bf/NYSE:TFC_icon.jpeg

COM:TRUIST

Truist Financial Corporation

  • Stock

Last Close

46.18

21/11 21:00

Market Cap

52.53B

Beta: -

Volume Today

9.36M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
1.73B
-
2.23B
28.74%
2.12B
4.63%
2.44B
15.03%
2.42B
1.11%
3.26B
34.87%
3.24B
0.61%
4.49B
38.77%
6.44B
43.30%
6.27B
2.64%
-1.09B
117.41%
depreciation and amortization
421M
-
424M
0.71%
461M
8.73%
555M
20.39%
550M
0.90%
555M
0.91%
630M
13.51%
1.61B
155.24%
1.38B
13.93%
1.37B
1.30%
1.39B
1.76%
deferred income tax
804M
-
88M
89.05%
3M
96.59%
-6M
300%
940M
15,766.67%
563M
40.11%
731M
29.84%
1.93B
164.43%
-320M
116.55%
-318M
0.63%
stock based compensation
96M
-
102M
6.25%
106M
3.92%
115M
8.49%
132M
14.78%
141M
6.82%
165M
17.02%
353M
113.94%
320M
9.35%
318M
0.63%
change in working capital
1.73B
-
75M
95.65%
-506M
774.67%
-594M
17.39%
718M
220.88%
35M
95.13%
-3.27B
9,457.14%
-97M
97.04%
655M
775.26%
4.99B
661.07%
-510M
110.23%
accounts receivables
inventory
accounts payables
-812M
-
-4M
99.51%
263M
6,675%
186M
29.28%
-15M
108.06%
other working capital
2.54B
-
79M
96.89%
-769M
1,073.42%
-780M
1.43%
733M
193.97%
35M
95.23%
-3.27B
9,457.14%
-97M
97.04%
655M
775.26%
4.99B
661.07%
-510M
110.23%
other non cash items
564M
-
343M
39.18%
728M
112.24%
160M
78.02%
-120M
175%
-202M
68.33%
32M
115.84%
-852M
2,762.50%
-584M
31.46%
-1.54B
163.18%
8.06B
624.14%
net cash provided by operating activities
5.34B
-
3.26B
38.98%
2.92B
10.53%
2.67B
8.34%
4.63B
73.47%
4.35B
6.17%
1.52B
65.05%
7.44B
389.28%
7.89B
6.12%
11.08B
40.41%
7.84B
29.20%
investments in property plant and equipment
-2.68B
-
-4.80B
78.98%
-2.77B
42.40%
-2.76B
0.33%
-6.27B
-
656M
110.47%
-815M
224.24%
-442M
45.77%
-564M
27.60%
12.50B
2,315.60%
acquisitions net
516M
-
1.02B
98.64%
1.05B
2.93%
-785M
174.41%
-296M
-
6.26B
2,213.51%
-2.44B
138.99%
-1.64B
32.84%
-4.67B
185.29%
1.91B
140.77%
purchases of investments
-13.86B
-
-7.71B
44.34%
-15.26B
97.73%
-15.16B
0.64%
-16.36B
7.95%
-4.76B
70.90%
-42.65B
795.74%
-72.81B
70.73%
-70.78B
2.79%
-12.38B
82.51%
-4.23B
65.82%
sales maturities of investments
11.29B
-
7.09B
37.18%
15.16B
113.78%
17.52B
15.60%
12.31B
29.72%
6.50B
47.22%
44.08B
578.20%
29.90B
32.16%
34.12B
14.09%
20.75B
39.17%
15.34B
26.08%
other investing activites
503M
-
339M
32.60%
171M
49.56%
495M
189.47%
-1.26B
354.75%
-123M
90.25%
6M
104.88%
2.51B
41,683.33%
6.68B
166.57%
-33.11B
595.45%
55M
100.17%
net cash used for investing activites
-4.24B
-
-4.06B
4.17%
-1.64B
59.68%
-682M
58.36%
-5.31B
678.45%
-4.95B
6.82%
8.35B
268.75%
-43.65B
622.90%
-32.06B
26.56%
-29.97B
6.50%
25.57B
185.30%
debt repayment
-1.63B
-
-3.91B
139.41%
-2.43B
37.81%
-5.85B
140.40%
-7.45B
27.42%
-2.53B
66.01%
-9.27B
265.77%
-28.28B
205.21%
-7.96B
71.85%
-7.30B
8.32%
-2.68B
63.30%
common stock issued
9.68B
-
6.85B
29.27%
17.98B
162.55%
66.57B
270.30%
39.35B
40.89%
-17.38B
-
common stock repurchased
-1.61B
-
-1.21B
25.29%
-1.73B
43.15%
-500M
71.01%
-3.03B
506.20%
-250M
91.75%
-250M
0%
dividends paid
-912M
-
-814M
10.75%
-937M
15.11%
-1.09B
16.54%
-1.18B
7.97%
-1.38B
16.88%
-1.46B
5.88%
-2.73B
86.77%
-2.85B
4.66%
-2.99B
4.80%
-3.13B
4.75%
other financing activites
573M
-
5.69B
893.19%
3.48B
38.87%
5.18B
48.78%
15M
99.71%
-229M
1,626.67%
-175M
23.58%
953M
644.57%
82M
91.40%
30.55B
37,159.76%
-749M
102.45%
net cash used provided by financing activities
-1.97B
-
965M
148.91%
109M
88.70%
-1.76B
1,719.27%
-549M
68.90%
1.50B
373.59%
5.35B
256.39%
36.02B
572.86%
25.59B
28.95%
20.02B
21.78%
-24.19B
220.84%
effect of forex changes on cash
9.96B
-
net change in cash
-874M
-
160M
118.31%
1.39B
766.25%
225M
83.77%
-1.22B
643.56%
904M
173.92%
15.22B
1,583.74%
-197M
101.29%
1.43B
824.37%
1.13B
21.09%
9.22B
719.09%
cash at beginning of period
3.04B
-
2.17B
28.76%
2.33B
7.39%
3.71B
59.61%
3.94B
6.06%
3.08B
21.67%
3.84B
24.68%
19.07B
395.97%
18.87B
1.03%
20.30B
7.56%
21.42B
5.55%
cash at end of period
2.17B
-
2.33B
7.39%
3.71B
59.61%
3.94B
6.06%
2.71B
31.07%
3.99B
46.96%
19.07B
378.18%
18.87B
1.03%
20.30B
7.56%
21.42B
5.55%
30.64B
43.06%
operating cash flow
5.34B
-
3.26B
38.98%
2.92B
10.53%
2.67B
8.34%
4.63B
73.47%
4.35B
6.17%
1.52B
65.05%
7.44B
389.28%
7.89B
6.12%
11.08B
40.41%
7.84B
29.20%
capital expenditure
-2.68B
-
-4.80B
78.98%
-2.77B
42.40%
-2.76B
0.33%
-6.27B
-
656M
110.47%
-815M
224.24%
-442M
45.77%
-564M
27.60%
12.50B
2,315.60%
free cash flow
2.66B
-
-1.54B
158.13%
149M
109.65%
-85M
157.05%
4.63B
5,552.94%
-1.92B
141.36%
2.18B
213.51%
6.62B
204.32%
7.45B
12.50%
10.52B
41.17%
20.34B
93.41%

All numbers in (except ratios and percentages)