Recent Annual Filings for TRMK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $18,152,422,000 $960,330,000 $926,273,000 $359,073,000 $116,929,000 $-809,615,000 $-408,092,000
2023 $18,722,189,000 $878,832,000 $681,496,000 $221,169,000 $196,887,000 $455,043,000 $240,756,000
2022 $18,015,478,000 $541,833,000 $468,086,000 $-170,956,000 $296,516,000 $451,844,000 $-1,532,042,000
2021 $17,595,636,000 $442,511,000 $267,098,000 $115,856,000 $348,771,000 $970,568,000 $314,325,000
2020 $16,551,840,000 $468,335,000 $278,553,000 $182,574,000 $65,346,000 $2,745,957,000 $1,593,588,000
2019 $13,497,877,000 $510,492,000 $336,699,000 $182,539,000 $116,447,000 $-32,853,000 $9,355,000
2018 $13,286,460,000 $485,612,000 $313,759,000 $142,154,000 $239,198,000 $-664,192,000 $13,793,000
2017 $13,797,953,000 $449,795,000 $295,450,000 $111,703,000 $206,607,000 $150,317,000 $8,062,000