Brown & Brown, Inc.
BROFinancial ServicesNASDAQInsurance Brokers
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Daily timeframeBrown & Brown, Inc. markets and sells insurance products and services in the United States, the United Kingdom, and internationally. Valued at $19.27B, BRO is a large-cap name in its sector. It operates through Retail and Specialty Distribution segments.
Market Cap
$19.27B
Beta
0.66
P/E (TTM)
18.51
P/E (Fwd)
11.68
EPS (TTM)
$3.07
EPS (Fwd)
$4.86
ROE
11.9%
ROA
5.5%
Cash
$1.00B
Total Debt
$8.12B
Free CF
$1.52B
52W Change
-49.6%
Annual Financials
Cash vs Debt
Brown & Brown, Inc. carries $8.12B in total debt against $1.00B in cash reserves — debt is roughly 8.1x the cash position. Managing this leverage effectively will be important for long-term financial stability. Annual free cash flow of $1.52B supports ongoing capital allocation decisions and provides a cushion against unexpected expenses or downturns. Return on equity stands at 11.9%, which is decent for the sector. ROE measures how effectively a company uses shareholder capital to generate profits. An ROA of 5.5% suggests reasonable efficiency in deploying the company's asset base. Revenue has grown from $3.56B (2022) to $5.76B (2025), reflecting a 62% increase over the period.
The relatively low beta of 0.66 suggests BRO is a less volatile holding compared to the broader index. Debt significantly exceeds cash reserves, which means the company's financial flexibility could be constrained during economic downturns. These risk factors are not exhaustive — macroeconomic shifts, regulatory changes, and competitive dynamics can all influence Brown & Brown, Inc.'s trajectory.