PINNACLE FINANCIAL PARTNERS INCPNFP

Market cap
$7B
P/E ratio
Dec 31,
2011
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Net income4442587096127174359401312527561562475
Net amortization/accretion of premium/discount on securities-7,702,123-7,291,775-4,438,303-4,526,497-5,231,583-8,630,048-12,846,572-19,141,000-20-38-59-66-59-51
Depreciation, amortization and accretion1110991017-23,618,474-23,604,00084553627999
Provision for credit losses---------192166894121
Gains on mortgage loans sold, net-76681619152460327711
Investment losses (gains) on sales, net-------8,264,639-2,254,000-6110-20-72
Gain on other equity investments, net----------2311917
Gain on remeasurement of previously held noncontrolling interest-----------6--
Stock-based compensation expense54457112018211925404241
Deferred tax expense (benefit)-23,395,05222394,452614--15-58-122072-19
Losses (gains) on disposition of other real estate and other investments-14,081,857-9,608,358-3,103,00874,807433,911-140,992202,980-84,000-3-810-0-0
Gain on sale of fixed assets------------862
Income from equity method investment-----31385190841221458563
Dividends received from equity method investment-----292234515370633772
Excess tax benefit from stock compensation------------3-0-3
Gains on commercial loans sold, net---------34211
Commercial Loan---------408565498369276
Consumer Loan---------2,1232,0381,5781,7542,502
Payments for Origination and Purchases of Loans Held-for-sale-----113177357403-----
Commercial Loan---------397582497381267
Consumer Loan---------2,1772,1121,5891,6992,442
(Increase) decrease in other assets-42,346,579-36,400,237-11,567,952-4,014,267317332457157-7483263-7
Increase (decrease) in other liabilities-----3-17,699,526617981-60-278154
Net cash provided by operating activities1131141269584127148471434428657605478904
Payments to Acquire Debt Securities, Available-for-sale----------2,1086991,1152,649
Proceeds from Sale of Debt Securities, Available-for-sale----------3830313899
Proceeds from Maturities, Prepayments and Calls of Debt Securities, Available-for-sale234211143124146281323324372469617417139325
Payments to Acquire Held-to-maturity Securities--3923,6522560,000--4-186968-5
Proceeds from Maturities, Prepayments and Calls of Held-to-maturity Securities22418646820407544183
Net decrease (increase) in securities purchased under agreements to resell-----------1,000487-45492
Increase in loans, net------------3,8122,946
Payments to Acquire Loans Held-for-investment-------------10
Proceeds from Sale, Loan and Lease, Held-for-Investment------------11770
Purchases of premises and equipment and software265611175324423923647895
Purchase of bank owned life insurance--38---5510011075-100244-
Proceeds from bank owned life insurance settlement-------3062244
Proceeds from Sales of Assets, Investing Activities----782,482223,03830-011996
Acquisitions, net of cash acquired--------45--31--
Proceeds from sale of other real estate-------168136164
Purchase of derivative instruments-----------10096--
Payments for (Proceeds from) Federal Home Loan Bank Stock--------------5
Purchase of other intangible assets---------1-1-2
Increase in other investments407,504-17,743,22764228857567184919394
Net cash used in investing activities-13,149,288-250,387,452-564,692,904-487,879,654-742,598,028-1,253,404,506-2,097,602,927-2,969,084,000-2,619-3,569-3,613-6,684-4,602-3,672
Net increase in deposits-178,660,7213615182497838221,4882,3991,3327,5253,5993,6613,5794,303
Net increase in securities sold under agreements to repurchase-14,702,967-16,923,937-44,202,14924-32,784,2457-12,754,500-30,521,00022224421521
Federal Home Loan Bank: Advances2155206007901,1351,9341,9651,6652,673762-5003,425455
Federal Home Loan Bank: Repayments/maturities1106705856851,0931,9341,0511,5412,0541,7382009251,750700
Repayments of Notes Payable----------25030--
Repayments of Debt and Lease Obligation-----70,401148,641168,000000000
Proceeds from Issuance of Common Stock------192---2-4-5-4-14
Proceeds From Stock Options Exercised, Net of Repurchase of Restricted Shares----------3-5-3-6
Common dividends paid------3645504956686969
Preferred stock dividends paid52-------815151515
Net cash provided by financing activities-116,363,6081294823727929892,5462,4401,9906,5763,0963,1555,1773,974
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect---------3,435140-2,9241,0531,206
Proceeds from Life Insurance Policy-------------141