TRUIST FINANCIAL CORPTFC.PJ

時価総額
$643.9億
PER
消費者・中小企業向け銀行や投資銀行、資産運用の米国大手。デジタルバンキングと商業融資、決済サービスを展開。2024年5月に保険事業TIHの持分売却完了、2024年6月に自社株買い枠50億ドル承認。支店数1,928拠点(2024年12月31日)。
2010年
12月31日
2011年
12月31日
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Cash and Due from Banks1,1271,5621,9721,5651,6392,1231,8972,2432,7534,0845,0295,0855,3795,0725,793
Interest-bearing deposits with banks9312,6461,6594525291,4351,89534398414,98113,83915,21016,04225,57233,975
Securities borrowed or purchased under agreements to resell327136122148157153144--1,4171,7454,0283,1812,3782,550
Trading Assets---------5,7333,8724,4234,9054,3325,100
AFS securities, Fair Value-----------153,12371,80167,36667,464
HTM securities (fair value of $40,286 and $44,630, respectively)-14,09413,59418,10120,24018,53016,68023,02720,552--1,49457,71354,10750,640
Financing Receivable, Held-for-Sale-----1,0351,7161,0999888,3736,0594,8121,4441,2801,388
Loans and leases (including $13 and $15 at fair value, respectively)--------------306,383
Financing Receivable, Allowance for Credit Loss, Excluding Accrued Interest--------------4,857
Loans and leases, net of ALLL--------------301,526
Premises and equipment1,8401,8551,8881,8691,8272,0072,1072,0552,1183,7123,8703,7003,6053,3703,225
Goodwill6,0086,0786,8046,8146,8698,5489,6389,6189,81824,15424,44726,09827,01320,90117,125
CDI and other intangible assets5084446735695056868547117583,1422,9843,4083,6723,1601,550
Loan servicing rights at fair value8305636271,0478448801,0521,0561,108--2,6333,7583,3783,708
Other Assets14,92114,28514,03814,13113,09014,30614,04614,23513,87531,83230,67332,14935,12837,17037,132
Total assets157,081174,579183,872183,010186,814209,947219,276221,642225,697473,078509,228541,241555,255535,349531,176
Noninterest-bearing deposits20,63725,68432,45234,97238,78645,69550,69753,767-92,405127,629145,892135,742111,624107,451
Interest-Bearing Deposit Liabilities86,57699,255100,62392,50390,254103,429109,537103,604-242,322253,448270,596277,753284,241283,073
Short-Term Debt5,6733,5662,8644,1383,7173,5931,4064,9385,17818,2186,0925,29223,42224,82829,205
Long-term debt21,73021,80319,11421,49323,31223,76921,96523,64823,70941,33939,59735,91343,20338,91834,956
Other Liabilities5,9676,7917,5967,0956,3196,1215,7455,9905,43312,23611,55014,27714,59816,48512,812
Total liabilities140,583157,099162,649160,201162,388182,607189,350191,947195,519406,520438,316471,970494,718476,096467,497
Preferred stock--2,1162,6032,6032,6033,0533,0533,0535,1028,0486,6736,6736,6735,907
Common stock, $5 par value3,4723,4863,4993,5333,6033,9024,0473,9103,8176,7116,7456,6396,6346,6696,580
Additional paid-in capital5,7765,8735,9736,1726,5178,3659,1047,8936,84935,60935,84334,56534,54436,17735,628
Retained earnings7,9358,77210,12911,04412,36613,46414,80916,25918,11819,80619,45522,99826,26422,08823,777
AOCI, net of deferred income taxes-747-713-559-593-751-1,028-1,132-1,467-1,715-844716-1,604-13,601-12,506-8,213
Noncontrolling interests626265508834454756174105-23152-
Total shareholders’ equity16,49817,48021,22322,80924,42627,34029,92629,69530,17866,55870,91269,27160,53759,25363,679
Total liabilities and shareholders’ equity157,081174,579183,872183,010186,814209,947219,276221,642225,697473,078509,228541,241555,255535,349531,176