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TFC Truist Financial

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  • 46.790
  • +0.240+0.52%
Close Nov 18 16:00 ET
62.11BMarket Cap-32950P/E (TTM)

Truist Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-36.27%1.53B
-77.35%845M
-938.98%-990M
-22.11%8.63B
-32.77%2.38B
-36.15%2.41B
-5.93%3.73B
162.77%118M
40.41%11.08B
-26.48%3.53B
Net income from continuing operations
21.89%1.44B
-31.45%922M
-20.79%1.2B
-116.71%-1.05B
-402.62%-5.09B
-27.73%1.18B
-12.21%1.35B
6.99%1.52B
-2.64%6.27B
4.99%1.68B
Operating gains losses
---16M
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----
----
----
----
----
----
--71M
--0
Depreciation and amortization
-24.17%229M
-20.27%240M
-13.61%273M
-11.05%1.22B
-18.90%296M
-6.79%302M
-12.75%301M
-4.82%316M
-1.30%1.37B
6.41%365M
Other non cashItems
-5.90%383M
122.98%142M
-26.35%109M
100.21%5M
104.52%68M
182.89%407M
-286.25%-618M
164.07%148M
-1,141.48%-2.39B
-397.62%-1.5B
Change in working capital
-5,388.89%-952M
-226.89%-2.75B
-30.00%-3.07B
-94.56%271M
-82.08%452M
-99.13%18M
4.24%2.16B
-40.74%-2.36B
661.07%4.99B
2.56%2.52B
-Change in loans
-31.91%256M
-131.20%-83M
58.75%-349M
-91.41%213M
-48.07%417M
-70.65%376M
23.72%266M
-570.00%-846M
75.69%2.48B
-36.02%803M
-Change in other current assets
-32.43%-49M
9.52%-38M
95.77%-57M
-450.17%-2.05B
-131.96%-627M
86.30%-37M
86.71%-42M
-70.38%-1.35B
132.81%586M
274.56%1.96B
-Change in other working capital
-261.06%-1.16B
-235.31%-2.63B
-1,459.06%-2.67B
9.90%2.11B
373.55%662M
-130.46%-321M
-10.89%1.94B
84.00%-171M
86.41%1.92B
-110.39%-242M
Cash from discontinued operating activities
Operating cash flow
-36.27%1.53B
-77.35%845M
-938.98%-990M
-22.11%8.63B
-32.77%2.38B
-36.15%2.41B
-5.93%3.73B
162.77%118M
40.41%11.08B
-26.48%3.53B
Investing cash flow
Cash flow from continuing investing activities
-141.85%-3.49B
108.77%24.15B
387.95%5.9B
176.26%22.86B
146.39%4.99B
199.33%8.35B
207.39%11.57B
-5,929.41%-2.05B
6.50%-29.97B
11.30%-10.76B
Net investment purchase and sale
-356.10%-5.02B
227.84%10.35B
-53.52%930M
16.21%9.73B
5.31%2.62B
-44.33%1.96B
-6.26%3.16B
300.90%2B
122.85%8.38B
194.06%2.49B
Net proceeds payment for loan
-65.26%2.11B
-79.84%1.03B
355.69%4.69B
137.16%12.2B
132.97%2.87B
156.35%6.07B
138.52%5.09B
-1,269.40%-1.84B
-435.55%-32.84B
-84.58%-8.71B
Net business purchase and sale
793.33%104M
----
----
99.64%-17M
99.94%-2M
98.17%-15M
----
----
-185.29%-4.67B
-65.09%-3.35B
Net other investing changes
-269.70%-56M
-51.93%959M
99.66%-6M
108.09%136M
77.32%-132M
108.13%33M
448.78%2B
-1,342.62%-1.76B
-33.17%-1.68B
8.92%-582M
Cash from discontinued investing activities
Investing cash flow
-141.85%-3.49B
108.77%24.15B
387.95%5.9B
176.26%22.86B
146.39%4.99B
199.33%8.35B
207.39%11.57B
-5,929.41%-2.05B
6.50%-29.97B
11.30%-10.76B
Financing cash flow
Cash flow from continuing financing activities
106.59%721M
12.72%-19.1B
-103.34%-572M
-211.24%-22.27B
-202.05%-6.56B
-391.86%-10.93B
-2,845.67%-21.88B
89.05%17.11B
-21.78%20.02B
-17.58%6.43B
Increase decrease in deposit
139.33%2.37B
-1,093.98%-10.4B
81.18%-1.6B
-490.42%-17.63B
-66.63%-4.16B
31.33%-6.02B
129.32%1.05B
-171.76%-8.5B
-108.43%-2.99B
-123.47%-2.5B
Net issuance payments of debt
92.90%-293M
67.08%-7.93B
-93.01%1.87B
-110.09%-2.68B
-113.31%-1.29B
-130.99%-4.13B
-551.33%-24.07B
1,607.82%26.81B
758.40%26.54B
604.43%9.68B
Net commonstock issuance
----
----
----
--0
--0
----
----
----
84.53%-250M
--0
Net preferred stock issuance
----
----
----
--0
----
----
----
----
--0
----
Cash dividends paid
-0.25%-801M
-0.65%-773M
-0.76%-800M
-4.75%-3.13B
-1.32%-770M
-1.40%-799M
-7.26%-768M
-9.52%-794M
-4.80%-2.99B
-6.15%-760M
Net other financing activities
-620.00%-52M
-100.21%-4M
88.78%-46M
493.62%1.17B
-5,766.67%-340M
200.00%10M
47,925.00%1.91B
-41.38%-410M
-463.41%-298M
-97.97%6M
Cash from discontinued financing activities
Financing cash flow
106.59%721M
12.72%-19.1B
-103.34%-572M
-211.24%-22.27B
-202.05%-6.56B
-391.86%-10.93B
-2,845.67%-21.88B
89.05%17.11B
-21.78%20.02B
-17.58%6.43B
Net cash flow
Beginning cash position
36.22%40.88B
-4.40%34.99B
43.06%30.64B
5.55%21.42B
34.23%29.83B
29.84%30.01B
25.66%36.6B
5.55%21.42B
7.56%20.3B
12.09%22.23B
Current changes in cash
-596.07%-1.24B
189.49%5.89B
-71.39%4.34B
719.09%9.22B
201.00%812M
79.95%-178M
-9.60%-6.59B
71.92%15.18B
-21.09%1.13B
-271.79%-804M
End cash position
32.88%39.64B
36.22%40.88B
-4.40%34.99B
43.06%30.64B
43.06%30.64B
34.23%29.83B
29.84%30.01B
25.66%36.6B
5.55%21.42B
5.55%21.42B
Free cash flow
-36.27%1.53B
-77.35%845M
-938.98%-990M
-22.11%8.63B
-32.77%2.38B
-36.15%2.41B
-5.93%3.73B
162.77%118M
40.41%11.08B
-26.48%3.53B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
--
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -36.27%1.53B-77.35%845M-938.98%-990M-22.11%8.63B-32.77%2.38B-36.15%2.41B-5.93%3.73B162.77%118M40.41%11.08B-26.48%3.53B
Net income from continuing operations 21.89%1.44B-31.45%922M-20.79%1.2B-116.71%-1.05B-402.62%-5.09B-27.73%1.18B-12.21%1.35B6.99%1.52B-2.64%6.27B4.99%1.68B
Operating gains losses ---16M------------------------------71M--0
Depreciation and amortization -24.17%229M-20.27%240M-13.61%273M-11.05%1.22B-18.90%296M-6.79%302M-12.75%301M-4.82%316M-1.30%1.37B6.41%365M
Other non cashItems -5.90%383M122.98%142M-26.35%109M100.21%5M104.52%68M182.89%407M-286.25%-618M164.07%148M-1,141.48%-2.39B-397.62%-1.5B
Change in working capital -5,388.89%-952M-226.89%-2.75B-30.00%-3.07B-94.56%271M-82.08%452M-99.13%18M4.24%2.16B-40.74%-2.36B661.07%4.99B2.56%2.52B
-Change in loans -31.91%256M-131.20%-83M58.75%-349M-91.41%213M-48.07%417M-70.65%376M23.72%266M-570.00%-846M75.69%2.48B-36.02%803M
-Change in other current assets -32.43%-49M9.52%-38M95.77%-57M-450.17%-2.05B-131.96%-627M86.30%-37M86.71%-42M-70.38%-1.35B132.81%586M274.56%1.96B
-Change in other working capital -261.06%-1.16B-235.31%-2.63B-1,459.06%-2.67B9.90%2.11B373.55%662M-130.46%-321M-10.89%1.94B84.00%-171M86.41%1.92B-110.39%-242M
Cash from discontinued operating activities
Operating cash flow -36.27%1.53B-77.35%845M-938.98%-990M-22.11%8.63B-32.77%2.38B-36.15%2.41B-5.93%3.73B162.77%118M40.41%11.08B-26.48%3.53B
Investing cash flow
Cash flow from continuing investing activities -141.85%-3.49B108.77%24.15B387.95%5.9B176.26%22.86B146.39%4.99B199.33%8.35B207.39%11.57B-5,929.41%-2.05B6.50%-29.97B11.30%-10.76B
Net investment purchase and sale -356.10%-5.02B227.84%10.35B-53.52%930M16.21%9.73B5.31%2.62B-44.33%1.96B-6.26%3.16B300.90%2B122.85%8.38B194.06%2.49B
Net proceeds payment for loan -65.26%2.11B-79.84%1.03B355.69%4.69B137.16%12.2B132.97%2.87B156.35%6.07B138.52%5.09B-1,269.40%-1.84B-435.55%-32.84B-84.58%-8.71B
Net business purchase and sale 793.33%104M--------99.64%-17M99.94%-2M98.17%-15M---------185.29%-4.67B-65.09%-3.35B
Net other investing changes -269.70%-56M-51.93%959M99.66%-6M108.09%136M77.32%-132M108.13%33M448.78%2B-1,342.62%-1.76B-33.17%-1.68B8.92%-582M
Cash from discontinued investing activities
Investing cash flow -141.85%-3.49B108.77%24.15B387.95%5.9B176.26%22.86B146.39%4.99B199.33%8.35B207.39%11.57B-5,929.41%-2.05B6.50%-29.97B11.30%-10.76B
Financing cash flow
Cash flow from continuing financing activities 106.59%721M12.72%-19.1B-103.34%-572M-211.24%-22.27B-202.05%-6.56B-391.86%-10.93B-2,845.67%-21.88B89.05%17.11B-21.78%20.02B-17.58%6.43B
Increase decrease in deposit 139.33%2.37B-1,093.98%-10.4B81.18%-1.6B-490.42%-17.63B-66.63%-4.16B31.33%-6.02B129.32%1.05B-171.76%-8.5B-108.43%-2.99B-123.47%-2.5B
Net issuance payments of debt 92.90%-293M67.08%-7.93B-93.01%1.87B-110.09%-2.68B-113.31%-1.29B-130.99%-4.13B-551.33%-24.07B1,607.82%26.81B758.40%26.54B604.43%9.68B
Net commonstock issuance --------------0--0------------84.53%-250M--0
Net preferred stock issuance --------------0------------------0----
Cash dividends paid -0.25%-801M-0.65%-773M-0.76%-800M-4.75%-3.13B-1.32%-770M-1.40%-799M-7.26%-768M-9.52%-794M-4.80%-2.99B-6.15%-760M
Net other financing activities -620.00%-52M-100.21%-4M88.78%-46M493.62%1.17B-5,766.67%-340M200.00%10M47,925.00%1.91B-41.38%-410M-463.41%-298M-97.97%6M
Cash from discontinued financing activities
Financing cash flow 106.59%721M12.72%-19.1B-103.34%-572M-211.24%-22.27B-202.05%-6.56B-391.86%-10.93B-2,845.67%-21.88B89.05%17.11B-21.78%20.02B-17.58%6.43B
Net cash flow
Beginning cash position 36.22%40.88B-4.40%34.99B43.06%30.64B5.55%21.42B34.23%29.83B29.84%30.01B25.66%36.6B5.55%21.42B7.56%20.3B12.09%22.23B
Current changes in cash -596.07%-1.24B189.49%5.89B-71.39%4.34B719.09%9.22B201.00%812M79.95%-178M-9.60%-6.59B71.92%15.18B-21.09%1.13B-271.79%-804M
End cash position 32.88%39.64B36.22%40.88B-4.40%34.99B43.06%30.64B43.06%30.64B34.23%29.83B29.84%30.01B25.66%36.6B5.55%21.42B5.55%21.42B
Free cash flow -36.27%1.53B-77.35%845M-938.98%-990M-22.11%8.63B-32.77%2.38B-36.15%2.41B-5.93%3.73B162.77%118M40.41%11.08B-26.48%3.53B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------

Analysis

Analyst Rating

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Price Target

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