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Trustmark Corp (TRMK)

Trustmark Corp (TRMK)
33.68 +0.34 (+1.02%) 16:05 ET [NASDAQ]
N/A x N/A N/A x N/A
Realtime by (Cboe BZX)
N/A x N/A N/A x N/A
Realtime 33.68 unch (unch) 16:01 ET
Cash Flow for Mon, Apr 28th, 2025
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Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2024 12-2023 12-2022 12-2021 12-2020
Cash Flows From Operating Activities
Net Income 223,009 165,489 71,887 147,365 160,025
Depreciation Amortization 27,496 41,896 51,088 66,123 54,572
Income taxes - deferred 23,800 -4,800 -16,800 20,115 -19,800
Other Working Capital -127,817 -37,587 219,925 143,616 -207,394
Loans 4,322 -41,553 126,821 114,549 -136,506
Other Operating Activity -33,881 73,442 -156,405 -142,997 214,449
Operating Cash Flow $116,929 $196,887 $296,516 $348,771 $65,346
Cash Flows From Investing Activities
Change In Deposits N/A 4,000 -4,000 50 -50
PPE Investments -21,274 -38,219 -21,517 -26,399 -19,774
Net Acquisitions 321,345 N/A N/A N/A -4,834
Purchase Of Investment -1,521,774 -19,491 -835,465 -2,150,935 -1,051,014
Sale Of Investment 1,738,393 409,145 571,809 1,034,063 885,462
Purchase Sale Intangibles -5,092 -8,575 -7,388 -3,836 -8,252
Net Loans -220,974 -761,931 -1,925,327 155,487 -1,027,924
Other Investing Activity -11,122 -4,678 -65,902 -17,280 419
Investing Cash Flow $284,594 $-411,174 $-2,280,402 $-1,005,014 $-1,217,715
Cash Flows From Financing Activities
Change In Short Term Borrowing -81,737 -43,586 210,754 74,058 -91,501
Debt Issued -200,058 -575,020 974,981 -19,189 123,373
Debt Repayment -424 -721 -1,409 -1,434 -1,715
Common Stock Repurchased -7,499 N/A -24,604 -61,799 -27,538
Dividend Paid -56,790 -56,653 -56,679 -58,085 -58,769
Other Financing Activity -1,519 -1,092 -1,687 -1,379 -1,100
Financing Cash Flow $-809,615 $455,043 $451,844 $970,568 $2,745,957
Beginning Cash Position 975,343 734,587 2,266,629 1,952,504 358,916
End Cash Position 567,251 975,343 734,587 2,266,829 1,952,504
Net Cash Flow $-408,092 $240,756 $-1,532,042 $314,325 $1,593,588
Free Cash Flow
Operating Cash Flow 116,929 196,887 296,516 348,771 65,346
Capital Expenditure -23,493 -40,082 -26,624 -27,360 -22,577
Free Cash Flow 93,436 156,805 269,892 321,411 42,769
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