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TRMK
Trustmark Corporation
47.09
2 x 33.48
2 x 59.52
bid
ask
+
1.08
2.35%
2 @ 04:24 AM
47.25 +0.16 (0.34%)
Ytd20.90%
1y23.40%
46.10
day range
47.17
35.96
52 week range
47.17
Open46.22Prev Close46.01Low46.10High47.17Mkt Cap2.76B
Vol631.40KAvg Vol405.76KEPS3.77P/E12.49Forward P/E11.52
Beta0.65Short Ratio8.75Inst. Own80.50%Dividend1.00Div Yield2.17
Ex Div Date06-01Earning07-2850-d Avg44.70200-d Avg41.781yr Est47.45
Income Statement
Total Revenue200.16M
Revenues (USD)200.16M
Gross Profit200.16M
Operating Expenses132.16M
Selling, General and Administrative Expense89.07M
Operating Income68.01M
Income Tax Expense11.89M
Net Income56.12M
Net Income Common Stock56.12M
Net Income Common Stock (USD)56.12M
Consolidated Income56.12M
Earnings per Basic Share0.95
Earnings per Basic Share (USD)0.95
Earnings per Diluted Share0.95
Dividends per Basic Common Share0.25
Earning Before Interest & Taxes (EBIT)68.01M
Earning Before Interest & Taxes (USD)68.01M
Weighted Average Shares58.85M
Balance Sheet
Cash and Equivalents526.59M
Cash and Equivalents (USD)526.59M
Investments17.08B
Property, Plant & Equipment Net259.84M
Total Assets18.99B
Total Debt974.25M
Total Liabilities16.86B
Accumulated Retained Earnings (Deficit)2.08B
Accumulated Other Comprehensive Income-27.44M
Shareholders Equity2.13B
Shareholders Equity (USD)2.13B
Total Debt (USD)974.25M
Deposit Liabilities15.71B
Goodwill and Intangible Assets471.40M
Cash Flow
Depreciation, Amortization & Accretion9.64M
Net Cash Flow from Financing39.85M
Net Cash Flow / Change in Cash & Cash Equivalents-141.41M
Capital Expenditure-9.28M
Issuance (Purchase) of Equity Shares-19.80M
Issuance (Repayment) of Debt Securities -135.12M
Payment of Dividends & Other Cash Distributions -14.87M
Net Cash Flow from Investing-208.37M
Net Cash Flow - Investment Acquisitions and Disposals-200.75M
Net Cash Flow from Operations27.10M
Share Based Compensation2.92M