美股市場個股詳情

Trustmark (TRMK)

添加自選
  • 44.910
  • +0.540+1.22%
收盤價 05/01 16:00 (美東)
  • 44.910
  • 0.0000.00%
盤後 17:14 (美東)
26.35億總市值11.91市盈率TTM

Trustmark (TRMK) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額
108.59%2.44億
-41.94%5,763.5萬
11.33%6,624.1萬
125.08%3,760.8萬
240.78%8,241.8萬
-40.61%1.17億
54.65%9,926.3萬
-44.06%5,950萬
-29.73%1,670.9萬
-2,387.73%-5,854.3萬
持續經營淨收入
0.50%2.24億
2.77%5,787.4萬
10.63%5,678.7萬
-24.37%5,584.1萬
29.13%5,363.3萬
34.76%2.23億
55.89%5,631.2萬
50.84%5,133萬
63.94%7,383.2萬
-17.43%4,153.5萬
持續經營損益
76.06%-1,377.5萬
-65.58%-364.6萬
-18.66%-393.7萬
91.04%-441.1萬
35.75%-178.1萬
-669.00%-5,754.4萬
-65.32%-220.2萬
-23.81%-331.8萬
-1,784.88%-4,925.2萬
-223.08%-277.2萬
折舊和攤銷
5.07%3,999.7萬
21.77%1,176.5萬
0.30%974.7萬
-2.07%991.4萬
0.09%857.1萬
6.46%3,806.7萬
0.36%966.2萬
0.38%971.8萬
15.28%1,012.4萬
11.70%856.3萬
遞延稅費
-3.36%2,300萬
925.30%2,358.2萬
111.06%34.3萬
103.21%12.5萬
-103.69%-105萬
595.83%2,380萬
153.12%230萬
-3,344.44%-310萬
-444.06%-389萬
8,404.48%2,849萬
其他非現金項目
-26.98%-3,341.7萬
-273.30%-1,840.1萬
40.08%-577.6萬
36.78%-2,046.1萬
121.28%1,122.1萬
42.44%-2,631.7萬
34.52%1,061.8萬
-122.90%-963.9萬
-6.75%-3,236.7萬
107.75%507.1萬
營運資金變動
113.65%1,567萬
-140.05%-840.9萬
-2.77%1,363.6萬
-35.71%-199.9萬
108.39%1,244.2萬
-600.70%-1.15億
163.89%2,099.8萬
2.80%1,402.4萬
76.88%-147.3萬
-2,027.97%-1.48億
-其他流動資產變化
103.74%23.3萬
-278.60%-2,786萬
-39.71%-313.5萬
336.54%635.6萬
218.24%2,487.2萬
45.65%-622.5萬
194.56%1,559.9萬
-117.85%-224.4萬
118.60%145.6萬
-7,042.57%-2,103.6萬
-其他流動負債變化
114.22%1,543.7萬
260.27%1,945.1萬
3.09%1,677.1萬
-185.25%-835.5萬
90.23%-1,243萬
-415.76%-1.09億
-77.92%539.9萬
1,414.71%1,626.8萬
-300.89%-292.9萬
-1,822.37%-1.27億
非持續經營活動現金流
經營活動現金淨額
108.59%2.44億
-41.94%5,763.5萬
11.33%6,624.1萬
125.08%3,760.8萬
240.78%8,241.8萬
-40.61%1.17億
54.65%9,926.3萬
-44.06%5,950萬
-29.73%1,670.9萬
-2,387.73%-5,854.3萬
投資活動現金流量
持續投資活動現金淨額
-305.98%-5.86億
-1,585.49%-1.31億
-927.85%-7,078.1萬
-175.71%-2.41億
-179.94%-1.44億
169.21%2.85億
117.02%879.2萬
108.79%855萬
2,564.31%3.19億
79.42%-5,130.9萬
投資產品交易淨現金流
-80.96%2,894.4萬
411.15%1,074.7萬
138.64%843.8萬
-104.58%-492.8萬
-78.93%1,468.7萬
-59.28%1.52億
-104.38%-345.4萬
-121.82%-2,183.8萬
0.17%1.08億
-19.93%6,972.2萬
貸款淨收益
-244.29%-6.1億
-4,803.21%-1.36億
-277.35%-8,917.7萬
-96.31%-2.28億
-37.02%-1.56億
76.76%-1.77億
102.00%289.3萬
124.56%5,028.3萬
1.28%-1.16億
61.35%-1.14億
固定資產交易的淨現金流
63.50%-776.4萬
26.42%-291.6萬
57.61%-350萬
29.96%-280.5萬
128.85%145.7萬
44.34%-2,127.4萬
42.91%-396.3萬
-10.11%-825.6萬
49.39%-400.5萬
68.17%-505萬
無形資產交易的淨現金流
-62.25%-826.2萬
-940.86%-193.6萬
26.84%-145.8萬
-171.23%-235.7萬
-22.85%-251.1萬
40.62%-509.2萬
81.96%-18.6萬
23.02%-199.3萬
61.19%-86.9萬
24.74%-204.4萬
業務交易的淨現金流
--0
--0
--0
----
----
--3.21億
--0
--0
----
----
其他投資活動的淨現金流
-28.78%1,041.9萬
-112.42%-43.5萬
4,113.56%1,491.6萬
-129.51%-313.3萬
-684.28%-92.9萬
-27.55%1,463萬
-83.96%350.2萬
-97.97%35.4萬
42.67%1,061.5萬
100.60%15.9萬
非持續投資現金淨額
投資活動現金流淨額
-305.98%-5.86億
-1,585.49%-1.31億
-927.85%-7,078.1萬
-175.71%-2.41億
-179.94%-1.44億
169.21%2.85億
117.02%879.2萬
108.79%855萬
2,564.31%3.19億
79.42%-5,130.9萬
融資活動現金流量
持續融資活動現金淨額
154.72%4.43億
102.35%815萬
221.48%1.03億
310.26%2.51億
131.35%8,132.8萬
-277.92%-8.1億
-262.93%-3.46億
6.49%-8,475.5萬
74.96%-1.19億
-132.06%-2.59億
為回購而出售的聯邦基金和證券
248.03%1.21億
160.05%2,500萬
-170.51%-3,632.6萬
221.69%9,624.6萬
387.89%3,607.2萬
-87.53%-8,173.7萬
-149.60%-4,163.5萬
385.14%5,152.2萬
52.58%-7,909.4萬
-143.74%-1,253萬
存款的增減
184.84%3.92億
1.18%-1.31億
332.08%5.15億
-71.72%3,515.7萬
88.12%-2,747.1萬
-140.77%-4.62億
-128.38%-1.33億
-218.05%-2.22億
-4.54%1.24億
-166.82%-2.31億
債務發行/償還的淨現金流
135.66%7,148.4萬
214.46%1.72億
-450.49%-3.5億
196.49%1.45億
100,953.85%1.05億
65.18%-2億
53.83%-1.5億
136.31%9,989.3萬
64.68%-1.5億
-100.02%-10.4萬
普通股發行/償還的淨現金流
-815.68%-8,257.6萬
-467.89%-4,297.8萬
-836.14%-1,357.4萬
---1,101萬
---1,501.4萬
-725.82%-901.8萬
-75,580.00%-756.8萬
---145萬
--0
--0
現金股利支付
-2.93%-5,845.6萬
-2.37%-1,450.4萬
-2.75%-1,460萬
-2.91%-1,462萬
-3.70%-1,473.2萬
-0.24%-5,679萬
-0.02%-1,416.8萬
-0.28%-1,420.9萬
-0.32%-1,420.6萬
-0.35%-1,420.7萬
其他融資活動的淨現金流額
----
----
----
16.95%-4.9萬
-74.62%-241.5萬
----
----
----
-168.18%-5.9萬
-31.97%-138.3萬
非持續融資活動現金淨額
融資活動現金流淨額
154.72%4.43億
102.35%815萬
221.48%1.03億
310.26%2.51億
131.35%8,132.8萬
-277.92%-8.1億
-262.93%-3.46億
6.49%-8,475.5萬
74.96%-1.19億
-132.06%-2.59億
現金淨流量
期初現金流
-41.84%5.67億
-9.01%7.33億
-22.84%6.34億
-3.09%5.87億
-41.84%5.67億
32.77%9.75億
7.35%8.05億
-1.17%8.22億
-53.28%6.06億
32.74%9.75億
當期現金流變化
124.69%1.01億
72.79%-6,481.9萬
689.19%9,842.4萬
-78.23%4,704萬
105.45%2,011.1萬
-269.50%-4.08億
-205.84%-2.38億
79.52%-1,670.5萬
146.46%2.16億
-165.67%-3.69億
期末現金流
17.76%6.68億
17.76%6.68億
-9.01%7.33億
-22.84%6.34億
-3.09%5.87億
-41.84%5.67億
-41.84%5.67億
7.35%8.05億
-1.17%8.22億
-53.28%6.06億
自由現金流
153.20%2.24億
-45.13%5,219萬
24.31%6,122.4萬
234.22%3,214.2萬
219.04%7,813.5萬
-40.40%8,834.4萬
69.31%9,511.4萬
-48.84%4,925萬
-26.24%961.7萬
-280.46%-6,563.7萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
無保留意見
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--
--
--
無保留意見
--
--
--
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(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額 108.59%2.44億-41.94%5,763.5萬11.33%6,624.1萬125.08%3,760.8萬240.78%8,241.8萬-40.61%1.17億54.65%9,926.3萬-44.06%5,950萬-29.73%1,670.9萬-2,387.73%-5,854.3萬
持續經營淨收入 0.50%2.24億2.77%5,787.4萬10.63%5,678.7萬-24.37%5,584.1萬29.13%5,363.3萬34.76%2.23億55.89%5,631.2萬50.84%5,133萬63.94%7,383.2萬-17.43%4,153.5萬
持續經營損益 76.06%-1,377.5萬-65.58%-364.6萬-18.66%-393.7萬91.04%-441.1萬35.75%-178.1萬-669.00%-5,754.4萬-65.32%-220.2萬-23.81%-331.8萬-1,784.88%-4,925.2萬-223.08%-277.2萬
折舊和攤銷 5.07%3,999.7萬21.77%1,176.5萬0.30%974.7萬-2.07%991.4萬0.09%857.1萬6.46%3,806.7萬0.36%966.2萬0.38%971.8萬15.28%1,012.4萬11.70%856.3萬
遞延稅費 -3.36%2,300萬925.30%2,358.2萬111.06%34.3萬103.21%12.5萬-103.69%-105萬595.83%2,380萬153.12%230萬-3,344.44%-310萬-444.06%-389萬8,404.48%2,849萬
其他非現金項目 -26.98%-3,341.7萬-273.30%-1,840.1萬40.08%-577.6萬36.78%-2,046.1萬121.28%1,122.1萬42.44%-2,631.7萬34.52%1,061.8萬-122.90%-963.9萬-6.75%-3,236.7萬107.75%507.1萬
營運資金變動 113.65%1,567萬-140.05%-840.9萬-2.77%1,363.6萬-35.71%-199.9萬108.39%1,244.2萬-600.70%-1.15億163.89%2,099.8萬2.80%1,402.4萬76.88%-147.3萬-2,027.97%-1.48億
-其他流動資產變化 103.74%23.3萬-278.60%-2,786萬-39.71%-313.5萬336.54%635.6萬218.24%2,487.2萬45.65%-622.5萬194.56%1,559.9萬-117.85%-224.4萬118.60%145.6萬-7,042.57%-2,103.6萬
-其他流動負債變化 114.22%1,543.7萬260.27%1,945.1萬3.09%1,677.1萬-185.25%-835.5萬90.23%-1,243萬-415.76%-1.09億-77.92%539.9萬1,414.71%1,626.8萬-300.89%-292.9萬-1,822.37%-1.27億
非持續經營活動現金流
經營活動現金淨額 108.59%2.44億-41.94%5,763.5萬11.33%6,624.1萬125.08%3,760.8萬240.78%8,241.8萬-40.61%1.17億54.65%9,926.3萬-44.06%5,950萬-29.73%1,670.9萬-2,387.73%-5,854.3萬
投資活動現金流量
持續投資活動現金淨額 -305.98%-5.86億-1,585.49%-1.31億-927.85%-7,078.1萬-175.71%-2.41億-179.94%-1.44億169.21%2.85億117.02%879.2萬108.79%855萬2,564.31%3.19億79.42%-5,130.9萬
投資產品交易淨現金流 -80.96%2,894.4萬411.15%1,074.7萬138.64%843.8萬-104.58%-492.8萬-78.93%1,468.7萬-59.28%1.52億-104.38%-345.4萬-121.82%-2,183.8萬0.17%1.08億-19.93%6,972.2萬
貸款淨收益 -244.29%-6.1億-4,803.21%-1.36億-277.35%-8,917.7萬-96.31%-2.28億-37.02%-1.56億76.76%-1.77億102.00%289.3萬124.56%5,028.3萬1.28%-1.16億61.35%-1.14億
固定資產交易的淨現金流 63.50%-776.4萬26.42%-291.6萬57.61%-350萬29.96%-280.5萬128.85%145.7萬44.34%-2,127.4萬42.91%-396.3萬-10.11%-825.6萬49.39%-400.5萬68.17%-505萬
無形資產交易的淨現金流 -62.25%-826.2萬-940.86%-193.6萬26.84%-145.8萬-171.23%-235.7萬-22.85%-251.1萬40.62%-509.2萬81.96%-18.6萬23.02%-199.3萬61.19%-86.9萬24.74%-204.4萬
業務交易的淨現金流 --0--0--0----------3.21億--0--0--------
其他投資活動的淨現金流 -28.78%1,041.9萬-112.42%-43.5萬4,113.56%1,491.6萬-129.51%-313.3萬-684.28%-92.9萬-27.55%1,463萬-83.96%350.2萬-97.97%35.4萬42.67%1,061.5萬100.60%15.9萬
非持續投資現金淨額
投資活動現金流淨額 -305.98%-5.86億-1,585.49%-1.31億-927.85%-7,078.1萬-175.71%-2.41億-179.94%-1.44億169.21%2.85億117.02%879.2萬108.79%855萬2,564.31%3.19億79.42%-5,130.9萬
融資活動現金流量
持續融資活動現金淨額 154.72%4.43億102.35%815萬221.48%1.03億310.26%2.51億131.35%8,132.8萬-277.92%-8.1億-262.93%-3.46億6.49%-8,475.5萬74.96%-1.19億-132.06%-2.59億
為回購而出售的聯邦基金和證券 248.03%1.21億160.05%2,500萬-170.51%-3,632.6萬221.69%9,624.6萬387.89%3,607.2萬-87.53%-8,173.7萬-149.60%-4,163.5萬385.14%5,152.2萬52.58%-7,909.4萬-143.74%-1,253萬
存款的增減 184.84%3.92億1.18%-1.31億332.08%5.15億-71.72%3,515.7萬88.12%-2,747.1萬-140.77%-4.62億-128.38%-1.33億-218.05%-2.22億-4.54%1.24億-166.82%-2.31億
債務發行/償還的淨現金流 135.66%7,148.4萬214.46%1.72億-450.49%-3.5億196.49%1.45億100,953.85%1.05億65.18%-2億53.83%-1.5億136.31%9,989.3萬64.68%-1.5億-100.02%-10.4萬
普通股發行/償還的淨現金流 -815.68%-8,257.6萬-467.89%-4,297.8萬-836.14%-1,357.4萬---1,101萬---1,501.4萬-725.82%-901.8萬-75,580.00%-756.8萬---145萬--0--0
現金股利支付 -2.93%-5,845.6萬-2.37%-1,450.4萬-2.75%-1,460萬-2.91%-1,462萬-3.70%-1,473.2萬-0.24%-5,679萬-0.02%-1,416.8萬-0.28%-1,420.9萬-0.32%-1,420.6萬-0.35%-1,420.7萬
其他融資活動的淨現金流額 ------------16.95%-4.9萬-74.62%-241.5萬-------------168.18%-5.9萬-31.97%-138.3萬
非持續融資活動現金淨額
融資活動現金流淨額 154.72%4.43億102.35%815萬221.48%1.03億310.26%2.51億131.35%8,132.8萬-277.92%-8.1億-262.93%-3.46億6.49%-8,475.5萬74.96%-1.19億-132.06%-2.59億
現金淨流量
期初現金流 -41.84%5.67億-9.01%7.33億-22.84%6.34億-3.09%5.87億-41.84%5.67億32.77%9.75億7.35%8.05億-1.17%8.22億-53.28%6.06億32.74%9.75億
當期現金流變化 124.69%1.01億72.79%-6,481.9萬689.19%9,842.4萬-78.23%4,704萬105.45%2,011.1萬-269.50%-4.08億-205.84%-2.38億79.52%-1,670.5萬146.46%2.16億-165.67%-3.69億
期末現金流 17.76%6.68億17.76%6.68億-9.01%7.33億-22.84%6.34億-3.09%5.87億-41.84%5.67億-41.84%5.67億7.35%8.05億-1.17%8.22億-53.28%6.06億
自由現金流 153.20%2.24億-45.13%5,219萬24.31%6,122.4萬234.22%3,214.2萬219.04%7,813.5萬-40.40%8,834.4萬69.31%9,511.4萬-48.84%4,925萬-26.24%961.7萬-280.46%-6,563.7萬
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