Trustmark Corporation

NASDAQ:TRMK

37.5 (USD) • At close July 1, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 223.009165.48971.887147.365160.025150.46149.584105.63108.411116.038123.562117.06117.283106.841100.63693.04792.417108.595119.273102.951116.709118.53121.14111.281104.2019883.371.165.159.85548.638.327.629.1
Afschrijvingen & Amortisatie 38.06735.75639.88245.81341.32539.4238.9438.47136.61337.05636.07237.15329.27525.27325.64626.48926.91427.76326.68931.02544.91752.62637.93327.64918.51321.71918.713.712.917.116.914.112.111
Uitgestelde Inkomstenbelasting 23.8-4.8-16.820.115-19.8-3.8811.7426.0681814.818.721.163-8.452-9.683-6.389-4.477-17.673-5.8267.948-6.12612.7443.238-5.1043.1112.4691.4-1.91.1-2.2-1.6-0.6-10.5000
Aandelen Gebaseerde Vergoedingen 06.1554.8835.6015.1974.7873.874.309000000000000000000000000000
Verandering in Werkkapitaal -114.7722.922115.82262.045-35.984-17.453-3.16832.544-12.84535.402-13.41732.639-22.43522.872-14.561-57.279-16.432-18.07932.667-6.777-13.355-23.428-1.393-39.855-39.179-17-20.6-19.53.8-10.1-22.4-2.3-27.122.2-21.6
Vorderingen 00000000000000000000000000000000000
Voorraden 00000000000000000000000000000000000
Crediteuren 00000000000000000000000000000000000
Overig Werkkapitaal -114.7722.922115.82262.045-35.984-17.453-3.16832.544-12.84535.402-13.41732.639-22.43522.872-14.561-57.279-16.432-18.07932.667-6.777-13.355-23.428-1.393-39.855-39.179-17-20.6-19.53.8-10.1-22.4-2.3-27.122.2-21.6
Overige Niet-Contante Posten -53.177-28.63580.84267.832-85.417-56.88738.232-0.415-1.842-30.75746.3593.168-3.39428.286101.446114.53727.239-28.526-35.386-36.3630.16948.816-83.923140.677-205.9968.13.26.23.51.20.75.83.6138.4
Kasstroom uit Operationele Activiteiten 116.929196.887296.516348.77165.346116.447239.198206.607148.337171.887211.267301.183112.277173.589206.778172.317112.52383.927151.19184.71161.184199.78268.653242.863-119.992112.28377.683.962.249.858.528.974.926.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -23.493-40.082-26.624-27.36-22.577-17.327-14.644-13.219-10.208-12.757-12.389-15.989-17.172-12.184-6.72-6.279-16.861-29.784-22.514-12.15-14.348-7.85-17.34-12.892-10.817-19.2-8.8-14.7-8.6-6.1-10-7.9-7.5-8.1-7.9
Netto Overnames 321.345000-7.931-0.3470-19.7750-2.787089.03778.15178.8960000-78.920-31.199-69.802-7.799-62.73900000000000
Aankoop van Beleggingen -1,586.415-35.834-857.786-2,168.223-1,056.858-181.165-23.923-421.444-786.674-617.177-727.262-1,308.671-1,142.632-1,026.936-1,227.199-701.623-1,472.894-111.069-282.149-298.293-461.672-1,513.735-978.571-439.164-574.906-761-647.8-498.7-661.1-550.9-815.4-1,080.1-980.9-425.7-740.5
Verkoop/verval van Beleggingen 1,738.439409.191571.5211,032.291882.182598.645608.376669.852788.981606.473555.4711,008.162967.676855.364807.817614.458418.177452.914413.583609.745786.4421,163.6011,137.056805.076624.907663.6643.4496.4572589.8908.6975.1801.2289186.1
Overige Investeringsactiviteiten -165.282-744.449-1,967.513158.278-1,012.531-474.045-131.022-564.276-641.763-501.029-372.075-31.506287.716200.144180.874292.825221.344-487.507109.791-515.437-268.712-266.963-14.721-63.5673.649-310.6-661.5-316.8-62.7-226.4-120.7-773.6-7358.4
Kasstroom uit Investeringsactiviteiten 284.594-411.174-2,280.402-1,005.014-1,217.715-74.239438.787-348.862-649.664-527.277-556.255-258.967173.73995.284-245.228199.381-850.374-175.446139.791-216.13510.511-694.749118.625226.721112.833-427.2-674.7-333.8-160.4-193.6-37.5-189.9-183.6-151.8-203.9
Financieringsactiviteiten:
Schuldaflossingen -200.482-575.741973.572-20.623121.658-1.471-905.463-70.51649.158492.613348.764-54.389-1.641-389.975139.441-443.504234.951198.864-324.843-552.321-301.944374.765-115.256-336.8527.533402.4619.355.264.784.9000069.3
Uitgifte van Gewone Aandelen 000000000003.640-0.5951.273109.8890.5670.4395.3340000000000000000
Terugkoop van Gewone Aandelen -9.018-1.092-26.291-61.799-28.638-58.273-63.847-1.724-1.767-0.8630000000-38.859-18.81-60.895-14.50900000000000000
Uitgekeerde Dividenden -56.79-56.653-56.679-58.085-58.769-59.804-62.425-62.795-62.666-62.605-62.474-62.276-59.961-59.485-59.302-64.583-53.022-51.472-48.634-45.758-44.642-40.326-38.21-36.001-34.629-31.6-25.6-21.3-17.5-15.4-13.9-11.5-10.6-10.2-9.9
Overige Financieringsactiviteiten -543.3251,088.529-438.7581,112.4542,711.70686.695367.543285.352567.467-112.62928.91188.721-195.55222.263-94.937-17.911520.162-116.553100.124832.721196.732193.34572.9317.781133.622-21.639.4184.567.480.728.7128.9173.989.383
Kasstroom uit Financieringsactiviteiten -809.615455.043451.844970.5682,745.957-32.853-664.192150.317552.192317.168315.272.056-257.152-227.792-13.525-416.109702.658-7.581-286.829176.23-161.666470.636-158.63-439.45625.853282.4611.7211.7114.6150.214.8117.4163.379.1142.4
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000000000000000000000000.10000-12.30000
Netto Kasstroomverandering -408.092240.756-1,532.042314.3251,593.5889.35513.7938.06249.955-38.222-29.788114.27228.86441.081-51.975-44.411-35.053-99.14.15344.80510.029-24.33128.64830.12818.694-32.519.9-44.5-299-280.1-252.9-252.4-243.8-241.6-276.2
Kaspositie aan het Einde van de Periode 567.251975.543734.7872,266.8291,952.504358.916349.561335.768327.706277.751315.973345.761231.489202.625161.544213.519257.93292.983392.083387.93343.125333.096357.427328.779298.651280312.5292.6383.1427.4267.7369.8407.1320.7418.6