MarketBrain

TRUSTMARK CORP

Financial highlights

MetricFY December 31, 2025FY December 31, 2024FY December 31, 2023FY December 31, 2022FY December 31, 2021
Cash from operations$243.9M$116.9M$196.9M$296.5M$348.8M
Capital expenditure$11.9M$23.5M$40.1M$26.6M$27.4M
Free cash flow$232.0M$93.4M$156.8M$269.9M$321.4M
Share repurchases$80.0M$7.5M$0$24.6M$61.8M
Impairments$400,000$0$470,000$400,000$140,000
Total assets$18.9B$18.2B$18.7B$18.0B$17.6B
Total liabilities$16.8B$16.2B$17.1B$16.5B$15.9B

Shares outstanding 58.6M · Free float 86.9%

Annual filing data through FY ended December 31, 2025; float as of July 8, 2026.