Hancock Whitney Cash Flow Statement 2009-2024 | HWC

Fifteen years of historical annual cash flow statements for Hancock Whitney (HWC).

Annual Data | Millions of US $ except per share data

Metric Name
Net Income/Loss
Total Depreciation And Amortization - Cash Flow
Other Non-Cash Items
Total Non-Cash Items
Change In Accounts Receivable
Change In Inventories
Change In Accounts Payable
Change In Assets/Liabilities
Total Change In Assets/Liabilities
Cash Flow From Operating Activities
Net Change In Property, Plant, And Equipment
Net Change In Intangible Assets
Net Acquisitions/Divestitures
Net Change In Short-term Investments
Net Change In Long-Term Investments
Net Change In Investments - Total
Investing Activities - Other
Cash Flow From Investing Activities
Net Long-Term Debt
Net Current Debt
Debt Issuance/Retirement Net - Total
Net Common Equity Issued/Repurchased
Net Total Equity Issued/Repurchased
Total Common And Preferred Stock Dividends Paid
Financial Activities - Other
Cash Flow From Financial Activities
Net Cash Flow
Stock-Based Compensation
Common Stock Dividends Paid
202320222021202020192018201720162015201420132012201120102009
$393$524$463$-45.17$327$324$216$149$131$176$163$152$76.76$52.21$74.78
$62.66$81.11$96.09$93.27$83.91$81.74$86.23$83.11$79.80$86.19$95.91$110$70.68$23.33$17.88
$205$33.76$33.90$616$17.45$54.06$136$95.00$126$92.20$166$224$241$57.94$29.38
$267$115$130$709$101$136$222$178$205$178$262$334$312$81.27$47.26
$-24.59$61.03$41.16$-77.54$-28.39$18.98$-0.05$-18.68$-0.29$18.23$29.10$21.99$-1.56$22.03$-13.82
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$48.71$6.84$20.87$4.69$19.57$-8.37$2.31$10.32$-4.72$-15.24$29.55$-58.29$-99.99$-12.41$16.70
$-178.56$169$-44.56$-210.63$-60.04$-22.69$-24.80$4.09$-104.61$-1.38$-21.06$-5.94$-13.72$52.65$-106.87
$-154.44$237$17.47$-283.49$-68.86$-12.08$-22.53$-4.28$-109.62$1.62$37.59$-42.23$-115.26$62.28$-103.99
$495$842$586$355$352$449$411$344$236$352$474$443$273$195$18.14
$8.11$-29.08$-21.64$-37.87$-42.72$-50.66$-20.30$-11.83$-9.55$-8.21$-30.33$-36.71$-63.65$-19.68$-9.61
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$0$0$0$0$26.95$219$477$0$0$0$0$0$-189.38$0$378
$-303.02$3,507$-2,496.85$-1,223.56$281$-18.71$351$487$237$-534.11$1,231$-315.77$177$158$-240.95
$835$-808.39$-1,424.48$-973.86$-248.97$136$-679.93$-628.55$-682.78$215$-460.28$716$-391.17$113$99.96
$532$2,698$-3,921.33$-2,197.42$32.28$117$-328.84$-141.17$-445.38$-319.23$771$400$-214.18$272$-140.99
$-834.82$-2,007.02$718$-942.18$-475.54$-1,132.81$-1,022.79$-1,168.03$-1,821.50$-1,583.01$-745.24$-380.97$166$82.35$25.92
$-295.21$662$-3,224.58$-3,177.47$-459.02$-846.90$-895.32$-1,321.03$-2,276.43$-1,910.46$-4.50$-17.73$-301.02$334$254
$0$5.15$-131.06$166$6.62$-69.61$-203.95$-14.43$116$-14.36$-10.76$40.63$134$-0.30$-0.17
$-716.44$206$-2.45$-1,047.36$1,059$-114.76$-118.15$-198.24$272$494$18.83$-405.32$113$-140.03$-106.72
$-716.44$211$-133.51$-881.24$1,065$-184.37$-322.10$-212.67$388$479$8.06$-364.69$247$-140.33$-106.89
$0$-58.67$-21.30$-0.61$-184.46$-7.04$12.09$261$-95.27$-45.13$-112.27$2.01$215$1.94$170
$0$-58.67$-21.30$-0.61$-184.46$-7.04$12.09$261$-95.27$-45.13$-112.27$2.01$215$1.94$170
$-104.70$-94.46$-95.93$-95.61$-94.87$-88.84$-83.27$-76.55$-77.01$-80.39$-81.21$-82.69$-70.62$-35.72$-32.01
$618$-1,399.36$2,765$3,894$-630.24$674$892$1,074$1,773$1,212$-383.67$30.61$-65.30$-420.09$-297.58
$-203.30$-1,341.12$2,514$2,916$156$394$498$1,046$1,988$1,566$-569.09$-414.76$326$-594.20$-266.90
$-3.26$163$-125.11$94.20$48.73$-3.58$14.26$68.82$-52.58$8.02$-100.05$10.54$298$-65.03$4.94
$24.65$23.49$22.44$21.11$20.90$19.79$17.63$14.27$12.94$13.96$13.08$11.02$7.20$4.08$3.25
$-104.70$-94.46$-95.93$-95.61$-94.87$-88.84$-83.27$-76.55$-77.01$-80.39$-81.21$-82.69$-70.62$-35.72$-32.01