TRUSTMARK CORP (TRMK) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2008: $112.66M2009: $172.32M2010: $206.78M2011: $173.59M2012: $92.12M2013: $155.42M2016: $148.34M2017: $206.61M2018: $239.20M2019: $116.45M2020: $65.35M2021: $348.77M2022: $296.52M2023: $196.89M2024: $116.93M2025: $243.90M$243.90M
2008Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025$243.90M+108.6%
2024$116.93M-40.6%
2023$196.89M-33.6%
2022$296.52M-15.0%
2021$348.77M+433.7%
2020$65.35M-43.9%
2019$116.45M-51.3%
2018$239.20M+15.8%
2017$206.61M+39.3%
2016$148.34M
2013$155.42M+68.7%
2012$92.12M-46.9%
2011$173.59M-16.1%
2010$206.78M+20.0%
2009$172.32M+52.9%
2008$112.66M