55%
2.31B
322.55%
2.24B
2.96%
2.62B
17.31%
3.57B
36.22%
4.47B
24.96%
4.96B
11.15%
6.54B
31.81%
operating cash flow
349.90M
-
402.30M
14.98%
652.60M
62.22%
622.10M
4.67%
854.20M
37.31%
765.10M
10.43%
1.12B
46.28%
1.75B
56.59%
1.70B
2.76%
2.13B
24.72%
2.03B
4.41%
capital expenditure
-93.60M
-
-81.50M
12.93%
-99M
21.47%
-217.80M
120%
-129.20M
40.68%
-124.40M
3.72%
-138.80M
11.58%
-99.30M
28.46%
-128.60M
29.51%
-182.70M
42.07%
-193.60M
5.97%
free cash flow
256.30M
-
320.80M
25.17%
553.60M
72.57%
404.30M
26.97%
725M
79.32%
640.70M
11.63%
980.40M
53.02%
1.65B
68.63%
1.58B
4.70%
1.94B
23.31%
1.84B
5.38%

All numbers in USD (except ratios and percentages)