TRUIST FINANCIAL CORPTFC

Market cap
$64.4B
P/E ratio
Dec 31,
2010
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 income (loss)8541,3322,0281,7292,2262,1232,4422,4153,2573,2374,4926,4376,267-1,0474,840
Provision for credit losses2,6381,1901,0575922514285725475666152,335-8137772,1091,870
Depreciation-264281315333356405408424466923810783688613
Amortization of intangibles--------------366
Goodwill, Impairment Loss-------------6,078-
Securities (gains) losses--------13-116402--71--6,651
Gain on sale of TIH, net of tax--------------4,841
LHFS620583433-2,445201-422644-618-1881,895-718-1,411-2,479-213381
Loan servicing rights----------607-206-813-28-104
Pension asset----------3687791,580-1,3992,024675
Derivative assets and liabilities----------2,690-1,296-3,836-409587
Trading assets-3-38---698-432-1151341,815-1,861551482-573768
Investments in affordable housing projects and other qualified tax credits---------------1,028
Other assets and other liabilities571411615-67-1251351519-67-186-2851,434-1,1284,611
Other, net--------120-20232-852229-2,3855819
Net cash from operating activities2,8984,5653,6985,3393,2582,9152,6724,6354,3491,5207,4377,89211,0818,6312,164
Proceeds from sales of AFS securities--------38336,7805,2761483,3142127,643
Proceeds from maturities, calls and paydowns of AFS securities6,0493,2714,3966,2143,9155,0645,8884,8003,6744,79724,62733,96812,29910,00914,907
Purchases of AFS securities--------4,72242,64672,80870,7759,3574,23044,741
Proceeds from maturities, calls and paydowns of HTM securities-1,8285,5362,8631,8663,7917,0222,5802,4422,499--5,1403,9343,774
Purchases of HTM securities-7,5785,0557,3994,0302,5575,1248,96539---3,020--
Payments for (Proceeds from) Loans Receivable---------------4,787
Purchases of loans and leases--------------1,317
Proceeds from Sale, Loan, Held-for-Investment--------------708
Net cash received (paid) for FHLB stock-----------600-1161,231-81-233
Net cash received (paid) for securities borrowed or purchased under agreements to resell------------2,283847803-172
Proceeds from Divestiture of Businesses, Net of Cash Divested-832--522----------12,174
Other, net-88-106-83-503-339-171-49531123-6706331-260-55-602
Net cash from investing activities5,979-17,826-7,085-4,240-4,063-1,638-682-5,309-4,9478,348-43,652-32,056-29,97222,85818,598
Net change in deposits-6,84317,7994,676-5,6003372,5064,507-2,8423,8382,91748,59935,423-2,986-17,630-6,883
Net change in short-term borrowings-2,434-2,107-7021,274-421-982-3,5813,5322406,293-12,124-80018,0601,3974,359
Proceeds from issuance of long-term debt5002,0102,3274,1645,5102,2723,8788,8832,7697,08426,6444,72815,77750,94322,799
Repayment of long-term debt3362,1905,1121,6343,9122,4335,8497,4532,5339,26528,2787,9597,29755,01826,797
Repurchase of common stock-------1,6131,205--1,616250-1,000
Cash dividends paid on common stock4154465317656667899251,0051,2041,3092,4242,4852,6562,7702,770
Cash dividends paid on preferred stock--33147148148167174174150301367333361365
Net cash received from hedge unwinds----------1,101--185-737-207
Net cash from TIH minority stake sale-------------1,922-
Other, net27713240248265-31721515-229-175-14882-113-12-24
Net cash from financing activities-9,14115,2202,796-1,973965109-1,765-5491,5025,35336,01825,59120,017-22,266-11,638
Net Change in Cash and Cash Equivalents---------15,221-1971,4271,1269,2239,124
Net cash paid (received) during the period for interest expense1,8681,4041,1209187657347758191,4081,9211,8348592,0079,13811,340
Income Taxes Paid, Net972-8234767732265584442999443126792479780830
Transfer of loans HFI to LHFS-226--684432631,050777,4342,5629255495,219600
Transfer of AFS securities to HTM---------18,022--59,400--