Trustmark Cash Flow Statement Analysis

Operating, investing, and financing activities in billions USD

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Cash flow statement showing operating, investing, and financing activities for Trustmark Corporation (TRMK) - Annual data in billions USD
BreakdownFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019FY 2018
Period EndingDec 2025Dec 2024Dec 2023Dec 2022Dec 2021Dec 2020Dec 2019Dec 2018
Operating Activities
Net Income0.000.220.170.080.150.160.140.15
Depreciation & Amortization0.000.040.040.050.050.050.050.04
Deferred Income Tax0.000.020.00-0.020.02-0.020.000.01
Stock Based Compensation0.000.000.010.000.010.000.000.00
Change in Working Capital0.00-0.110.020.210.06-0.05-0.050.00
Change in Other Working Capital0.00-0.03-0.050.070.140.000.000.00
Other Operating Activities0.00-0.03-0.050.000.140.010.000.03
Net Cash from Operating Activities0.000.120.200.300.350.070.120.24
Investing Activities
Capital Expenditures0.00-0.03-0.05-0.02-0.03-0.02-0.01-0.01
Acquisitions0.000.320.000.000.00-0.010.000.00
Purchases of Investments0.00-1.59-0.04-0.86-2.170.000.000.00
Sales/Maturities of Investments0.001.740.41-0.281.03-0.150.430.58
Other Investing Activities0.00-0.170.000.440.840.700.440.02
Net Cash from Investing Activities0.000.28-0.41-2.28-1.01-1.22-0.070.44
Financing Activities
Debt Repayment0.00-0.20-0.580.000.00-0.090.000.00
Common Stock Issued0.000.000.00-0.02-0.06-0.03-0.06-0.06
Common Stock Repurchased0.00-0.010.00-0.03-0.060.000.000.00
Dividends Paid0.00-0.06-0.060.06-0.06-0.060.06-0.06
Other Financing Activities0.00-0.540.000.000.000.000.000.00
Net Cash from Financing Activities0.00-0.810.460.450.972.75-0.03-0.66
Summary
Net Change in Cash0.00-0.410.24-1.530.311.590.010.01
Cash at Beginning of Period0.000.980.732.271.950.360.350.34
Cash at End of Period0.000.570.980.732.271.950.360.35
Free Cash Flow0.000.090.150.270.320.040.090.21
Supplemental Disclosures
Interest Paid0.000.390.310.050.020.040.000.00
Income Taxes Paid0.000.020.040.000.020.050.000.00