7Baggers

Renasant Quarterly Cash Flow Statements Chart

Quarterly
 | 
Annual
 
 Stock-Based Compensation  
 Operating Cash Flow  
 Investing Cash Flow  
 Financing Cash Flow  
20200930 20201231 20210331 20210630 20210930 20211231 20220331 20220630 20220930 20221231 20230331 20230630 20230930 20231231 20240331 20240630 20240930 20241231 20250331 20250630 -77.29-36.853.644.0484.48124.93165.37205.82Milllion

Renasant Quarterly Cash Flow Statements Table

Quarterly
 | 
Annual
 
Unit: USD2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-09-30 2016-06-30 2016-03-31 2015-12-31 2015-09-30 2015-06-30 2015-03-31 2014-12-31 2014-09-30 2014-06-30 2014-03-31 2013-12-31 2013-09-30 2013-06-30 2013-03-31 2012-12-31 2012-09-30 2012-06-30 2012-03-31 2011-12-31 2011-09-30 2011-06-30 2011-03-31 2010-12-31 2010-09-30 2010-06-30 2010-03-31 2009-12-31 2009-09-30 2009-06-30 2009-03-31 2008-12-31 2008-09-30 2008-06-30 2008-03-31 2007-12-31 
                                                                        
  operating activities                                                                      
  net income1,018,000 41,518,000 44,747,000 72,455,000 38,846,000 39,409,000 28,124,000 41,833,000 28,643,000 46,078,000 46,276,000 46,567,000 39,678,000 33,547,000 37,054,000 40,063,000 40,867,000 57,908,000 31,521,000 29,992,000 20,130,000 2,008,000 38,415,000 37,446,000 46,625,000 45,110,000 44,420,000 31,964,000 36,710,000 33,826,000 16,511,000 26,421,000 25,284,000 23,972,000 23,179,000 22,900,000 21,216,000 21,160,000 16,220,000 15,394,000 15,240,000                              
  adjustments to reconcile net income to net cash from operating activities:                                                                      
  benefit from credit losses81,322,000 4,750,000 2,600,000 935,000 3,300,000 2,438,000  5,315,000 3,000,000 7,960,000   2,000,000 1,500,000                                                         
  depreciation, amortization and accretion3,429,000 8,360,000 8,504,000 7,753,000 7,930,000 8,097,000 8,508,000 8,358,000 9,128,000 9,237,000 9,154,000 9,643,000 11,143,000 12,804,000 12,929,000 11,962,000 12,400,000 10,059,000 11,906,000 9,480,000 8,310,000 4,937,000 2,359,000 4,219,000 1,198,000 409,000 -193,000 1,835,000 1,204,000 650,000 1,291,000 916,000 -8,941,000 11,566,000 751,000 -651,000 739,000 900,000 2,366,000 -1,085,000 3,772,000                              
  deferred income tax (benefit) expense      -3,774,000            -5,168,000 1,318,000 -7,021,000 -2,791,000                                                 
  proceeds from sale of msr   23,011,000                                                                 
  gain on sale of msr   -3,472,000                                                                 
  funding of mortgage loans held for sale-491,627,000 -303,158,000 -347,277,000 -412,059,000 -380,707,000 -260,424,000 -273,635,000 -397,356,000 -400,975,000 -258,946,000 -243,198,000 -359,545,000 -481,567,000 -595,046,000 -870,453,000 -966,652,000 -1,079,473,000 -1,143,349,000 -1,201,845,000 -1,253,742,000 -1,308,074,000 -715,760,000 -700,449,000 -741,904,000 -554,722,000 -384,103,000 -444,762,000 -479,920,000 -475,761,000 -362,803,000 -427,221,000 -483,777,000 -454,312,000 -318,144,000 -510,143,000 -548,007,000 -458,500,000 -491,382,000 -584,662,000 -222,298,000 -185,595,000                              
  proceeds from sales of mortgage loans held for sale369,819,000 328,897,000 393,526,000 392,658,000 311,076,000 250,399,000 342,602,000 407,908,000 314,098,000 212,755,000 286,007,000 411,429,000 576,127,000 769,797,000 886,067,000 980,799,000 1,166,702,000 1,082,538,000 1,219,926,000 1,286,261,000 1,417,124,000 607,017,000 785,063,000 687,301,000 440,211,000 416,032,000 444,461,000 532,329,000 445,906,000 275,445,000 530,149,000 515,769,000 385,587,000 343,945,000 610,676,000 577,248,000 391,552,000 578,023,000 734,087,000 222,462,000 113,076,000                              
  gains on sales of mortgage loans held for sale-5,316,000 -4,500,000 -2,378,000 -4,499,000 -5,199,000 -4,535,000 -1,934,000 -3,222,000 -4,648,000 -4,769,000 -5,995,000 -271,000 -3,490,000 -6,047,000 -10,801,000 -20,116,000 -17,581,000 -33,901,000 -36,079,000 -92,545,000 -21,782,000 -10,438,000 -14,627,000 -12,901,000 -7,888,000 -9,513,000 -11,288,000 -10,719,000 -8,798,000 -3,956,000 -4,111,000 -5,054,000 -6,554,000 -13,716,000 -7,124,000 -5,847,000 -4,674,000 -10,578,000 -5,407,000 -4,633,000                              
  debt prepayment benefit   -56,000                                                                 
  (gains) losses on sales of premises and equipment-76,000 -271,000             -321,000 168,000          -89,000 -10,000 37,000                                           
  stock-based compensation expense4,304,000 3,780,000  3,273,000 3,374,000 3,992,000  3,424,000 3,395,000 3,445,000  2,268,000 2,952,000 3,338,000  2,594,000 2,386,000 2,756,000  2,405,000 2,998,000 2,750,000  3,002,000 2,082,000 2,637,000  1,844,000 1,854,000 1,858,000  1,360,000                                       
  decrease (increase) in other assets     9,904,000                               11,827,000                                  
  decrease in other liabilities-4,976,000 -20,025,000        -14,866,000  8,824,000 5,392,000 -24,469,000         -4,729,000 3,242,000   -14,870,000 -14,427,000 2,063,000 -14,720,000  -937,000 5,947,000 -14,662,000 -1,633,000 4,834,000 -8,298,000    -14,432,000                              
  net cash from operating activities-77,291,000 106,152,000 92,095,000 21,351,000 -49,077,000 65,057,000 100,429,000 79,664,000 -24,158,000 -7,382,000 110,938,000 113,401,000 143,890,000 205,816,000 52,488,000 40,591,000 106,368,000 -56,788,000 38,197,000 -10,868,000 177,913,000 -123,000,000 133,741,000 -14,930,000 -95,295,000 140,107,000 75,438,000 75,091,000 -11,952,000 -61,171,000 149,164,000 44,704,000 -58,649,000 66,342,000 130,984,000 34,431,000 -40,677,000 123,455,000 161,613,000 21,901,000 -54,344,000 34,451,000 30,824,000 39,148,000 20,260,000 29,164,000 66,147,000 16,635,000 41,340,000 42,935,000 33,475,000 38,691,000 62,609,000 48,391,000 32,592,000 26,649,000 45,499,000 37,526,000 15,761,000 14,918,000 32,245,000 -12,005,000 44,224,000 18,787,000 -1,301,000 7,009,000 27,213,000 1,377,000 27,002,000 -9,537,000 
  investing activities                                                                      
  purchases of securities available for sale-770,280,000 -175,815,000 -113,573,000 -7,977,000 -5,704,000 -46,975,000 -2,253,000    -4,639,000 -98,705,000 -324,117,000 -285,635,000 -364,829,000 -552,705,000 -725,155,000 -465,245,000 -210,702,000 -122,210,000 -59,075,000 -123,670,000 -125,753,000 -240,762,000 -75,926,000 -49,577,000 -110,308,000 -78,734,000 -179,923,000 -317,922,000 -18,511,000 -71,913,000 -67,083,000 -52,683,000 -47,592,000 -2,255,000 -32,396,000 -17,858,000 -25,190,000 -15,415,000 -13,651,000 -24,167,000 -23,847,000 -76,282,000 -56,625,000 -35,801,000 -70,720,000 -45,638,000 -23,809,000 -5,216,000 -78,210,000 -55,226,000 -8,949,000 -48,586,000 -119,298,000 -97,259,000 -110,163,000 -100,070,000 -48,317,000 -87,488,000 -109,427,000 -111,087,000 -9,489,000 -9,625,000 -159,134,000 -147,816,000 -18,172,000 
  proceeds from sales of securities available for sale  177,185,000       49,000 21,015,000 155,391,000 36,133,000   199,873,000 2,001,000 10,611,000    451,846,000 40,548,000 2,946,000 4,024,000 4,000 7,231,000   375,000    2,000 9,013,000 39,200,000 64,165,000 22,685,000 1,000    38,180,000   5,249,000 75,659,000 26,831,000     2,958,000 
  proceeds from call/maturities of securities available for sale82,067,000 30,958,000 22,520,000 23,597,000 20,565,000 22,148,000 24,875,000 33,320,000 45,488,000 45,342,000 49,003,000 87,110,000 121,239,000 128,155,000 128,500,000 134,406,000 99,732,000 95,382,000 123,618,000 130,556,000 107,538,000 76,269,000 69,767,000 71,782,000 72,229,000 48,509,000 47,192,000 49,856,000 34,320,000 29,335,000 37,401,000 71,116,000 30,128,000 30,800,000 45,163,000 42,266,000 29,803,000 28,175,000 32,027,000 26,647,000 24,814,000 20,103,000 22,883,000 20,250,000 17,069,000 18,152,000 19,708,000 21,473,000 21,425,000 28,573,000 31,710,000 31,248,000 43,433,000 45,571,000 36,839,000 45,554,000 39,227,000 70,402,000 69,560,000 58,621,000 75,396,000 61,948,000 47,737,000 58,927,000 65,042,000 24,961,000 39,356,000 36,237,000 58,952,000 25,018,000 
  proceeds from call/maturities of securities held to maturity26,521,000 25,831,000 26,008,000 25,798,000 26,213,000 24,159,000 26,008,000 29,822,000 28,699,000 25,424,000 31,468,000 18,718,000 9,642,000 7,620,000                 375,000 7,797,000 7,710,000 27,795,000 66,317,000 15,193,000 24,011,000 11,621,000 95,895,000 13,922,000 5,807,000 5,408,000 66,908,000 57,890,000 27,616,000 49,997,000 6,080,000 28,590,000 16,538,000 20,092,000 83,416,000 27,975,000 10,777,000 34,510,000 19,777,000 2,140,000 2,135,000 2,145,000 4,645,000 1,735,000 5,999,000         
  net increase in loans-308,819,000 -171,186,000 -260,229,000 -24,658,000 -109,754,000 -148,854,000 -184,468,000 -244,104,000 -167,614,000 -195,617,000 -398,121,000 -502,062,000 -291,685,000 -264,251,000     150,150,000 -86,502,000 -1,227,543,000 -69,337,000 -371,421,000   -808,000 40,874,000 -15,877,000 -65,861,000 -74,344,000 -167,587,000 -109,269,000 -120,167,000 -43,182,000 -135,056,000 -115,316,000 -157,198,000 -120,936,000 -129,576,000 -78,706,000 30,542,000 -38,468,000 80,000   -2,389,000 -103,200,000 -83,202,000 -3,608,000 -30,595,000 -141,126,000 -99,189,000 -29,776,000 -38,444,000               -831,000 -9,899,000 
  purchases of premises and equipment-10,179,000 -4,817,000 -3,237,000 -3,634,000 -3,478,000 -3,296,000 -5,240,000 -4,041,000 -4,116,000 -8,237,000 -4,464,000 -4,509,000 -3,835,000 -2,030,000 -3,719,000 -3,844,000 -10,323,000 -2,630,000 -21,446,000 -2,968,000 -1,915,000 -1,941,000 -10,998,000 -7,477,000 -9,249,000 -7,242,000 -6,761,000 -5,286,000 -5,929,000 -4,384,000 -1,122,000 -4,257,000 -3,227,000 -4,441,000 -3,307,000 -2,995,000 -2,656,000 -5,801,000 -8,170,000 -5,270,000 -5,924,000 -9,685,000 -6,819,000 -3,382,000 -2,293,000 635,000 -2,777,000 -3,571,000 -2,337,000 -4,020,000 -7,556,000 -2,873,000 -3,139,000 -2,546,000 -1,040,000 -1,471,000 -1,276,000 -9,742,000 -650,000 -992,000 -373,000 -274,000 -113,000 -348,000 -378,000 -710,000 -844,000 -818,000 -1,907,000 -675,000 
  proceeds from sales of premises and equipment79,000 1,267,000 5,000 50,000 33,000 256,000     4,000 297,000 833,000 100,000 1,098,000 8,681,000 34,000     1,482,000 6,000 2,105,000 135,000 9,000 679,000   846,000 1,242,000 13,000 1,264,000   1,771,000            201,000 63,000 45,000 29,000 8,000 67,000 10,000 247,000 6,000 2,000 1,000 15,000 53,000 174,000 8,000 25,000 6,000 208,000 
  proceeds from surrender of bank-owned life insurance                                                                      
  net change in fhlb stock-5,461,000 -222,000 2,352,000 -222,000 -2,455,000 5,120,000 -4,718,000 7,526,000 35,398,000 -22,130,000 -20,269,000 -4,012,000 -3,104,000 -422,000 5,206,000 -19,000 -1,183,000 -24,000 8,233,000 11,103,000 11,936,000 -12,432,000 -17,704,000 -2,321,000                                               
  proceeds from sales of other assets11,032,000 746,000 1,884,000 299,000 1,035,000 132,000 282,000 2,006,000 180,000 647,000 1,120,000 934,000 568,000 956,000 2,261,000 703,000 1,416,000 1,962,000 2,418,000 3,792,000 1,458,000 770,000 1,154,000 1,955,000 2,330,000 12,965,000 3,075,000 1,260,000 1,941,000 2,085,000 2,646,000 4,100,000 2,078,000 5,307,000 3,083,000 4,346,000 3,611,000                                  
  net cash received in acquisition of businesses                                                                      
  other699,000 1,183,000 657,000 465,000 98,000 93,000 176,000 328,000 1,340,000 520,000 1,985,000 415,000 207,000 860,000 1,457,000 1,346,000     915,000 106,000 -104,000                                             
  net cash from investing activities29,882,000 -292,055,000 -323,613,000 69,051,000 -73,447,000 29,968,000 -144,571,000 -184,941,000 427,344,000 -153,231,000 -456,200,000 -500,244,000 -502,413,000 -584,800,000 -287,743,000 -271,939,000 -129,787,000 29,466,000 89,850,000 -66,229,000 -1,158,828,000 -130,341,000 -453,723,000 -107,424,000 30,307,000 24,930,000 -25,919,000 107,787,000 -215,219,000 -365,230,000 300,643,000 -22,739,000 -149,232,000 -53,530,000 -110,221,000 19,560,000 -149,424,000 -107,900,000 -93,832,000 -40,578,000 -5,121,000 -44,866,000 19,986,000 -57,660,000 -120,262,000 -12,669,000 133,791,000 -105,109,000 -73,163,000 -31,717,000 -150,107,000 55,886,000 -70,886,000 -132,449,000 105,305,000 53,010,000 109,671,000 -83,894,000 365,294,000 49,114,000 -694,000 53,785,000 -2,920,000 48,174,000 -2,445,000 -5,407,000 31,803,000 -91,024,000 -91,596,000 -456,000 
  financing activities                                                                      
  net increase in noninterest-bearing deposits26,912,000 137,394,000     -150,522,000 -144,756,000   -268,464,000 85,823,000 35,141,000 -11,868,000 225,474,000 143,515,000 213,775,000 450,312,000 -73,194,000 17,946,000 1,098,237,000 90,289,000 -55,286,000 198,072,000 42,761,000 47,517,000 -41,153,000 42,103,000 27,425,000 20,712,000 5,124,000 -75,042,000 63,282,000 18,224,000 55,437,000 1,803,000 106,166,000 -28,386,000 54,928,000 13,321,000 39,479,000 -15,672,000 32,778,000 -12,198,000 58,944,000 -20,118,000 28,019,000 -6,100,000 -1,149,000 13,633,000 15,344,000 3,282,000 4,045,000 38,779,000 34,444,000 -27,990,000 107,782,000 7,294,000 9,128,000 -1,755,000 10,102,000 7,104,000 5,729,000 -11,407,000 19,309,000 -3,623,000 -18,027,000 1,706,000 4,777,000 -16,419,000 
  net increase in interest-bearing deposits329,841,000 62,089,000 188,681,000 264,190,000 -5,239,000 227,889,000 70,197,000 206,505,000 549,265,000 738,933,000 323,306,000 -417,628,000 -262,109,000 97,041,000 425,421,000 -4,037,000 164,668,000 227,515,000 198,135,000 69,836,000 335,695,000 109,115,000 -17,266,000 -101,773,000 -121,275,000 93,175,000 -1,358,000 35,672,000 -3,756,000 416,759,000 -201,571,000 50,449,000 -91,596,000 154,001,000 59,214,000 -80,314,000 106,105,000    64,872,000 90,420,000 -155,839,000 -105,855,000 103,928,000 27,274,000 -24,451,000 -43,917,000 95,103,000    56,884,000   -139,465,000 -154,066,000 44,929,000 -171,515,000 -23,881,000 127,646,000 8,012,000 -44,955,000 -77,688,000 325,665,000 -64,214,000 -36,983,000 -161,150,000 74,169,000 -99,521,000 
  net decrease in short-term borrowings-916,000 -3,000  -124,009,000            -3,680,000    -299,186,000      -300,116,000    -32,061,000    -99,721,000   -8,024,000    -25,671,000            -3,655,000    -4,494,000 -4,036,000 2,140,000 -4,468,000 -647,000  -4,603,000 10,723,000 -284,836,000    -309,002,000  
  repayment of long-term debt  -245,000     -409,000 -32,008,000 -201,131,000 -9,000 -1,691,000 -42,000 75,000 -69,000 -134,000 -43,000 -1,728,000 -33,201,000 -214,000 -216,000 -206,000 -207,000 -206,000 -230,000 -279,000 -158,898,000 -273,000 -10,790,000 -41,528,000 -4,498,000 -938,000 -1,536,000 -305,394,000 -858,000 -978,000 -5,693,000 -2,404,000 -4,471,000 -989,000 -747,000 -925,000 -4,204,000 -2,197,000 -1,556,000 -4,291,000 -1,603,000 -79,261,000 -1,916,000 -1,735,000 -2,215,000 -66,779,000 -1,732,000 -164,758,000 -18,901,000 -134,141,000 -3,572,000 -30,025,000 -19,980,000 -26,958,000  -19,316,000 -2,785,000 -2,083,000  
  cash paid for dividends-21,155,000 -14,270,000 -14,217,000 -14,217,000 -12,640,000 -12,653,000 -12,573,000 -12,572,000 -12,573,000 -12,561,000 -12,502,000 -12,496,000 -12,488,000 -12,505,000 -12,439,000 -12,474,000 -12,540,000 -12,564,000 -12,527,000 -12,527,000 -12,525,000 -12,555,000 -12,659,000 -12,829,000 -12,971,000 -12,442,000 -12,372,000 -11,829,000 -9,958,000 -9,455,000 -9,412,000 -8,936,000 -8,038,000 -8,030,000 -7,610,000 -7,606,000 -6,892,000 -6,876,000 -6,881,000 -5,402,000 -5,398,000 -5,383,000 -5,382,000 -5,381,000 -5,372,000 -5,352,000 -5,348,000 -4,303,000 -4,300,000 -4,285,000 -4,278,000 -4,279,000 -4,275,000 -4,268,000 -4,268,000 -4,269,000 -4,266,000 -4,262,000 -4,261,000 -3,594,000 -3,592,000 -3,592,000 -3,591,000 -3,591,000 -3,590,000 -3,592,000 -3,586,000 -3,575,000 -3,568,000 -3,559,000 
  net cash from financing activities334,682,000 185,210,000 47,930,000 333,312,000 130,030,000 -51,976,000 104,337,000 -100,466,000 -303,984,000 432,318,000 441,754,000 -144,125,000 -238,502,000 108,512,000 637,079,000 102,001,000 366,991,000 656,035,000 91,051,000 -125,701,000 960,046,000 476,183,000 325,251,000 88,153,000 -53,216,000 -172,082,000 149,996,000 -106,234,000 269,145,000 395,926,000 -500,554,000 74,174,000 73,198,000 51,708,000 -14,180,000 -61,666,000 197,013,000 -7,833,000 -18,894,000 -740,000 72,261,000   -101,883,000 154,969,000 -2,996,000 -45,804,000 -22,539,000 89,431,000 2,784,000 38,644,000 -72,849,000 -26,062,000 57,758,000 -139,745,000 -168,519,000 -121,814,000 42,624,000 -275,783,000 -52,370,000 -632,000 -5,476,000 -73,327,000 -98,920,000 79,590,000 -7,256,000 -66,179,000 92,390,000 75,269,000 18,138,000 
  net increase in cash and cash equivalents287,273,000 -693,000 -183,588,000 423,714,000 7,506,000 43,049,000 60,195,000 -205,743,000 99,202,000 271,705,000 96,492,000 -530,968,000 -597,025,000 -270,472,000 401,824,000 -129,347,000 343,572,000 628,713,000   -20,869,000 222,842,000 5,269,000 -34,201,000   199,515,000 76,644,000 41,974,000 -30,475,000 -50,747,000   64,520,000   6,912,000 7,722,000   12,796,000 19,989,000   54,967,000 13,499,000   57,608,000    -34,339,000 -26,300,000 -1,848,000 -88,860,000 33,356,000 -3,744,000 105,272,000 11,662,000 30,919,000 36,304,000 -32,023,000 -31,959,000 75,844,000 -5,654,000 -7,163,000 2,743,000 10,675,000  
  cash and cash equivalents at beginning of period1,092,032,000  801,351,000  575,992,000  1,877,965,000  633,203,000  414,930,000  569,111,000  281,453,000  306,224,000 211,571,000  161,583,000  246,648,000  132,420,000  209,017,000  292,669,000  148,560,000  100,394,000  99,793,000  
  cash and cash equivalents at end of period287,273,000 1,091,339,000  423,714,000 7,506,000 844,400,000  -205,743,000 99,202,000 847,697,000  -530,968,000 -597,025,000 1,607,493,000  -129,347,000 343,572,000 1,261,916,000  -202,798,000 -20,869,000 637,772,000  -34,201,000 -118,204,000 562,066,000  76,644,000 41,974,000 250,978,000  96,139,000 -134,683,000 370,744,000 6,583,000 -7,675,000 218,483,000  48,887,000 -19,417,000 174,379,000  -39,626,000 -120,395,000 301,615,000  154,134,000 -111,013,000 190,028,000  -77,988,000 21,728,000 174,678,000  -1,848,000 -88,860,000 326,025,000  105,272,000 11,662,000 179,479,000  -32,023,000 -31,959,000 176,238,000  -7,163,000 2,743,000 110,468,000  
  supplemental disclosures                                                                      
  cash paid for interest114,097,000 85,839,000  99,736,000 96,073,000 91,121,000  61,871,000 50,622,000 41,239,000  12,547,000 9,635,000 10,324,000  13,681,000 9,038,000 15,108,000  17,787,000 17,300,000 26,264,000   23,712,000 23,887,000  18,665,000 11,996,000 12,656,000  10,819,000 6,520,000 9,635,000 7,034,000 6,327,000 6,297,000 5,679,000 5,350,000 4,923,000 5,663,000 5,429,000 6,193,000 5,938,000 6,543,000                          
  cash paid for income taxes   9,454,000    7,851,000 5,628,000 17,443,000  12,878,000 172,000 6,195,000  9,805,000 13,411,000 18,032,000  9,985,000 11,987,000 4,176,000   8,495,000 5,325,000  9,261,000 5,764,000 6,280,000  16,790,000 5,520,000 7,181,000 6,320,000 10,951,000 5,460,000 7,842,000 4,774,000 4,626,000 1,368,000 8,203,000 4,307,000 4,993,000                          
  noncash transactions:                                                                      
  transfers of loans to other real estate owned2,985,000 1,296,000  2,151,000 940,000 195,000  5,954,000 496,000 3,623,000  544,000 1,084,000 200,000  668,000 464,000 2,039,000  3,628,000 2,618,000 1,641,000   911,000 885,000  366,000 1,137,000 1,154,000  1,191,000 1,059,000 3,168,000 1,639,000 1,554,000 1,954,000  5,338,000 1,371,000 5,559,000  2,289,000 3,444,000 2,585,000  2,833,000 5,086,000 5,828,000                      
  common stock issued in acquisition of businesses                                                                      
  recognition of operating right-of-use assets11,686,000 565,000  941,000 405,000 1,157,000  2,466,000 80,000 531,000  1,450,000 1,565,000 30,000  3,094,000 23,000 3,601,000  -84,000 2,267,000 1,968,000   20,704,000 54,338,000                                             
  recognition of operating lease liabilities11,686,000 565,000  941,000 405,000 1,157,000  2,466,000 80,000 531,000  1,450,000 1,565,000 30,000  3,094,000 23,000 3,601,000  1,385,000 732,000 2,034,000   20,704,000 57,857,000                                             
  deferred income tax expense 954,000 2,155,000 1,352,000 -564,000 1,706,000   -2,365,000 2,667,000 -1,320,000 -1,550,000 501,000 4,649,000 6,340,000 96,000 -567,000 5,542,000     6,130,000 5,326,000 2,636,000 5,949,000 9,109,000 3,859,000 1,486,000 1,990,000 21,792,000 -550,000 -1,727,000 3,946,000 1,818,000 1,013,000 2,832,000 9,957,000 -2,124,000 -490,000 6,408,000                              
  decrease in other assets 45,847,000                        5,982,000    9,623,000    18,882,000    -4,477,000   7,664,000                              
  impairment losses on securities                                                                      
  proceeds from sale of mortgage servicing rights                                                                      
  gain on sale of mortgage servicing rights                                                                      
  gain on sale of insurance agency                                                                     
  losses on sales of securities                                                                     
  gain on debt extinguishment                                                                      
  losses (gains) on sales of premises and equipment       1,000 5,000 2,000                            68,000 18,000 15,000 4,000                              
  stock-based compensation                                 1,174,000 848,000 856,000 859,000 1,696,000 1,019,000 856,000 864,000                              
  increase in other assets  -6,906,000 -1,306,000   -21,245,000 -4,477,000 -15,319,000 -10,945,000 2,516,000   5,746,000 -4,383,000 -1,312,000 -3,317,000 -11,800,000 28,181,000 -19,374,000 2,600,000 -70,631,000  -7,582,000    6,592,000   -4,561,000                                        
  increase in other liabilities  -6,142,000 14,179,000 -10,429,000 -5,462,000 1,009,000 19,413,000       -11,888,000 -5,047,000 -14,384,000 -11,601,000 -21,192,000 3,037,000 9,901,000 35,331,000    -15,794,000                                             
  purchases of securities held to maturity          -12,369,000 -79,434,000                     -1,571,000 -3,288,000 -5,785,000 -6,251,000 -18,010,000 -64,942,000 -54,824,000 -1,742,000 -2,290,000 -23,152,000 -128,684,000 -10,088,000 -59,987,000 -35,466,000 -29,481,000 -15,665,000 -53,899,000 -92,611,000 -32,982,000 -20,137,000 -36,547,000 -56,446,000 -18,751,000 -23,340,000 -5,372,000 -4,675,000         
  net cash received from sale of insurance agency                                                                     
  purchase of bank-owned life insurance          -80,000,000 -5,000,000                                                       
  net cash paid in acquisitions                                                                      
  net decrease in noninterest-bearing deposits  -125,820,000 -9,652,000 23,289,000 -67,511,000    -313,879,000                                                             
  net increase in short-term borrowings     -199,456,000 199,915,000 -149,643,000 -474,752,000 19,825,000 399,414,000 200,176,000 1,363,000 67,852,000    -9,186,000    313,946,000 283,489,000 66,591,000   212,147,000 -171,973,000   -294,416,000 264,109,000   -178,046,000   20,157,000 323,237,000   -33,243,000 40,141,000 25,505,000 -2,283,000  -42,959,000 35,971,000 1,594,000  57,259,000    1,322,000           112,746,000 -1,618,000   139,427,000 
  proceeds from equity offering                                                        430,000            
  losses on sales of premises and equipment   -41,000 2,000 50,000                        8,000 12,000 7,000 34,000 512,000 3,000 97,000 5,000                                  
  benefit from (recovery of) credit losses                                                                      
  valuation adjustment to mortgage servicing rights              -13,561,000 -1,968,000 -828,000 4,951,000 9,571,000 -1,296,000                                                
  losses (gains) on sales of securities                                                                     
  debt prepayment penalty                                                                      
  gains on sales of premises and equipment           -9,000 -233,000 -3,000    -22,000      11,000                                               
  proceeds from long-term debt                                                            4,000,000 2,935,000 50,000,000  12,500,000 115,785,000 310,655,000  
  repurchase of shares in connection with stock repurchase program              -1,000    -24,569,000 -21,299,000 -28,707,000                                               
  cash and cash equivalents at beginning of year                                                                      
  cash and cash equivalents at end of year                                                                      
  net cash paid in acquisition of businesses           -10,066,000                                                         
  gains on sales of securities              -49,000 -764,000 -1,357,000      8,000 -13,000     -91,000                                     
  benefit from (recovery of benefit from) credit losses                                                                      
  (recovery of) benefit from credit losses              -468,000                                                        
  net change in other loans held for sale                      4,093,000                                               
  net decrease (increase) in loans              -7,280,000 133,505,000 540,588,000 243,250,000                                               17,094,000 -20,343,000 2,908,000    
  net cash paid in acquisition                                                                     
  penalty on prepayment of debt                  3,000 28,000                                                 
  proceeds from the issuance of long-term debt, net of issuance costs                                                                      
  financed sales of other real estate owned               312,000    -3,000 -5,000 159,000   134,000 120,000  77,000 418,000  20,000 237,000 388,000 58,000 92,000 117,000 380,000 157,000 480,000  226,000                            
  (gains) losses on sales of securities                                                                     
  net cash (paid) received in acquisition                                                                      
  cash received on exercise of stock options                                  14,000                                    
  benefit from credit losses on loans                   23,100,000 26,900,000 26,350,000                                                 
  loss (gains) on sales of premises and equipment                                                                     
  net decrease in cash and cash equivalents                         -7,045,000                         -77,988,000                    
  transfers of mortgage loans held for sale to loans held for investment                                                                      
  transfers of other loans held for sale to loans held for investment                                                                      
  benefit from loan losses                      2,950,000 1,700,000 900,000 1,500,000 1,000,000 2,250,000 1,810,000 1,750,000 2,150,000 2,150,000 1,750,000 1,500,000 2,650,000 1,430,000 1,800,000 1,750,000 750,000 1,175,000 1,075,000                              
  revaluation of net deferred tax assets due to changes in tax law                                                                      
  net stock-based compensation transactions                           201,000  2,492,000 -343,000 -1,976,000                                     
  transfers of loans held for sale to loans held for investment                           847,000 221,000 442,000                                         
  payments on and proceeds from sales of other loans held for sale                         70,375,000                                             
  proceeds from sales of fhlb stock                         10,441,000                                             
  loss on extinguishment of debt                                                                      
  decrease in fdic loss share indemnification asset, net of accretion and amortization                                                                      
  loss on termination of fdic loss share agreements                                                                      
  payment made to fdic to terminate loss share agreements                                                                      
  net cash received in acquisition                                     -11,011,000        -56,000        148,443,000              
  excess tax benefits from exercise of stock options                                                                      
  proceeds from sales of securities held to maturity                                             -2,000 2,000 -2,000 4,461,000     7,992,000 5,041,000              
  decrease in fdic loss-share indemnification asset, net of accretion                                  1,393,000 -18,000 1,067,000 -793,000 1,579,000 1,410,000 2,213,000                              
  proceeds from long-term borrowings                                  98,157,000                                    
  excess tax benefit from stock-based compensation                                  182,000    64,000 303,000 -71,000  150,000 236,000 741,000  155,000                      
  transfers of loans held for sale to loan portfolio                                  1,080,000 7,765,000 6,610,000                                  
  penalty on extinguishment of debt                                 205,000 2,210,000                                    
  adjustments to reconcile net income to net cash from operating activities, net of effects from acquisitions:                                                                      
  common stock issued in merger and acquisition transaction                                                                      
  loss on sales of securities                                    71,000                                  
  cash received on exercise of stock-based compensation                                    382,000  29,000 45,000 28,000  120,000    -140,000 14,000 225,000  102,000 133,000 200,000 -37,000 246,000 9,000 -103,000   118,000   454,000 728,000 323,000 1,779,000 584,000 
  excess tax benefit (expense) from stock-based compensation                                    214,000                                  
  transfers of loans to other real estate                                                   14,518,000 7,481,000 12,234,000 3,451,000 9,273,000 18,555,000 25,863,000 8,869,000 9,758,000 6,844,000 16,183,000 21,812,000 8,899,000 2,483,000 7,044,000 11,337,000 4,638,000 5,589,000 7,016,000 
  net decrease in interest-bearing deposits                                      -84,919,000            -25,512,000                    
  net cash (used) provided by financing activities                                                                      
  net decrease/(increase) in loans                                            12,038,000                          
  other-than-temporary-impairment losses on securities                                                                      
  gain on acquisition                                                                      
  excess tax benefits from stock-based compensation                                                                      
  transfer of securities classified as available for sale to held to maturity                                                                      
  net decrease in loans                                                       1,228,000 1,219,000 28,808,000 34,942,000 28,593,000 27,988,000  37,970,000        
  gains on sales of securities available for sale                                                                      
  purchase of treasury stock                                                                   -2,004,000 -3,805,000 
  net cash received from acquisition                                                                      
  transfers of securities classified as available for sale to held to maturity                                                                      
  net cash paid in business combination                                                                     106,000 
  common stock issued and fair value of stock options assumed in business combinations                                                                      
  purchases of treasury stock                                                                      
  deferred income taxes                                                                      
  proceeds from federal home loan bank advances                                                                      
  repayment of federal home loan bank advances                                                                      
  tax benefit from stock-based compensation                                                                      
  tax benefit from stock based compensation                                                                    546,000  
  funding of loans held for sale                                                                      
  proceeds from sales of mortgage loans                                                                      
  gains on sales of mortgage loans                                                                      
  gain on sales of securities                                                                      
  stock based compensation                                                                      

We provide you with 20 years of cash flow statements for Renasant stock, allowing you to gain comprehensive visibility into the fundamentals of the company. Our detailed breakdowns include key financial metrics such as operating cash flows, cash levels, capital expenditures, profits, stock-based compensations and profit margins. This in-depth information is essential for making informed investment decisions and understanding the financial health and performance of Renasant stock. Explore the full financial landscape of Renasant stock with our expertly curated income statements.

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