Truist Financial Corporation

NYSE:TFC

40.66 (USD) • At close June 6, 2025
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) USD.

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 39,76830,23021,42120,29518,86819,0653,8442,7133,9363,5582,1682,0172,9174,2282,3672,5212,7692,6462,6122,5962,7852,489.1182,077.7721,871.4371,776.991,547.9981,120.11,192.8927.3702.8274.6251.2255.1198.1182.8237.9
Kortetermijnbeleggingen 10,5342,7572,9452,6322,2862,7853910015303814975346336363761,0092,147707334693.819148.48897.67596.71993.22160.467.900000000
Liquide middelen en kortetermijnbeleggingen 50,30233,40124,36622,92721,15421,8504,2352,7133,9363,7112,1682,3983,4144,7623,0003,1573,1453,6554,7593,3033,1193,182.9372,226.262,083.8611,873.7091,641.2191,180.51,260.7927.3702.8274.6251.2255.1198.1182.8237.9
Nettovorderingen 13,27612,96611,77210,3449,45215,7856,4251,9021,6700004791,1001,9223,0627531,1851,72000000000000000000
Voorraad 000000000000000000000000000000000000
Overige vlottende activa 1,0611,1301,1621,1521,2471,25460200000000000000000000000000000
Totaal vlottende activa 64,63947,49737,30034,42331,85338,88911,2624,6155,6063,5582,1682,3983,8935,8624,9226,2193,8984,8406,4793,3033,1193,182.9372,226.262,083.8611,873.7091,641.2191,180.51,260.7927.3702.8274.6251.2255.1198.1182.8237.9
Niet-vlottende activa:
Materiële vaste activa, netto 5,5926,0866,8806,9607,0137,4323,4932,0552,1072,0071,8271,8691,8881,8551,8401,5831,5801,5291,4101,2871,2841,201.3421,072.101989.611928.956713.089525.2434.3375312165.1107.383.773.971.668.8
Goodwill 17,12520,90127,01326,09824,44724,1549,8189,6189,6388,5486,8696,8146,8046,0786,0086,0535,4835,1944,8274,2560000000000000000
Immateriële activa 5,2583,1607,4306,0415,0075,7721,8801,7671,9061,5661,3491,6161,3001,0061,3381,4729129619384880000000000000000
Goodwill en immateriële activa 22,38327,43934,44332,13929,45429,92611,69811,38511,54410,1148,2188,4308,1047,0847,3467,5256,3956,1555,7654,7444,6383,616.5261,723.3790000000000000
Langetermijnbeleggingen 423,957440,078463,672458,197434,803384,055194,341190,463187,111180,966162,611157,111157,217147,748130,760139,858131,109113,599102,84595,52387,24178,261.31171,467.46164,351.39360,103.69348,850.82536,585.928,760.223,931.518,922.57,199.25,444.13,985.63,399.13,046.32,785.6
Belastingvorderingen 1,945-456,9313,027-475,216-445,358000000002,0662,1941,8581,31659463100000000000000000
Overige niet-vlottende activa 12,66014,2499,933-465,694-439,25312,7764,90313,12412,90813,30212,01013,20213,3979,96410,0198,7217,7175,9014,2214,3134,2274,204.4973,727.6153,445.083,646.4651,794.6261,178.5835473.8555.61,117.295.827458.641.536.1
Totaal niet-vlottende activa 466,537487,852517,95531,60232,017434,189214,435217,027213,670206,389184,666180,612180,606168,717152,159159,545148,117127,778114,872105,86797,39087,283.67677,990.55668,786.08464,679.11451,358.5438,289.630,029.524,780.319,790.18,481.55,647.24,343.33,531.63,159.42,890.5
Totaal activa 531,176535,349555,255541,241509,228473,078225,697221,642219,276209,947186,834183,010184,499174,579157,081165,764152,015132,618121,351109,170100,50990,466.61380,216.81670,869.94566,552.82352,999.75939,470.131,290.225,707.620,492.98,756.15,898.44,598.43,729.73,342.23,128.4
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 0000005,4335,9905,7456,1216,3887,0958,2236,7915,9675,0768,5013,8934,6444,0780000000000000000
Kortlopende schulden 27,30920,77619,7432,5394,40717,5365,1784,9382,8127,1865,4364,1382,8646,50110,13412,59410,78810,6348,0876,5626,6887,334.95,396.9596,649.17,309.9787,971.8736,370.13,493.22,280.82,491.31,654.5703.6364.1213.9292.9252.4
Belastingschulden 00000000000000002,0692,5702,47300001,360.428000000000000
Uitgestelde opbrengsten 000000000000000000000000000000000000
Overige kortlopende verplichtingen 390,524398,292415,623418,923382,377334,727161,199157,371160,234149,124129,040127,475133,075124,939107,213114,96596,54484,19678,49874,28267,69959,349.78551,280.01643,372.84743,877.31934,147.64326,449.621,37619,003.314,6846,165.14,5373,790.73,2212,772.52,591.9
Totaal kortlopende verplichtingen 417,833419,068435,366421,462386,784352,263171,810168,299168,791162,431140,864138,708144,162138,231123,314132,635117,902101,29393,70284,92274,38766,684.68556,676.97551,382.37551,187.29742,119.51632,819.724,869.221,284.117,175.37,819.65,240.64,154.83,434.93,065.42,844.3
Langlopende verplichtingen:
Langetermijnschulden 34,95638,91843,20335,91339,59741,33923,70923,64821,96523,76922,81121,49318,52020,96921,10820,87717,23918,54615,90413,146.51311,421.64110,807.713,587.84111,721.0768,646.0186,073.4285,412.93,534.22,0541,383.9197.592.133.224.229.441.9
Uitgestelde opbrengsten niet-vlottend 000000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 000000000000000000000000000000000000
Overige niet-vlottende verplichtingen 14,708437,178451,515430,765392,62712,91800165,979155,245135,86005948346224997931470-27.5133,826.3593,039.4972,564.0861,616.2851,299.699743.196-1,933.6447.7297.9259.6106.762.633.135.332.640.5
Totaal niet-vlottende verplichtingen 49,664476,096494,718466,678432,22454,25723,70923,648187,944179,014158,67121,49319,11421,80321,73021,37618,03218,69315,90413,11915,24813,847.19716,151.92713,337.3619,945.7176,816.6243,479.33,981.92,351.91,643.5304.2154.766.359.56282.4
Totaal passiva 467,497476,096494,718471,970438,316406,520195,519191,947189,350182,607162,457160,201163,276157,099140,583149,523135,978119,986109,60698,733.52189,634.16780,531.88272,828.90264,719.73661,133.01448,936.1436,29928,851.123,63618,818.88,123.85,395.34,221.13,494.43,127.42,926.7
Eigen vermogen:
Preferente aandelen 5,9076,6736,6736,6738,0485,1023,0533,0533,0532,6032,6032,6032,1160003,0820000000000003.73.93.93.9000
Gewone aandelen 6,5806,6696,6346,6396,7456,7113,8173,9104,0473,9023,6033,5333,4993,4863,4723,4492,7962,7302,7072,715.512,752.032002,278.4132,266.5371,993.7111,644.7000000000
Ingehouden winsten 23,77722,08826,26422,99819,45519,80618,11816,25914,80913,46412,31711,04410,1298,7727,9357,5397,3816,9196,5965,951.1355,112.0344,309.6353,912.323,148.5012,632.6422,011.6271,272.81,498.51,231.6847.6273.5206.6126.39372.559
Overige gereserveerde algehele resultaten -8,213-12,506-13,601-1,604716-844-1,715-1,467-1,132-1,028-751-593-559-713-747-417-732-104-359-356000304.7397.226-321.08264.649.400000000
Overige totale aandeelhoudersvermogen 35,62836,17734,54434,56535,84335,6096,8497,8939,1048,3656,5176,1725,9735,8735,7765,6203,5103,0872,8012,818.4693,010.4085,625.0963,475.594418.565423.404379.363189891.2840822.8354.9292.6247.1142.3142.3142.7
Totaal eigen vermogen van aandeelhouders 63,67959,10160,51469,27170,80766,38430,12229,64829,88127,30624,28922,75921,15817,41816,43616,19116,03712,63211,74511,129.11410,874.4749,934.7317,387.9146,150.2095,419.8094,063.6193,171.12,439.12,071.61,674.1632.3503.1377.3235.3214.8201.7
Totaal eigen vermogen 63,67959,25360,53769,27170,91266,55830,17829,69529,92627,34024,37722,80921,22317,48016,49816,24116,08112,63211,74511,129.11410,874.4749,934.7317,387.9146,150.2095,419.8094,063.6193,171.12,439.12,071.61,674.1632.3503.1377.3235.3214.8201.7
Totaal passiva en aandeelhoudersvermogen 531,176535,349555,255541,241509,228473,078225,697221,642219,276209,947186,834183,010184,499174,579157,081165,764152,015132,618121,351109,170100,50990,466.61380,216.81670,869.94566,552.82352,999.75939,470.131,290.225,707.620,492.98,756.15,898.44,598.43,729.73,342.23,128.4